OPINION
Defendant Barry Cohan (“Cohan”) has moved pursuant to Federal Rule of Criminal Procedure 41(h) to suppress the fruits of the search of his dental office on the ground that the warrant authorizing that search was insufficiently specific. On June 2, 2009, the Court denied the motion from the bench, stating that a written opinion would follow. The Court writes to explain the reasoning behind its decision, noting that although suppression is unwarranted in this case, (1) the underlying affidavit must be attached to the warrant and specifically incorporated by reference if it is needed to satisfy the particularity prong of the Fourth Amendment, and (2) the law is unclear as to when, if at all, the failure of a warrant to specify a time frame for the seizure of business records would violate the Fourth Amendment’s overbreadth prong.
BACKGROUND
1. The Charges Against Cohan
On November 16, 2007, Cohan, a dentist, was indicted on one count of health care fraud and one count of false statements relating to health care matters. Two superseding indictments added a second count of health care fraud, a second count of false statements relating to health care matters, and two counts of aggravated identity theft. The charges stemmed from Cohan’s allegedly fraudulent billing practices in connection with certain patients who were employees of the Port Authority of New York and New Jersey (“PA”). These alleged practices included billing the PA insurance plan for services not actually rendered, billing the PA plan in the name of another dentist, and billing the PA plan at inflated rates. 1
II. The Search at Issue
Much of the Government’s evidence was seized during a search of Cohan’s dental office. The search was timely conducted pursuant to a warrant issued on February 27, 2006 by Magistrate Judge Cheryl L. Poliak (“the warrant”). The relevant portion of the warrant reads as follows:
Affidavit(s) having been made before me by James W. Diercksen[,\ who has reason to believe that [in Cohan’s office ] there is now concealed a certain person or property, namely items listed in the attached Rider[,] I am satisfied that the affidavit(s) and any recorded testimony establish probable cause ... for the issuance of this warrant. 2
The following items and records, however stored, whether electronically or in paper form, and wherever situated or stored, whether contained in locked or unlocked cabinets, safes, desks, closets or other containers [in Cohan’s office]:
(1) files reflecting the course of treatment for each patient of Doctor Barry Cohan, the x-rays and other records of examinations for each patient, payment and other financial records, including bank records and state and federal tax returns, claims and other insurance documents, appointment calenders [sic], correspondence, and reports of specialists treating the dentist’s patients;
(2) any items and/or materials capable of storing the data and information described [above] in an electronic format, including [computer files, hardware, etc.].
The warrant was issued on the basis of a supporting affidavit (“the affidavit”) of Port Authority Officer James W. Diercksen (“Diercksen”), which described in detail the Government’s theory of fraud and the grounds for probable cause. At oral argument, the Government acknowledged that Diercksen was responsible for conducting the search.
In particular, the affidavit explained that until July 2004, the PA would only pay dentists a fixed “reasonable and customary” fee for dental procedures performed on PA patients. In July 2004, the PA had removed the “reasonable and customary” cap and agreed to reimburse 80% of a dentist’s fee, however high — provided that the dentist collected the remaining 20% from the patient as a co-payment. This co-payment requirement, the affidavit noted, was the sole check on Cohan’s fees after July 2004: if Cohan’s fees became outrageously high, his patients would presumably balk at paying 20% of those drastically inflated fees; on the other hand, if Cohan did not collect the co-payment, he would be able to set his fees arbitrarily high and simply collect 80% of that amount from the PA.
To prevent such tactics, the PA’s insurance claim forms required dentists to certify that their fees included the 20% co-payment, and that those fees were “the actual fees [they] ha[d] charged and intend[ed] to collect....” Aff. ¶ 5. The affidavit then alleged, based upon records in the Government’s possession, that Cohan “rarely, if ever, ... charge[d] his [PA] patients the 20% co-payment” for services he performed on them, id. ¶ 23, even though he certified on his claim forms that he intended to do so. It also stated that Cohan had informed a confidential source who was a PA employee “that [he] need not pay any co-payment for [his] treatment.” Id.
The affidavit further alleged, also based upon records in the Government’s possession, that Cohan had submitted claims for performing certain expensive services on PA patients far more frequently than he had submitted claims for performing those same services on non-PA patients, and that “the unusual frequency of certain types of procedures among [PA] employees suggests that C[ohan] did not in fact perform these procedures.” Id. ¶ 22. Lastly, the affidavit noted that Cohan had a prior history of fraud: the New York State Board of Dentistry in 1998 had found Cohan guilty of “practicing the profession of dentistry fraudulently” in that, “on at least four separate occasions between February 1990 and July 1992, ... C[ohan] had submitted false claim forms ... for reimbursement.” Id. ¶ 24.
