UNITED STATES, PETITIONER v. JOHN H. WILLIAMS, JR.
No. 90-1972
SUPREME COURT OF THE UNITED STATES
504 U.S. 36
January 22, 1992, Argued
May 4, 1992, Decided
SCALIA, J., delivered the
opinion of the Court, in which REHNQUIST, C. J., and WHITE, KENNEDY, and SOUTER,
JJ., joined. STEVENS, J., filed a dissenting opinion, in which BLACKMUN and
O'CONNOR, JJ., joined, and in Parts II and III of which THOMAS, J., joined,
post, p. 55.
JUSTICE SCALIA delivered the opinion of the Court.
The question presented in this case is whether a district court may dismiss an
otherwise valid indictment because the Government failed to disclose to the
grand jury "substantial exculpatory evidence" in its possession.
I
On May 4, 1988, respondent John H. Williams, Jr., a Tulsa, Oklahoma, investor,
was indicted by a federal grand jury on seven counts of "knowingly making [a]
false statement or report . . . for the purpose of influencing . . . the action
[of a federally insured financial institution]," in violation of 18 U. S. C. §
1014 (1988 ed., Supp. II). According to the indictment, between September 1984
and November 1985 Williams supplied four Oklahoma banks with "materially false"
statements that variously overstated the value of his current assets and
interest income in order to influence the banks' actions on his loan requests.
Williams' misrepresentation was allegedly effected through two financial
statements provided to the banks, a "Market Value Balance Sheet" and a
"Statement of Projected Income and Expense." The former included as "current
assets" approximately $ 6 million in notes receivable from three venture capital
companies. Though it contained a disclaimer that these assets were carried at
cost rather than at market value, the Government asserted that listing them as
"current assets" -- i. e., assets quickly reducible to cash -- was misleading,
since Williams knew that none of the venture capital companies could afford to
satisfy the notes in the short term. The second document -- the Statement of
Projected Income and Expense -- allegedly misrepresented Williams' interest
income, since it failed to reflect that the interest payments received on the
notes of the venture capital companies were funded entirely by Williams' own
loans to those companies. The Statement thus falsely implied, according to the
Government, that Williams was deriving interest income from "an independent
outside source." Brief for United States 3.
Shortly after arraignment, the District Court granted Williams' motion for
disclosure of all exculpatory portions of the grand jury transcripts. See Brady
v. Maryland, 373 U.S. 83, 10 L. Ed. 2d 215, 83 S. Ct. 1194 (1963). Upon
reviewing this material, Williams demanded that the District Court dismiss the
indictment, alleging that the Government had failed to fulfill its obligation
under the Tenth Circuit's prior decision in United States v. Page, 808 F.2d 723,
728 (1987), to present "substantial exculpatory evidence" to the grand jury
(emphasis omitted). His contention was that evidence which the Government had
chosen not to present to the grand jury -- in particular, Williams' general
ledgers and tax returns, and Williams' testimony in his contemporaneous Chapter
11 bankruptcy proceeding -- disclosed that, for tax purposes and otherwise, he
had regularly accounted for the "notes receivable" (and the interest on them) in
a manner consistent with the Balance Sheet and the Income Statement. This, he
contended, belied an intent to mislead the banks, and thus directly negated an
essential element of the charged offense.
The District Court initially denied Williams' motion, but upon reconsideration
ordered the indictment dismissed without prejudice. It found, after a hearing,
that the withheld evidence was "relevant to an essential element of the crime
charged," created "'a reasonable doubt about [respondent's] guilt,'" App. to
Pet. for Cert. 23a-24a (quoting United States v. Gray, 502 F. Supp. 150, 152 (DC
1980)), and thus "rendered the grand jury's decision to indict gravely suspect,"
App. to Pet. for Cert. 26a. Upon the Government's appeal, the Court of Appeals
affirmed the District Court's order, following its earlier decision in Page,
supra. It first sustained as not "clearly erroneous" the District Court's
determination that the Government had withheld "substantial exculpatory
evidence" from the grand jury. See 899 F.2d 898, 900-903 (CA10 1990). It then
found that the Government's behavior "'substantially influenced'" the grand
jury's decision to indict, or at the very least raised a "'grave doubt that
the decision to indict was free from such substantial influence.'" Id., at 903
(quoting Bank of Nova Scotia v. United States, 487 U.S. 250, 263, 101 L. Ed. 2d
228, 108 S. Ct. 2369 (1988)); see 899 F.2d at 903-904. Under these
circumstances, the Tenth Circuit concluded, it was not an abuse of discretion
for the District Court to require the Government to begin anew before the grand
jury. n1 We granted certiorari. 502 U.S. 905 (1991).
n1 The Tenth Circuit also
rejected Williams' cross-appeal, which contended that the District Court's
dismissal should have been with prejudice. See 899 F.2d at 904.
II
Before proceeding to the merits
of this matter, it is necessary to discuss the propriety of reaching them.
Certiorari was sought and granted in this case on the following question:
"Whether an indictment may be dismissed because the government failed to present
exculpatory evidence to the grand jury." The first point discussed in
respondent's brief opposing the petition was captioned "The 'Question Presented'
in the Petition Was Never Raised Below." Brief in Opposition 3. In granting
certiorari, we necessarily considered and rejected that contention as a basis
for denying review.
JUSTICE STEVENS' dissent, however, revisits that issue, and proposes that --
after briefing, argument, and full consideration of the issue by all the
Justices of this Court -- we now decline to entertain this petition for the same
reason we originally rejected, and that we dismiss it as improvidently granted.
That would be improvident indeed. Our grant of certiorari was entirely in accord
with our traditional practice, though even if it were not it would be imprudent
(since there is no doubt that we have jurisdiction to entertain the case) to
reverse course at this late stage. See, e. g., Ferguson v. Moore-McCormack
Lines, Inc., 352 U.S. 521, 560, 1 L. Ed. 2d 511, 77 S. Ct. 457 (1957) (Harlan,
J., concurring in part and dissenting in part); Donnelly v. DeChristoforo, 416
U.S. 637, 648, 40 L. Ed. 2d 431, 94 S. Ct. 1868 (1974) (Stewart, J., concurring,
joined by WHITE, J.). Cf. Oklahoma City v. Tuttle, 471 U.S. 808, 816, 85 L. Ed.
2d 791, 105 S. Ct. 2427 (1985).
Our traditional rule, as the dissent correctly notes, precludes a grant of
certiorari only when "the question presented was not pressed or passed upon
below." Post, at 58 (internal quotation marks omitted). That this rule operates
(as it is phrased) in the disjunctive, permitting review of an issue not pressed
so long as it has been passed upon, is illustrated by some of our more recent
dispositions. As recently as last Term, in fact (in an opinion joined by JUSTICE
STEVENS), we entertained review in circumstances far more suggestive of the
petitioner's "sleeping on its rights" than those we face today. We responded as
follows to the argument of the Solicitor General that tracks today's dissent:
"The Solicitor General . . . submits that the petition for certiorari should be
dismissed as having been improvidently granted. He rests this submission on the
argument that petitioner did not properly present the merits of the timeliness
issue to the Court of Appeals, and that this Court should not address that
question for the first time. He made the same argument in his opposition to the
petition for certiorari. We rejected that argument in granting certiorari and we
reject it again now because the Court of Appeals, like the District Court before
it, decided the substantive issue presented." Stevens v. Department of Treasury,
500 U.S. 1, 8, 114 L. Ed. 2d 1, 111 S. Ct. 1562 (1991) (BLACKMUN, J.) (citations
omitted).
And in another case decided last Term, we said the following:
"Respondents argue that this issue was not raised below. The appeals court,
however, addressed the availability of a right of action to minority
shareholders in respondents' circumstances and concluded that respondents were
entitled to sue. It suffices for our purposes that the court below passed on the
issue presented, particularly where the issue is, we believe, in a state of
evolving definition and uncertainty, and one of importance to the administration
of federal law." Virginia Bankshares, Inc. v. Sandberg, 501 U.S. 1083, 1099, n.
8, 115 L. Ed. 2d 929, 111 S. Ct. 2749 (1991) (citations omitted; internal
quotation marks omitted). (JUSTICE STEVENS' separate concurrence and dissent in
Virginia Bankshares also reached the merits. Id., at 1110-1112.) n2 As JUSTICE
O'CONNOR has written:
"The standard we previously have
employed is that we will not review a question not pressed or passed on by the
courts below. Here, the Court of Appeals expressly ruled on the question, in an
appropriate exercise of its appellate jurisdiction; it is therefore entirely
proper in light of our precedents for the Court to reach the question on which
it granted certiorari. . . ." Springfield v. Kibbe, 480 U.S. 257, 266, 94 L. Ed.
2d 293, 107 S. Ct. 1114 (1987) (dissenting opinion) (emphasis in original;
citations omitted). n3
n2 The dissent purports to
distinguishStevens and Virginia Bankshares on the ground that, "although the
parties may not have raised the questions presented in the petitions . . .
before the Courts of Appeals in those cases, the courts treated the questions as
open questions that they needed to resolve in order to decide the cases." Post,
at 58, n. 4. The significance of this distinction completely eludes us. While
there is much to be said for a rule (to which the Court has never adhered)
limiting review to questions pressed by the litigants below, the rule implicitly
proposed by the dissent -- under which issues not pressed, but nevertheless
passed upon, may be reviewed only if the court below thought the issue an "open"
one -- makes no sense except as a device to distinguish Stevens and Virginia
Bankshares. It does nothing to further "the adversary process" that is the
object of the dissent's concern, post, at 59, n. 5; if a question is not
disputed by the parties, "the adversary process" is compromised whether the
court thinks the question open or not. Indeed, if anything, it is compromised
more when the lower court believes it is confronting a question of first
impression, for it is in those circumstances that the need for an adversary
presentation is most acute.
The dissent observes that where a court disposes of a case on the basis of a
"new rule that had not been debated by the parties, our review may be
appropriate to give the losing party an opportunity it would not otherwise have
to challenge the rule." Ibid. That is true enough, but the suggestion that this
principle has something to do with Stevens and Virginia Bankshares is wholly
unfounded: In neither case could -- or did -- the losing party claim to have
been ambushed by the lower court's summary treatment of the undisputed issues
which we later subjected to plenary review.
n3 The Court's per curiam dismissal of the writ in Kibbe was based principally
upon two considerations: (1) that the crucial issue was not raised in the
District Court because of failure to object to a jury instruction, thus invoking
Rule 51 of the Federal Rules of Civil Procedure, which provides that "no party
may assign as error the giving . . . [of] an instruction unless he objects
thereto before the jury retires to consider its verdict," and (2) that the
crucial issue had in addition not explicitly been raised in the petition for
certiorari. 480 U.S. at 259, 260. Of course, neither circumstance exists here.
There is no doubt in the present
case that the Tenth Circuit decided the crucial issue of the prosecutor's duty
to present exculpatory evidence. n4 Moreover, this is not, as the dissent paints
it, a case in which, "after losing in the Court of Appeals, the Government
reversed its position," post, at 57. The dissent describes the Government as
having "expressly acknowledged [in the Court of Appeals] the responsibilities
described in Page," post, at 56 (emphasis added). It did no such thing. Rather,
the Government acknowledged "that it has certain responsibilities under . . .
Page." Brief for United States in Response to Appellee's Brief in Nos. 88-2827,
88-2843 (CA10), p. 9 (emphasis added). It conceded, in other words, not that the
responsibilities Page had imposed were proper, but merely that Page had imposed
them -- over the protests of the Government, but in a judgment that was
nonetheless binding precedent for the panel below. The dissent would apparently
impose, as an absolute condition to our granting certiorari upon an issue
decided by a lower court, that a party demand overruling of a squarely
applicable, recent circuit precedent, even though that precedent was established
in a case to which the party itself was privy and over the party's vigorous
objection, see Page, 808 F.2d at 727 ("The government counters that a prosecutor
has no duty to disclose exculpatory evidence [to a grand jury]"), and even
though no "intervening developments in the law," post, at 59, n. 5, had
occurred. That seems to us unreasonable.
n4 Relying upon, and to some
extent repeating, the reasoning of its earlier holding inUnited States v. Page,
808 F.2d 723 (1981), the Court of Appeals said the following:
"We have previously held that a prosecutor has the duty to present substantial
exculpatory evidence to the grand jury. Although we do not require the
prosecutor to 'ferret out and present every bit of potentially exculpatory
evidence,' we do require that substantial exculpatory evidence discovered during
the course of an investigation be revealed to the grand jury. Other courts have
also recognized that such a duty exists. This requirement promotes judicial
economy because 'if a fully informed grand jury cannot find probable cause to
indict, there is little chance the prosecution could have proved guilt beyond a
reasonable doubt to a fully informed petit jury.'" 899 F.2d 898, 900 (1990)
(citations omitted).
This excerpt from the opinion below should make abundantly clear that, contrary
to the dissent's mystifying assertion, see post, at 58, and n. 3, we premise our
grant of certiorari not upon the Tenth Circuit's having "passed on" the issue in
its prior Page decision, but rather upon its having done so in this case. We
discuss Page only to point out that, had the Government not disputed the
creation of the binding Tenth Circuit precedent in that case, a different
exercise of discretion might be appropriate.
In short, having reconsidered the precise question we resolved when this
petition for review was granted, we again answer it the same way. It is a
permissible exercise of our discretion to undertake review of an important issue
expressly decided by a federal court n5 where, although the petitioner did not
contest the issue in the case immediately at hand, it did so as a party to the
recent proceeding upon which the lower courts relied for their resolution of the
issue, and did not concede in the current case the correctness of that
precedent. Undoubtedly the United States benefits from this rule more often than
other parties; but that is inevitably true of most desirable rules of procedure
or jurisdiction that we announce, the United States being the most frequent
litigant in our courts. Since we announce the rule to be applicable to all
parties; since we have recently applied a similar rule (indeed, a rule even more
broadly cast) to the disadvantage of the United States, see Stevens v.
Department of Treasury, 500 U.S. 1, 114 L. Ed. 2d 1, 111 S. Ct. 1562 (1991); and
since the dissenters themselves have approved the application of this rule (or a
broader one) in circumstances rationally indistinguishable from those before us,
see n. 2, supra; the dissent's suggestion that in deciding this case "the Court
appears to favor the Government over the ordinary litigant," post, at 59, and
compromises its "obligation to administer justice impartially," ibid., needs no
response.
n5 Where certiorari is sought to
a state court, "due regard for the appropriate relationship of this Court to
state courts," McGoldrick v. Compagnie Generale Transatlantique, 309 U.S. 430,
434-435, 84 L. Ed. 849, 60 S. Ct. 670 (1940), may suggest greater restraint in
applying our "pressed or passed upon" rule. In that context, the absence of
challenge to a seemingly settled federal rule deprives the state court of an
opportunity to rest its decision on an adequate and independent state ground.
See Illinois v. Gates, 462 U.S. 213, 222, 76 L. Ed. 2d 527, 103 S. Ct. 2317
(1983), cited by the dissent post, at 59; see also Bankers Life & Casualty Co.
v. Crenshaw, 486 U.S. 71, 79-80, 100 L. Ed. 2d 62, 108 S. Ct. 1645 (1988). But
cf. Cohen v. Cowles Media Co., 501 U.S. 663, 667, 115 L. Ed. 2d 586, 111 S. Ct.