DISCUSSION
Cohan objects to what he terms “the extraordinary breadth of this warrant,” arguing that its description authorized the seizure from Cohan’s office of “every document of every kind, from the beginning of time to the present.” Cohan’s Letter Mot. of May 28, 2009 at 2. He claims that “[b]y listing every type of record that could conceivably be found in an office, ... the government created a de facto general warrant.” Id. Cohan asserts that it “would have been possible for the government to limit [the warrant’s description] ... by ... seeking to obtain records only of PA patients, or seeking records only for a finite time frame.” Id. at 3. The Government, in response, argues that the warrant was sufficient on its face to pass muster under the Fourth Amendment, and that, in any event, the detailed allegations in the underlying affidavit save the warrant from any constitutional infirmity. Neither party mentions the “good-faith” exception to the exclusionary rule.
The Fourth Amendment’s Warrants Clause imposes two central requirements on search warrants: (1) that “no Warrants shall issue, but upon probable cause,” and (2) that search warrants must “particularly describ[e] ... the ... things to be seized.” A warrant, therefore, can be unconstitutionally infirm in two conceptually distinct but related ways: either by seeking specific material as to which no probable cause exists, or by giving so vague a description of the material sought as to impose no meaningful boundaries.
See United States v. Hill,
I. Particularity
The Fourth Amendment’s particularity requirement targets “the specific evil [of] the ‘general warrant’ abhorred by the colonists.”
Coolidge v. New Hampshire,
The Supreme Court’s leading modern case on the particularity requirement is
Andresen v. Maryland,
[T]he following items pertaining to sale, purchase, settlement and conveyance of [a certain parcel of real estate]: title notes, title abstracts, title rundowns; contracts of sale and/or assignments ...; lien payoff correspondence and lien pay-off memoranda to and from lienholders and noteholders; correspondence and memoranda to and from trustees of deeds of trust; lenders instructions for a construction loan or construction and permanent loan; disbursement sheets and disbursement memoranda; checks, check stubs and ledger sheets indicating disbursement upon settlement; correspondence and memoranda concerning disbursements upon settlement; settlement statements and settlement memoranda; fully or partially prepared deed of trust releases, whether or not executed and whether or not recorded; books, records, documents, papers, memoranda and correspondence, showing or tending to show a fraudulent intent, and/or knowledge as elements of the crime of false pretenses ..., together with other fruits, instrumentalities and evidence of crime at this (time) unknown.
Id.
at 482 n. 10,
The court disagreed that the length of the itemized list of documents rendered the warrant insufficiently particular, observing that the types of documents, although numerous, were named with sufficient clarity. See id. Moreover, it noted that the alleged crime was a complex one requiring extensive documentary evidence:
Under investigation was a complex real estate scheme whose existence could be proved only by piecing together many bits of evidence. Like a jigsaw puzzle, the whole “picture” of petitioner’s false-pretense scheme ... could be shown only by placing in the proper place the many pieces of evidence that, taken singly, would show comparatively little. The complexity of an illegal scheme may not be used as a shield to avoid detection ....
Id.
As for the allegedly offending catch-all phrase, the court held that because “it
By contrast, in
United States v. Buck,
the Second Circuit held
insufficiently
particular a search warrant describing the crime at issue and simply authorizing the seizure of “any papers, things or property of any kind relating to [the] previously described crime.”
The warrant in this case is nowhere near as vague and open-ended as the warrants the Second Circuit held unconstitutional in
Buck
and
George.
Far from consisting of
“all ...
general boilerplate terms,”
Buck,
Cohan’s claim that the warrant lacks particularity because it lists so many types of documents is foreclosed by
Andreseris
observation that the number of different categories of documents is immaterial so long as each type of document is clearly delineated, as is the case here.
See also United States v. Hayes,
It also bears noting that here, as in
Andresen,
the charged offense is a “complex ... scheme whose existence could be proved only by piecing together many bits of evidence,” not a straightforward crime such as drug possession where the types of evidence that will be relevant are few and obvious.