2513 (1991) ("It is irrelevant to this Court's jurisdiction whether a party
raised below and argued a federal-law issue that the state supreme court
actually considered and decided").
III
Respondent does not contend that the Fifth Amendment itself obliges the
prosecutor to disclose substantial exculpatory evidence in his possession to the
grand jury. Instead, building on our statement that the federal courts "may,
within limits, formulate procedural rules not specifically required by the
Constitution or the Congress," United States v. Hasting, 461 U.S. 499, 505, 76
L. Ed. 2d 96, 103 S. Ct. 1974 (1983), he argues that imposition of the Tenth
Circuit's disclosure rule is supported by the courts' "supervisory power." We
think not. Hasting, and the cases that rely upon the principle it expresses,
deal strictly with the courts' power to control their own procedures. See, e.
g., Jencks v. United States, 353 U.S. 657, 667-668, 1 L. Ed. 2d 1103, 77 S. Ct.
1007 (1957); McNabb v. United States, 318 U.S. 332, 87 L. Ed. 819, 63 S. Ct. 608
(1943). That power has been applied not only to improve the truth-finding
process of the trial, see, e. g., Mesarosh v. United States, 352 U.S. 1, 9-14, 1
L. Ed. 2d 1, 77 S. Ct. 1 (1956), but also to prevent parties from reaping
benefit or incurring harm from violations of substantive or procedural rules
(imposed by the Constitution or laws) governing matters apart from the trial
itself, see, e. g., Weeks v. United States, 232 U.S. 383, 58 L. Ed. 652, 34 S.
Ct. 341 (1914). Thus, Bank of Nova Scotia v. United States, 487 U.S. 250, 101 L.
Ed. 2d 228, 108 S. Ct. 2369 (1988), makes clear that the supervisory power can
be used to dismiss an indictment because of misconduct before the grand jury, at
least where that misconduct amounts to a violation of one of those "few, clear
rules which were carefully drafted and approved by this Court and by Congress to
ensure the integrity of the grand jury's functions," United States v. Mechanik,
475 U.S. 66, 74, 89 L. Ed. 2d 50, 106 S. Ct. 938 (1986) (O'CONNOR, J.,
concurring in judgment). n6
n6 Rule 6 of the Federal Rules of
Criminal Procedure contains a number of such rules, providing, for example, that
"no person other than the jurors may be present while the grand jury is
deliberating or voting," Rule 6(d), and placing strict controls on disclosure of
"matters occurring before the grand jury," Rule 6(e); see generally United
States v. Sells Engineering, Inc., 463 U.S. 418, 77 L. Ed. 2d 743, 103 S. Ct.
3133 (1983). Additional standards of behavior for prosecutors (and others) are
set forth in the United States Code. See 18 U. S. C. §§ 6002, 6003 (setting
forth procedures for granting a witness immunity from prosecution); § 1623
(criminalizing false declarations before grand jury); § 2515 (prohibiting grand
jury use of unlawfully intercepted wire or oral communications); § 1622
(criminalizing subornation of perjury). That some of the misconduct alleged in
Bank of Nova Scotia v. United States, 487 U.S. 250, 101 L. Ed. 2d 228, 108 S.
Ct. 2369 (1988), was not specifically proscribed by Rule, statute, or the
Constitution does not make the case stand for a judicially prescribable grand
jury code, as the dissent suggests, see post, at 64-65. All of the allegations
of violation were dismissed by the Court -- without considering their validity
in law -- for failure to meet Nova Scotia's dismissal standard. See Bank of Nova
Scotia, supra, at 261.
We did not hold in Bank of Nova Scotia, however, that the courts' supervisory
power could be used, not merely as a means of enforcing or vindicating legally
compelled standards of prosecutorial conduct before the grand jury, but as a
means of prescribing those standards of prosecutorial conduct in the first
instance -- just as it may be used as a means of establishing standards of
prosecutorial conduct before the courts themselves. It is this latter exercise
that respondent demands. Because the grand jury is an institution separate from
the courts, over whose functioning the courts do not preside, we think it clear
that, as a general matter at least, no such "supervisory" judicial authority
exists, and that the disclosure rule applied here exceeded the Tenth Circuit's
authority.
A
"Rooted in long centuries of Anglo-American history," Hannah v. Larche, 363 U.S.
420, 490, 4 L. Ed. 2d 1307, 80 S. Ct. 1502 (1960) (Frankfurter, J., concurring
in result), the grand jury is mentioned in the Bill of Rights, but not in the
body of the Constitution. It has not been textually assigned, therefore, to any
of the branches described in the first three Articles. It "'is a constitutional
fixture in its own right.'" United States v. Chanen, 549 F.2d 1306, 1312 (CA9)
(quoting Nixon v. Sirica, 159 U.S. App. D.C. 58, 70, n. 54, 487 F.2d 700, 712,
n. 54 (1973)), cert. denied, 434 U.S. 825 (1977). In fact the whole theory of
its function is that it belongs to no branch of the institutional Government,
serving as a kind of buffer or referee between the Government and the people.
See Stirone v. United States, 361 U.S. 212, 218, 4 L. Ed. 2d 252, 80 S. Ct. 270
(1960); Hale v. Henkel, 201 U.S. 43, 61, 50 L. Ed. 652, 26 S. Ct. 370 (1906); G.
Edwards, The Grand Jury 28-32 (1906). Although the grand jury normally operates,
of course, in the courthouse and under judicial auspices, its institutional
relationship with the Judicial Branch has traditionally been, so to speak, at
arm's length. Judges' direct involvement in the functioning of the grand jury
has generally been confined to the constitutive one of calling the grand jurors
together and administering their oaths of office. See United States v. Calandra,
414 U.S. 338, 343, 38 L. Ed. 2d 561, 94 S. Ct. 613 (1974); Fed. Rule Crim. Proc.
6(a).
The grand jury's functional independence from the Judicial Branch is evident
both in the scope of its power to investigate criminal wrongdoing and in the
manner in which that power is exercised. "Unlike [a] court, whose jurisdiction
is predicated upon a specific case or controversy, the grand jury 'can
investigate merely on suspicion that the law is being violated, or even because
it wants assurance that it is not.'" United States v. R. Enterprises, Inc., 498
U.S. 292, 297, 112 L. Ed. 2d 795, 111 S. Ct. 722 (1991) (quoting United States
v. Morton Salt Co., 338 U.S. 632, 642-643, 94 L. Ed. 401, 70 S. Ct. 357 (1950)).
It need not identify the offender it suspects, or even "the precise nature of
the offense" it is investigating. Blair v. United States, 250 U.S. 273, 282, 63
L. Ed. 979, 39 S. Ct. 468 (1919). The grand jury requires no authorization from
its constituting court to initiate an investigation, see Hale, supra, at 59-60,
65, nor does the prosecutor require leave of court to seek a grand jury
indictment. And in its day-to-day functioning, the grand jury generally operates
without the interference of a presiding judge. See Calandra, supra, at 343. It
swears in its own witnesses, Fed. Rule Crim. Proc. 6(c), and deliberates in
total secrecy, see United States v. Sells Engineering, Inc., 463 U.S. 418,
424-425, 77 L. Ed. 2d 743, 103 S. Ct. 3133 (1983).
True, the grand jury cannot compel the appearance of witnesses and the
production of evidence, and must appeal to the court when such compulsion is
required. See, e. g., Brown v. United States, 359 U.S. 41, 49, 3 L. Ed. 2d 609,
79 S. Ct. 539 (1959). And the court will refuse to lend its assistance when the
compulsion the grand jury seeks would override rights accorded by the
Constitution, see, e. g., Gravel v. United States, 408 U.S. 606, 33 L. Ed. 2d
583, 92 S. Ct. 2614 (1972) (grand jury subpoena effectively qualified by order
limiting questioning so as to preserve Speech or Debate Clause immunity), or
even testimonial privileges recognized by the common law, see In re Grand Jury
Investigation of Hugle, 754 F.2d 863 (CA9 1985) (opinion of Kennedy, J.) (same
with respect to privilege for confidential marital communications). Even in this
setting, however, we have insisted that the grand jury remain "free to pursue
its investigations unhindered by external influence or supervision so long as it
does not trench upon the legitimate rights of any witness called before it."
United States v. Dionisio, 410 U.S. 1, 17-18, 35 L. Ed. 2d 67, 93 S. Ct. 764
(1973). Recognizing this tradition of independence, we have said that the Fifth
Amendment's "constitutional guarantee presupposes an investigative body 'acting
independently of either prosecuting attorney or judge'. . . ." Id., at 16
(emphasis added) (quoting Stirone, supra, at 218).
No doubt in view of the grand jury proceeding's status as other than a
constituent element of a "criminal prosecution," U.S. Const., Amdt. 6, we have
said that certain constitutional protections afforded defendants in criminal
proceedings have no application before that body. The Double Jeopardy Clause of
the Fifth Amendment does not bar a grand jury from returning an indictment when
a prior grand jury has refused to do so. See Ex parte United States, 287 U.S.
241, 250-251, 53 S. Ct. 129, 77 L. Ed. 283 (1932); United States v. Thompson,
251 U.S. 407, 413-415, 64 L. Ed. 333, 40 S. Ct. 289 (1920). We have twice
suggested, though not held, that the Sixth Amendment right to counsel does not
attach when an individual is summoned to appear before a grand jury, even if he
is the subject of the investigation. See United States v. Mandujano, 425 U.S.
564, 581, 48 L. Ed. 2d 212, 96 S. Ct. 1768 (1976) (plurality opinion); In re
Groban, 352 U.S. 330, 333, 1 L. Ed. 2d 376, 77 S. Ct. 510 (1957); see also Fed.
Rule Crim. Proc. 6(d). And although "the grand jury may not force a witness to
answer questions in violation of [the Fifth Amendment's] constitutional
guarantee" against self-incrimination, Calandra, supra, at 346 (citing Kastigar
v. United States, 406 U.S. 441, 32 L. Ed. 2d 212, 92 S. Ct. 1653 (1972)), our
cases suggest that an indictment obtained through the use of evidence previously
obtained in violation of the privilege against self-incrimination "is
nevertheless valid." Calandra, supra, at 346; see Lawn v. United States, 355
U.S. 339, 348-350, 2 L. Ed. 2d 321, 78 S. Ct. 311 (1958); United States v. Blue,
384 U.S. 251, 255, n. 3, 16 L. Ed. 2d 510, 86 S. Ct. 1416 (1966).
Given the grand jury's operational separateness from its constituting court, it
should come as no surprise that we have been reluctant to invoke the judicial
supervisory power as a basis for prescribing modes of grand jury procedure. Over
the years, we have received many requests to exercise supervision over the grand
jury's evidence-taking process, but we have refused them all, including some
more appealing than the one presented today. In United States v. Calandra,
supra, a grand jury witness faced questions that were allegedly based upon
physical evidence the Government had obtained through a violation of the Fourth
Amendment; we rejected the proposal that the exclusionary rule be extended to
grand jury proceedings, because of "the potential injury to the historic role
and functions of the grand jury." 414 U.S. at 349. In Costello v. United States,
350 U.S. 359, 100 L. Ed. 397, 76 S. Ct. 406 (1956), we declined to enforce the
hearsay rule in grand jury proceedings, since that "would run counter to the
whole history of the grand jury institution, in which laymen conduct their
inquiries unfettered by technical rules." Id., at 364.
These authorities suggest that any power federal courts may have to fashion, on
their own initiative, rules of grand jury procedure is a very limited one, not
remotely comparable to the power they maintain over their own proceedings. See
United States v. Chanen, 549 F.2d at 1313. It certainly would not permit
judicial reshaping of the grand jury institution, substantially altering the
traditional relationships between the prosecutor, the constituting court, and
the grand jury itself. Cf., e. g., United States v. Payner, 447 U.S. 727, 736,
65 L. Ed. 2d 468, 100 S. Ct. 2439 (1980) (supervisory power may not be applied
to permit defendant to invoke third party's Fourth Amendment rights); see
generally Beale, Reconsidering Supervisory Power in Criminal Cases:
Constitutional and Statutory Limits on the Authority of the Federal Courts, 84
Colum. L. Rev. 1433, 1490-1494, 1522 (1984). As we proceed to discuss, that
would be the consequence of the proposed rule here.
B
Respondent argues that the Court of Appeals' rule can be justified as a sort of
Fifth Amendment "common law," a necessary means of assuring the constitutional
right to the judgment "of an independent and informed grand jury," Wood v.
Georgia, 370 U.S. 375, 390, 8 L. Ed. 2d 569, 82 S. Ct. 1364 (1962). Brief for
Respondent 27. Respondent makes a generalized appeal to functional notions:
Judicial supervision of the quantity and quality of the evidence relied upon by
the grand jury plainly facilitates, he says, the grand jury's performance of its
twin historical responsibilities, i. e., bringing to trial those who may be
justly accused and shielding the innocent from unfounded accusation and
prosecution. See, e. g., Stirone v. United States, 361 U.S. at 218, n. 3. We do
not agree. The rule would neither preserve nor enhance the traditional
functioning of the institution that the Fifth Amendment demands. To the
contrary, requiring the prosecutor to present exculpatory as well as inculpatory
evidence would alter the grand jury's historical role, transforming it from an
accusatory to an adjudicatory body.
It is axiomatic that the grand jury sits not to determine guilt or innocence,
but to assess whether there is adequate basis for bringing a criminal charge.
See United States v. Calandra, 414 U.S. at 343. That has always been so; and to
make the assessment it has always been thought sufficient to hear only the
prosecutor's side. As Blackstone described the prevailing practice in
18th-century England, the grand jury was "only to hear evidence on behalf of the
prosecution[,] for the finding of an indictment is only in the nature of an
enquiry or accusation, which is afterwards to be tried and determined." 4 W.
Blackstone, Commentaries 300 (1769); see also 2 M. Hale, Pleas of the Crown 157
(1st Am. ed. 1847). So also in the United States. According to the description
of an early American court, three years before the Fifth Amendment was ratified,
it is the grand jury's function not "to enquire . . . upon what foundation [the
charge may be] denied," or otherwise to try the suspect's defenses, but only to
examine "upon what foundation [the charge] is made" by the prosecutor.
Respublica v. Shaffer, 1 U.S. 236, 1 Dall. 236, 1 L. Ed. 116 (O. T. Phila.
1788); see also F. Wharton, Criminal Pleading and Practice § 360, pp. 248-249
(8th ed. 1880). As a consequence, neither in this country nor in England has the
suspect under investigation by the grand jury ever been thought to have a right
to testify or to have exculpatory evidence presented. See 2 Hale, supra, at 157;
United States ex rel. McCann v. Thompson, 144 F.2d 604, 605-606 (CA2), cert.
denied, 323 U.S. 790, 89 L. Ed. 630, 65 S. Ct. 313 (1944).