Consequently, the Court concludes that the warrant on its face meets the particularity branch of the Fourth Amendment’s specificity test. However, the Court notes that if the warrant were
insufficiently
particular on its face, under recent Supreme Court and Second Circuit decisions the Government could not rely on the detailed information in the affidavit to cure the warrant’s lack of particularity since the Government has not established that the affidavit was attached to the warrant, and it was not specifically incorporated by reference. In light of these cases, the Government’s reliance on
United States v. Bianco,
In
United States v. George,
the Second Circuit held that “Resort to an affidavit to remedy a warrant’s lack of particularity is only available when it is incorporated by reference in the warrant itself and attached to it.”
We do not say that the Fourth Amendment prohibits a warrant from cross-referencing other documents. Indeed, most Courts of Appeals have held that a court may construe a warrant with reference to a supporting application or affidavit if the warrant uses appropyiate ivords of incoyporation, and if the supporting document accompanies the warrant. But in this case the warrant did not incorporate other documents by reference, nor did either the affidavit or the application ... accompany the warrant. Hence, we need not further explore the matter of incorporation.
Id.
at 557-58,
While the Second Circuit has not formally renounced
Bianco,
at least two recent district court decisions in this circuit have concluded or speculated that
Groh
vitiated its holding.
See United States v. Ryan,
No. 2:07-cr-35,
Thus, in light of
Groh
and
Waker,
the Government cannot rely on language in a warrant simply referencing the underlying affidavit to satisfy the particularity prong of the Fourth Amendment; rather, it must attach the affidavit to the warrant and incorporate it by reference using “deliberate and unequivocal language.”
Waker,
II. Overbreadth
Cohan argues that the warrant is over-broad because it fails to restrict the documents to be seized to those pertaining to PA patients or to those generated within the time frame of the alleged offense, raising the issue of whether the affidavit established probable cause to seize documents outside of these categories.
A reviewing court must uphold “an issuing magistrate’s probable cause determination ... so long as the magis
A. Lack of Restriction to PA Patients
Contrary to Cohan’s assertion, the warrant’s lack of a restriction to the files of PA patients does not render it over-broad, as the supporting affidavit establishes probable cause to seize PA as well as non-PA patient files. 4 The affidavit notes that according to insurance records already in the Government’s possession, Cohan claimed to have performed certain services on PA patients with suspiciously high frequency as compared to non-PA patients; it then reasons that “the unusual frequency of certain types of procedures among [PA] employees suggests that C[ohan] did not in fact perform these procedures.” Aff. ¶ 22. This establishes a fair probability that the non-PA patients’ records, viewed in conjunction with the PA patients’ records, would contain circumstantial evidence of fraud. Additionally, the affidavit asserts that the records in the Government’s possession show that Cohan had rarely, if ever, charged PA patients their co-payments. Consequently, there was a fair probability that the non-PA patients’ records would establish Cohan’s fraud if they indicated a drastically higher rate of co-payment collection.
Cohan asserts that the mere fact that the non-PA records would help prove the Government’s case cannot justify the seizure of those “innocent” records. To the contrary, courts have often found probable cause for the seizure of the records of “innocent” transactions when those records made the fraudulence of
other
transactions clear.
See, e.g., United States v. Diaz,
B. Lack of a Restriction as to Time
In this case, the affidavit is most logically read as suggesting that Cohan’s fraud on the PA began in July 2004, when the PA began relying on co-payments as the sole check on Cohan’s fees. However, there was probable cause to believe that records
prior to
July 2004 would also contain evidence of Cohan’s fraud.
See Abboud,
First, Cohan’s fees and the frequency with which he performed various procedures under the pre-July 2004 “reasonable and customary” regime would provide a necessary baseline with which to compare Cohan’s fees and frequency of performing those same procedures after the cap was lifted. Second, the pre-July 2004 records of Cohan’s individual patients could be required to ascertain whether certain procedures allegedly performed on those same patients after July 2004 were performed: for example, if Cohan had filed an insurance claim for a particular patient indicating a root canal of a particular tooth in 2005, a 2003 record showing the extraction of the same tooth from the same patient would be relevant in showing the fraudulence of the 2005 claim.
Moreover, the affidavit noted that Cohan had a prior history of other arguably similar frauds dating back at least to 1990. Therefore, apart from the alleged fraud on the PA, there was a fair probability that the pre-2004 records would yield evidence of
other
fraudulent claims, and such evidence would be potentially admissible under Federal Rule of Evidence 404(b) to demonstrate intent or absence of mistake as to the PA fraud.