Imposing upon the prosecutor a legal obligation to present exculpatory evidence
in his possession would be incompatible with this system. If a "balanced"
assessment of the entire matter is the objective, surely the first thing to be
done -- rather than requiring the prosecutor to say what he knows in defense of
the target of the investigation -- is to entitle the target to tender his own
defense. To require the former while denying (as we do) the latter would be
quite absurd. It would also be quite pointless, since it would merely invite the
target to circumnavigate the system by delivering his exculpatory evidence to
the prosecutor, whereupon it would have to be passed on to the grand jury --
unless the prosecutor is willing to take the chance that a court will not deem
the evidence important enough to qualify for mandatory disclosure. n7 See, e.
g., United States v. Law Firm of Zimmerman & Schwartz, P. C., 738 F. Supp. 407,
411 (Colo. 1990) (duty to disclose exculpatory evidence held satisfied when
prosecution tendered to the grand jury defense-provided exhibits, testimony, and
explanations of the governing law), aff'd sub nom. United States v. Brown, 943
F.2d 1246, 1257 (CA10 1991).
n7 How much of a gamble that is
is illustrated by the Court of Appeals' opinion in the present case. Though the
court purported to be applying the "substantial exculpatory" standard set forth
in its prior Page decision, see 899 F.2d at 900, portions of the opinion recite
a much more inclusive standard. See id., at 902 ("The grand jury must receive
any information that is relevant to any reasonable [exculpatory] theory it may
adopt"); ibid. ("We conclude, therefore, that the district court was not clearly
in error when it found that the deposition testimony was exculpatory").
Respondent acknowledges (as he must) that the "common law" of the grand jury is
not violated if the grand jury itself chooses to hear no more evidence than that
which suffices to convince it an indictment is proper. Cf. Thompson, supra, at
607. Thus, had the Government offered to familiarize the grand jury in this case
with the five boxes of financial statements and deposition testimony alleged to
contain exculpatory information, and had the grand jury rejected the offer as
pointless, respondent would presumably agree that the resulting indictment would
have been valid. Respondent insists, however, that courts must require the
modern prosecutor to alert the grand jury to the nature and extent of the
available exculpatory evidence, because otherwise the grand jury "merely
functions as an arm of the prosecution." Brief for Respondent 27. We reject the
attempt to convert a non-existent duty of the grand jury itself into an
obligation of the prosecutor. The authority of the prosecutor to seek an
indictment has long been understood to be "coterminous with the authority of the
grand jury to entertain [the prosecutor's] charges." United States v. Thompson,
251 U.S. at 414. If the grand jury has no obligation to consider all
"substantial exculpatory" evidence, we do not understand how the prosecutor can
be said to have a binding obligation to present it.
There is yet another respect in
which respondent's proposal not only fails to comport with, but positively
contradicts, the "common law" of the Fifth Amendment grand jury. Motions to
quash indictments based upon the sufficiency of the evidence relied upon by the
grand jury were unheard of at common law in England, see, e. g., People v.
Restenblatt, 1 Abb. Pr. 268, 269 (Ct. Gen. Sess. N. Y. 1855). And the
traditional American practice was described by Justice Nelson, riding circuit in
1852, as follows:
"No case has been cited, nor have we been able to find any, furnishing an
authority for looking into and revising the judgment of the grand jury upon the
evidence, for the purpose of determining whether or not the finding was founded
upon sufficient proof, or whether there was a deficiency in respect to any part
of the complaint . . . ." United States v. Reed, 2 Blatchf. 435, 27 F. Cas. 727,
738 (No. 16,134) (CC NDNY 1852).
We accepted Justice Nelson's description in Costello v. United States, where we
held that "it would run counter to the whole history of the grand jury
institution" to permit an indictment to be challenged "on the ground that there
was inadequate or incompetent evidence before the grand jury." 350 U.S. at
363-364. And we reaffirmed this principle recently in Bank of Nova Scotia, where
we held that "the mere fact that evidence itself is unreliable is not sufficient
to require a dismissal of the indictment," and that "a challenge to the
reliability or competence of the evidence presented to the grand jury" will not
be heard. 487 U.S. at 261. It would make little sense, we think, to abstain from
reviewing the evidentiary support for the grand jury's judgment while
scrutinizing the sufficiency of the prosecutor's presentation. A complaint about
the quality or adequacy of the evidence can always be recast as a complaint that
the prosecutor's presentation was "incomplete" or "misleading." n8 Our words in
Costello bear repeating: Review of facially valid indictments on such grounds
"would run counter to the whole history of the grand jury institution[,] [and]
neither justice nor the concept of a fair trial requires [it]." 350 U.S. at 364.
n8 In Costello, for example,
instead of complaining about the grand jury's reliance upon hearsay evidence the
petitioner could have complained about the prosecutor's introduction of it. See,
e. g., United States v. Estepa, 471 F.2d 1132, 1136-1137 (CA2 1972) (prosecutor
should not introduce hearsay evidence before grand jury when direct evidence is
available); see also Arenella, Reforming the Federal Grand Jury and the State
Preliminary Hearing to Prevent Conviction Without Adjudication, 78 Mich. L. Rev.
463, 540 (1980) ("Some federal courts have cautiously begun to . . . use a
revitalized prosecutorial misconduct doctrine to circumvent Costello's
prohibition against directly evaluating the sufficiency of the evidence
presented to the grand jury").
Echoing the reasoning of the Tenth Circuit in United States v. Page, 808 F.2d at
728, respondent argues that a rule requiring the prosecutor to disclose
exculpatory evidence to the grand jury would, by removing from the docket
unjustified prosecutions, save valuable judicial time. That depends, we suppose,
upon what the ratio would turn out to be between unjustified prosecutions
eliminated and grand jury indictments challenged -- for the latter as well as
the former consume "valuable judicial time." We need not pursue the matter; if
there is an advantage to the proposal, Congress is free to prescribe it. For the
reasons set forth above, however, we conclude that courts have no authority to
prescribe such a duty pursuant to their inherent supervisory authority over
their own proceedings. The judgment of the Court of Appeals is accordingly
reversed, and the cause is remanded for further proceedings consistent with this
opinion.
So ordered.
JUSTICE STEVENS, with whom
JUSTICE BLACKMUN and JUSTICE O'CONNOR join, and with whom JUSTICE THOMAS joins
as to Parts II and III, dissenting.
The Court's opinion announces two important changes in the law. First, it
justifies its special accommodation to the Solicitor General in granting
certiorari to review a contention that was not advanced in either the District
Court or the Court of Appeals by explaining that the fact that the issue was
raised in a different case is an adequate substitute for raising it in this
case. Second, it concludes that a federal court has no power to enforce the
prosecutor's obligation to protect the fundamental fairness of proceedings
before the grand jury.
I
The question presented by the certiorari petition is whether the failure to
disclose substantial exculpatory evidence to the grand jury is a species of
prosecutorial misconduct that may be remedied by dismissing an indictment
without prejudice. In the District Court and the Court of Appeals both parties
agreed that the answer to that question is "yes, in an appropriate case." The
only disagreement was whether this was an appropriate case: The prosecutor
vigorously argued that it was not because the undisclosed evidence was not
substantial exculpatory evidence, while respondent countered that the evidence
was exculpatory and the prosecutor's misconduct warranted a dismissal with
prejudice.
In an earlier case arising in the Tenth Circuit, United States v. Page, 808 F.2d
723, cert. denied, 482 U.S. 918 (1987), the defendant had claimed that his
indictment should have been dismissed because the prosecutor was guilty of
misconduct during the grand jury proceedings. Specifically, he claimed that the
prosecutor had allowed the grand jury to consider false testimony and had failed
to present it with substantial exculpatory evidence. 808 F.2d at 726-727. After
noting that there are "two views concerning the duty of a prosecutor to present
exculpatory evidence to a grand jury," id., at 727, the court concluded that the
"better, and more balanced rule" is that "when substantial exculpatory evidence
is discovered in the course of an investigation, it must be revealed to the
grand jury," id., at 728 (emphasis in original). The court declined to dismiss
the indictment, however, because the evidence withheld in that case was not
"clearly exculpatory." Ibid.
In this case the Government expressly acknowledged the responsibilities
described in Page, but argued that the withheld evidence was not exculpatory or
significant. n1 Instead of questioning the controlling rule of law, it
distinguished the facts of this case from those of an earlier case in which an
indictment had been dismissed because the prosecutor had withheld testimony that
made it factually impossible for the corporate defendant to have been guilty. n2
The Government concluded its principal brief with a request that the court apply
the test set forth in Bank of Nova Scotia v. United States, 487 U.S. 250, 101 L.
Ed. 2d 228, 108 S. Ct. 2369 (1988), "follow the holding of Page," and hold that
dismissal was not warranted in this case because the withheld evidence was not
substantial exculpatory evidence and respondent "was not prejudiced in any way."
Brief for United States in No. 88-2827 (CA10), pp. 40-43.
n1 "The government has
acknowledged that it has certain responsibilities under the case of United
States v. Page, 808 F.2d 723 (10th Cir. 1987), and that includes a duty to not
withhold substantial exculpatory evidence from a grand jury if such exists. . .
. The government would contend that . . . it was familiar with and complied with
the principles stated in the case . . . . Considering the evidence as a whole,
it is clear that the government complied with, and went beyond the requirements
of Page, supra." Brief for United States in Response to Appellee's Brief in Nos.
88-2827, 88-2843 (CA10), pp. 9-10.
n2 Respondent had relied on United States v. Phillips Petroleum Co., 435 F.
Supp. 610 (ND Okla. 1977). The Government distinguished the case based on "the
type of evidence excluded. In Phillips, supra, the prosecutor sent the Grand
Jury home for the day, but continued questioning a witness. In that session,
outside the hearing of the Grand Jury members, the witness, who had been granted
use immunity, testified to certain information which showed that the witness had
been the one who knowingly committed an offense, and showed that the corporation
had not intentionally committed an offense in that case. There was no question
that the withheld testimony made it factually impossible for the corporate
defendant to have been guilty, and therefore the evidence was substantial and
exculpatory. In the instant case there is a disagreement between the government
and the defendant as to whether the documents the defendant wants presented in
full are exculpatory." Brief for United States in No. 88-2827 (CA10), p. 38.
After losing in the Court of Appeals, the Government reversed its position and
asked this Court to grant certiorari and to hold that the prosecutor has no
judicially enforceable duty to present exculpatory evidence to the grand jury.
In his brief in opposition to the petition, respondent clearly pointed out that
the question presented by the petition "was neither presented to nor addressed
by the courts below." Brief in Opposition 2. He appropriately called our
attention to many of the cases in which we have stated, repeated, and reiterated
the general rule that precludes a grant of certiorari when the question
presented was "not pressed or passed upon below." n3 Id., at 5-9. Apart from the
fact that the United States is the petitioner, I see no reason for not following
that salutary practice in this case. n4 Nevertheless, the requisite number of
Justices saw fit to grant the Solicitor General's petition. 502 U.S. 905 (1991).
n3 Duignan v. United States, 274
U.S. 195, 200, 71 L. Ed. 996, 47 S. Ct. 566 (1927); see also, e. g., United
States v. Lovasco, 431 U.S. 783, 788, n. 7, 52 L. Ed. 2d 752, 97 S. Ct. 2044
(1977); United States v. Ortiz, 422 U.S. 891, 898, 45 L. Ed. 2d 623, 95 S. Ct.
2585 (1975). Until today the Court has never suggested that the fact that an
argument was pressed by the litigant or passed on by the court of appeals in a
different case would satisfy this requirement.
n4 Stevens v. Department of Treasury, 500 U.S. 1, 114 L. Ed. 2d 1, 111 S. Ct.
1562 (1991), and Virginia Bankshares, Inc. v. Sandberg, 501 U.S. 1083, 115 L.
Ed. 2d 929, 111 S. Ct. 2749 (1991), discussed by the Court, ante, at 41-42, were
routine applications of the settled rule. Although the parties may not have
raised the questions presented in the petitions for certiorari before the Courts
of Appeals in those cases, the courts treated the questions as open questions
that they needed to resolve in order to decide the cases. Similarly, in
Springfield v. Kibbe, 480 U.S. 257, 94 L. Ed. 2d 293, 107 S. Ct. 1114 (1987),
the Court of Appeals had expressly considered and answered the question that
JUSTICE O'CONNOR thought we should decide, see id., at 263-266. This case, in
contrast, involved "the routine restatement and application of settled law by an
appellate court," which we have previously found insufficient to satisfy the
"pressed or passed upon below" rule. Illinois v. Gates, 462 U.S. 213, 222-223,
76 L. Ed. 2d 527, 103 S. Ct. 2317 (1983).
The Court explains that the settled rule does not apply to the Government's
certiorari petition in this case because the Government raised the same question
three years earlier in the Page case and the Court of Appeals passed on the
issue in that case. Ante, at 44-45. This is a novel, and unwise, change in the
rule. We have never suggested that the fact that a court has repeated a settled
proposition of law and applied it, without objection, in the case at hand
provides a sufficient basis for our review. n5 See Illinois v. Gates, 462 U.S.
213, 222-223, 76 L. Ed. 2d 527, 103 S. Ct. 2317 (1983), and cases cited therein.
If this is to be the rule in the future, it will either provide a basis for a
significant expansion of our discretionary docket n6 or, if applied only to
benefit repetitive litigants, a special privilege for the Federal Government.
n5 The Court expresses an
inability to understand the difference between the routine application, without
objection, of a settled rule, on the one hand, and the decision of an open
question on a ground not argued by the parties, on the other. The difference is
best explained in light of the basic assumption that the adversary process
provides the best method of arriving at correct decisions. Rules of appellate
practice generally require that an issue be actually raised and debated by the
parties if it is to be preserved. In the exceptional case, in which an appellate
court announces a new rule that had not been debated by the parties, our review
may be appropriate to give the losing party an opportunity it would not
otherwise have to challenge the rule. In this case, however, there is no reason
why the Government could not have challenged the Page rule in this case in the
Tenth Circuit. There is no need for an exception to preserve the losing
litigant's opportunity to be heard. Moreover, the Government's failure to object
to the application of the Page rule deprived the Court of Appeals of an
opportunity to reexamine the validity of that rule in the light of intervening
developments in the law. "Sandbagging" is just as improper in an appellate court
as in a trial court.
n6 The "expressed or passed on"
predicate for the exercise of our jurisdiction is of special importance in
determining our power to review state-court judgments. If the Court's newly
announced view that the routine application of a settled rule satisfies the
"passed on" requirement in a federal case, I see no reason why it should not
also satisfy the same requirement in a state case.
This Court has a special obligation to administer justice impartially and to set
an example of impartiality for other courts to emulate. When the Court appears
to favor the Government over the ordinary litigant, it seriously compromises its
ability to discharge that important duty. For that reason alone, I would dismiss
the writ of certiorari as improvidently granted. n7
n7 The Court suggests that it
would be "improvident" for the Court to dismiss the writ of certiorari on the
ground that the Government failed to raise the question presented in the lower
courts because respondent raised this argument in his brief in opposition, the
Court nevertheless granted the writ, and the case has been briefed and argued.
Ante, at 40. I disagree. The vote of four Justices is sufficient to grant a
petition for certiorari, but that action does not preclude a majority of the
Court from dismissing the writ as improvidently granted after the case has been
argued. See, e. g., NAACP v. Overstreet, 384 U.S. 118, 16 L. Ed. 2d 409, 86 S.