See Andresen,
Even though there arguably was probable cause to seize records dating back as far as 1990, the warrant contained
no time frame at
all; thus, it allowed the seizure of records dating back arbitrarily far, including even decades-old records of vanishingly small relevance.
See United States v. Corey,
The case law is hardly uniform as to when, if at all, the absence of a time frame would violate the overbreadth prong of the Fourth Amendment, and the Second Circuit has yet to consider the issue.
In a number of out-of-circuit decisions, courts have found warrants for the seizure of business records constitutionally defi
Still other out-of-circuit decisions have not treated a warrant’s lack of a time frame as dispositive.
See, e.g., United States v. Khalid,
No. 93-2345,
Amongst the district courts in this circuit, while there is general agreement that a time frame is
relevant,
there is no apparent consensus as to when one is required.
See, e.g., Costin,
In light of the conflicting authorities, the Court would have to speculate as to how the Second Circuit would decide when, if at all, the lack of a time frame would render a warrant for the seizure of business records overbroad. However, the Court need not do so, because this uncertainty triggers the “good-faith” exception to the exclusionary rule recognized in
United States v. Leon,
In establishing the “good-faith” exception, the Supreme Court reasoned that “[i]n the ordinary case, an officer cannot be expected to question the magistrate’s probable-cause determination or his judgment that the form of the warrant is technically sufficient.”
Id.
at 921,
Since the Second Circuit has never addressed when, if at all, time-frames are a constitutional requirement in business-record search warrants, and district courts in this circuit have not converged upon a clear rule, the Court cannot say that “a reasonably well-trained officer would have known that the search was illegal despite the magistrate’s authorization.”
Buck,
Notably, the Second Circuit applied the “good faith” exception in
Buck
because the
What the officers failed to do was anticipate our holding today that the particularity clause of the Fourth Amendment prohibits the use of a catch-all description in a search warrant, unaccompanied by any list of particular items or any other limiting language. In October, 1981, when the police applied for the warrant at issue, the law was unsettled as to how particular the description of the articles to be seized must be in order to comply with the Fourth Amendment. ... This is the first case to address the issue in our court.... [P]rior to our decision, the existing cases left considerble ambiguity as to the exact requirements of the particularity clause.... In such a case, a reasonably well-trained police officer could not be expected to know that the warrant issued by [the magistrate] violated the Fourth Amendment.
Similarly, in the present case, even if the Court were to hold the warrant overbroad for lack of a time frame, the good-faith exception to the exclusionary rule renders suppression unwarranted.
Accord United States v. Ninety-Two Thousand Four Hundred Twenty-Two Dollars and Fifty-Seven Cents,
CONCLUSION
For the foregoing reasons, the Court appropriately denied the defendant’s motion to suppress the fruits of the search of his dental office.
Notes
. Cohan moved to dismiss this last aspect of the indictment pursuant to Federal Rule of Criminal Procedure 12(b)(3)(B), arguing that the facts alleged failed to state an offense. The Court denied Cohan's motion from the bench on June 2, 2009, at the same time it denied the motion addressed in this opinion.
. The warrant is a standard pre-printed form; the portions in italics were type-written in the form’s blank spaces.
. Courts have occasionally "been unclear on the difference between particularity and over-breadth,”
United States v. SDI Future Health, Inc.,
. Although the affidavit may not be construed in conjunction with the warrant for purposes of a
particularity
analysis, the affidavit must nonetheless be considered for purposes of an
overbreadth
(i.e., probable-cause) analysis: because particularity deals with the extent to which the executing officer's discretion is cabined,
see Manon,
. Since the issue of time frames is one of overbreadth, Graham is an example of a court conflating the concepts of overbreadth and particularity. See supra note 3.
. Costin and Triumph Capital are other examples of decisions using loose language conflating particularity and overbreadth.
. Although the Court does not decide the time-frame question, the Government should consider incorporating time frames into business-record search warrants to avoid potential constitutional pitfalls in the future.
. Even if the warrant were overbroad and the good-faith exception
did not
apply, Cohan would still not be entitled to the relief he seeks, i.e., the suppression of all evidence seized under the warrant. Rather, the proper remedy under Second Circuit law would be to suppress only the evidence seized under the overbroad portions of the warrant.
See George,