Ct. 1306 (1966) (dismissing, after oral argument, writ as improvidently granted
over the dissent of four Justices). We have frequently dismissed the writ as
improvidently granted after the case has been briefed and argued; in fact, we
have already done so twice this Term. See Gibson v. Florida Bar, 502 U.S. 104,
116 L. Ed. 2d 432, 112 S. Ct. 633 (1991); PFZ Properties, Inc. v. Rodriguez, 503
U.S. 257, 117 L. Ed. 2d 400, 112 S. Ct. 1151 (1992). Although we do not always
explain the reason for the dismissal, we have on occasion dismissed the writ for
the reasons raised by the respondent in the brief in opposition. Thus, nothing
precludes the Court from dismissing the writ in this case.
II
Like the Hydra slain by Hercules, prosecutorial misconduct has many heads. Some
are cataloged in Justice Sutherland's classic opinion for the Court in Berger v.
United States, 295 U.S. 78, 79 L. Ed. 1314, 55 S. Ct. 629 (1935):
"That the United States prosecuting attorney overstepped the bounds of that
propriety and fairness which should characterize the conduct of such an officer
in the prosecution of a criminal offense is clearly shown by the record. He was
guilty of misstating the facts in his cross-examination of witnesses; of putting
into the mouths of such witnesses things which they had not said; of suggesting
by his questions that statements had been made to him personally out of court,
in respect of which no proof was offered; of pretending to understand that a
witness had said something which he had not said and persistently
cross-examining the witness upon that basis; of assuming prejudicial facts not
in evidence; of bullying and arguing with witnesses; and in general, of
conducting himself in a thoroughly indecorous and improper manner . . . .
"The prosecuting attorney's argument to the jury was undignified and
intemperate, containing improper insinuations and assertions calculated to
mislead the jury." Id., at 84-85.
This, of course, is not an exhaustive list of the kinds of improper tactics that
overzealous or misguided prosecutors have adopted in judicial proceedings. The
reported cases of this Court alone contain examples of the knowing use of
perjured testimony, Mooney v. Holohan, 294 U.S. 103, 79 L. Ed. 791, 55 S. Ct.
340 (1935), the suppression of evidence favorable to an accused person, Brady v.
Maryland, 373 U.S. 83, 87-88, 10 L. Ed. 2d 215, 83 S. Ct. 1194 (1963), and
misstatements of the law in argument to the jury, Caldwell v. Mississippi, 472
U.S. 320, 336, 86 L. Ed. 2d 231, 105 S. Ct. 2633 (1985), to name just a few.
Nor has prosecutorial misconduct been limited to judicial proceedings: The
reported cases indicate that it has sometimes infected grand jury proceedings as
well. The cases contain examples of prosecutors presenting perjured testimony,
United States v. Basurto, 497 F.2d 781, 786 (CA9 1974), questioning a witness
outside the presence of the grand jury and then failing to inform the grand jury
that the testimony was exculpatory, United States v. Phillips Petroleum, Inc.,
435 F. Supp. 610, 615-617 (ND Okla. 1977), failing to inform the grand jury of
its authority to subpoena witnesses, United States v. Samango, 607 F.2d 877, 884
(CA9 1979), operating under a conflict of interest, United States v. Gold, 470
F. Supp. 1336, 1346-1351 (ND Ill. 1979), misstating the law, United States v.
Roberts, 481 F. Supp. 1385, 1389, and n. 10 (CD Cal. 1980), n8 and misstating
the facts on cross-examination of a witness, United States v. Lawson, 502 F.
Supp. 158, 162, and nn. 6-7 (Md. 1980).
n8 The court found the Government
guilty of prosecutorial misconduct because it "failed to provide the polygraph
evidence to the Grand Jury despite the prosecutor's guarantee to Judge Pregerson
that all exculpatory evidence would be presented to the Grand Jury, and
compounded this indiscretion by erroneously but unequivocally telling the Grand
Jury that the polygraph evidence was inadmissible." United States v. Roberts,
481 F. Supp. at 1389.
Justice Sutherland's identification of the basic reason why that sort of
misconduct is intolerable merits repetition:
"The United States Attorney is the representative not of an ordinary party to a
controversy, but of a sovereignty whose obligation to govern impartially is as
compelling as its obligation to govern at all; and whose interest, therefore, in
a criminal prosecution is not that it shall win a case, but that justice shall
be done. As such, he is in a peculiar and very definite sense the servant of the
law, the twofold aim of which is that guilt shall not escape or innocence
suffer. He may prosecute with earnestness and vigor -- indeed, he should do so.
But, while he may strike hard blows, he is not at liberty to strike foul ones.
It is as much his duty to refrain from improper methods calculated to produce a
wrongful conviction as it is to use every legitimate means to bring about a just
one." Berger v. United States, 295 U.S. at 88.
It is equally clear that the prosecutor has the same duty to refrain from
improper methods calculated to produce a wrongful indictment. Indeed, the
prosecutor's duty to protect the fundamental fairness of judicial proceedings
assumes special importance when he is presenting evidence to a grand jury. As
the Court of Appeals for the Third Circuit recognized, "the costs of continued
unchecked prosecutorial misconduct" before the grand jury are particularly
substantial because there "the prosecutor operates without the check of a judge
or a trained legal adversary, and virtually immune from public scrutiny. The
prosecutor's abuse of his special relationship to the grand jury poses an
enormous risk to defendants as well. For while in theory a trial provides the
defendant with a full opportunity to contest and disprove the charges against
him, in practice, the handing up of an indictment will often have a devastating
personal and professional impact that a later dismissal or acquittal can never
undo. Where the potential for abuse is so great, and the consequences of a
mistaken indictment so serious, the ethical responsibilities of the prosecutor,
and the obligation of the judiciary to protect against even the appearance of
unfairness, are correspondingly heightened." United States v. Serubo, 604 F.2d
807, 817 (1979).
In his dissent in United States v. Ciambrone, 601 F.2d 616 (CA2 1979), Judge
Friendly also recognized the prosecutor's special role in grand jury
proceedings:
"As the Supreme Court has noted, 'the Founders thought the grand jury so
essential to basic liberties that they provided in the Fifth Amendment that
federal prosecution for serious crimes can only be instituted by "a presentment
or indictment of a Grand Jury."' United States v. Calandra, 414 U.S. 338, 343,
38 L. Ed. 2d 561, 94 S. Ct. 613, . . . (1974). Before the grand jury the
prosecutor has the dual role of pressing for an indictment and of being the
grand jury adviser. In case of conflict, the latter duty must take precedence.
United States v. Remington, 208 F.2d 567, 573-74 (2d Cir. 1953) (L. Hand, J.,
dissenting), cert. denied, 347 U.S. 913, 98 L. Ed. 1069, 74 S. Ct. 476 . . .
(1954).
"The ex parte character of grand jury proceedings makes it peculiarly important
for a federal prosecutor to remember that, in the familiar phrase, the interest
of the United States 'in a criminal prosecution is not that it shall win a case,
but that justice shall be done.' Berger v. United States, 295 U.S. 78, 88, 79 L.
Ed. 1314, 55 S. Ct. 629 . . . (1935)." 604 U.S. at 628-629. n9
n9 Although the majority in
Ciambrone did not agree with Judge Friendly's appraisal of the prejudicial
impact of the misconduct in that case, it also recognized the prosecutor's duty
to avoid fundamentally unfair tactics during the grand jury proceedings. Judge
Mansfield explained:
"On the other hand, the prosecutor's right to exercise some discretion and
selectivity in the presentation of evidence to a grand jury does not entitle him
to mislead it or to engage in fundamentally unfair tactics before it. The
prosecutor, for instance, may not obtain an indictment on the basis of evidence
known to him to be perjurious, United States v. Basurto, 497 F.2d 781, 785-86
(9th Cir. 1974), or by leading it to believe that it has received eyewitness
rather than hearsay testimony, United States v. Estepa, 471 F.2d 1132, 1136-37
(2d Cir. 1972). We would add that where a prosecutor is aware of any substantial
evidence negating guilt he should, in the interest of justice, make it known to
the grand jury, at least where it might reasonably be expected to lead the jury
not to indict. See ABA Project on Standards for Criminal Justice -- the
Prosecution Function, § 3.6, pp. 90-91." 601 F.2d at 623.
The standard for judging the consequences of prosecutorial misconduct during
grand jury proceedings is essentially the same as the standard applicable to
trials. In United States v. Mechanik, 475 U.S. 66, 89 L. Ed. 2d 50, 106 S. Ct.
938 (1986), we held that there was "no reason not to apply [the harmless error
rule] to 'errors, defects, irregularities, or variances' occurring before a
grand jury just as we have applied it to such error occurring in the criminal
trial itself," id., at 71-72. We repeated that holding in Bank of Nova Scotia v.
United States, 487 U.S. 250, 101 L. Ed. 2d 228, 108 S. Ct. 2369 (1988), when we
rejected a defendant's argument that an indictment should be dismissed because
of prosecutorial misconduct and irregularities in proceedings before the grand
jury. Referring to the prosecutor's misconduct before the grand jury, we
"concluded that our customary harmlesserror inquiry is applicable where, as in
the cases before us, a court is asked to dismiss an indictment prior to the
conclusion of the trial." Id., at 256. Moreover, in reviewing the instances of
misconduct in that case, we applied precisely the same standard to the
prosecutor's violations of Rule 6 of the Federal Rules of Criminal Procedure and
to his violations of the general duty of fairness that applies to all judicial
proceedings. This point is illustrated by the Court's comments on the
prosecutor's abuse of a witness:
"The District Court found that a prosecutor was abusive to an expert defense
witness during a recess and in the hearing of some grand jurors. Although the
Government concedes that the treatment of the expert tax witness was improper,
the witness himself testified that his testimony was unaffected by this
misconduct. The prosecutors instructed the grand jury to disregard anything they
may have heard in conversations between a prosecutor and a witness, and
explained to the grand jury that such conversations should have no influence on
its deliberations. App. 191. In light of these ameliorative measures, there is
nothing to indicate that the prosecutor's conduct toward this witness
substantially affected the grand jury's evaluation of the testimony or its
decision to indict." 487 U.S. at 261.
Unquestionably, the plain implication of that discussion is that if the
misconduct, even though not expressly forbidden by any written rule, had played
a critical role in persuading the jury to return the indictment, dismissal would
have been required.
In an opinion that I find difficult to comprehend, the Court today repudiates
the assumptions underlying these cases and seems to suggest that the court has
no authority to supervise the conduct of the prosecutor in grand jury
proceedings so long as he follows the dictates of the Constitution, applicable
statutes, and Rule 6 of the Federal Rules of Criminal Procedure. The Court
purports to support this conclusion by invoking the doctrine of separation of
powers and citing a string of cases in which we have declined to impose
categorical restraints on the grand jury. Needless to say, the Court's reasoning
is unpersuasive.
Although the grand jury has not been "textually assigned" to "any of the
branches described in the first three Articles" of the Constitution, ante, at
47, it is not an autonomous body completely beyond the reach of the other
branches. Throughout its life, from the moment it is convened until it is
discharged, the grand jury is subject to the control of the court. As Judge
Learned Hand recognized over 60 years ago, "a grand jury is neither an officer
nor an agent of the United States, but a part of the court." Falter v. United
States, 23 F.2d 420, 425 (CA2), cert. denied, 277 U.S. 590, 72 L. Ed. 1003, 48
S. Ct. 528 (1928). This Court has similarly characterized the grand jury:
"A grand jury is clothed with great independence in many areas, but it remains
an appendage of the court, powerless to perform its investigative function
without the court's aid, because powerless itself to compel the testimony of
witnesses. It is the court's process which summons the witness to attend and
give testimony, and it is the court which must compel a witness to testify if,
after appearing, he refuses to do so." Brown v. United States, 359 U.S. 41, 49,
3 L. Ed. 2d 609, 79 S. Ct. 539 (1959).
See also Blair v. United States, 250 U.S. 273, 280, 63 L. Ed. 979, 39 S. Ct. 468
(1919) ("At the foundation of our Federal Government the inquisitorial function
of the grand jury and the compulsion of witnesses were recognized as incidents
of the judicial power of the United States"); United States v. Calandra, 414
U.S. 338, 346, 38 L. Ed. 2d 561, 94 S. Ct. 613, and n. 4 (1974).
This Court has, of course, long recognized that the grand jury has wide latitude
to investigate violations of federal law as it deems appropriate and need not
obtain permission from either the court or the prosecutor. See, e. g., id., at
343; Costello v. United States, 350 U.S. 359, 362, 100 L. Ed. 397, 76 S. Ct. 406
(1956); Hale v. Henkel, 201 U.S. 43, 65, 50 L. Ed. 652, 26 S. Ct. 370 (1906).
Correspondingly, we have acknowledged that "its operation generally is
unrestrained by the technical procedural and evidentiary rules governing the
conduct of criminal trials." Calandra, 414 U.S. at 343. But this is because
Congress and the Court have generally thought it best not to impose procedural
restraints on the grand jury; it is not because they lack all power to do so.
n10
n10 Indeed, even the Court
acknowledges that Congress has the power to regulate the grand jury, for it
concedes that Congress "is free to prescribe" a rule requiring the prosecutor to
disclose substantial exculpatory evidence to the grand jury. Ante, at 55.
To the contrary, the
Court has recognized that it has the authority to create and enforce limited
rules applicable in grand jury proceedings. Thus, for example, the Court has
said that the grand jury "may not itself violate a valid privilege, whether
established by the Constitution, statutes, or the common law." Id., at 346. And
the Court may prevent a grand jury from violating such a privilege by quashing
or modifying a subpoena, id., at 346, n. 4, or issuing a protective order
forbidding questions in violation of the privilege, Gravel v. United States, 408
U.S. 606, 628-629, 33 L. Ed. 2d 583, 92 S. Ct. 2614 (1972). Moreover, there are,
as the Court notes, ante, at 49, a series of cases in which we declined to
impose categorical restraints on the grand jury. In none of those cases,
however, did we question our power to reach a contrary result. n11
n11 In Costello v. United States,
350 U.S. 359, 363, 100 L. Ed. 397, 76 S. Ct. 406 (1956), for example, the Court
held that an indictment based solely on hearsay evidence is not invalid under
the Grand Jury Clause of the Fifth Amendment. The Court then rejected the
petitioner's argument that it should invoke "its power to supervise the
administration of justice in federal courts" to create a rule permitting
defendants to challenge indictments based on unreliable hearsay evidence. The
Court declined to exercise its power in this way because "no persuasive reasons
are advanced for establishing such a rule. It would run counter to the whole
history of the grand jury institution, in which laymen conduct their inquiries
unfettered by technical rules. Neither justice nor the concept of a fair trial
requires such a change." Id., at 364.
Although the Court recognizes that it may invoke its supervisory authority to
fashion and enforce privilege rules applicable in grand jury proceedings, ibid.,
and suggests that it may also invoke its supervisory authority to fashion other
limited rules of grand jury procedure, ante, at 48-49, it concludes that it has
no authority to prescribe "standards of prosecutorial conduct before the grand
jury," ante, at 46-47, because that would alter the grand jury's historic role
as an independent, inquisitorial institution. I disagree.
We do not protect the integrity and independence of the grand jury by closing
our eyes to the countless forms of prosecutorial misconduct that may occur
inside the secrecy of the grand jury room. After all, the grand jury is not
merely an investigatory body; it also serves as a "protector of citizens against
arbitrary and oppressive governmental action." United States v. Calandra, 414
U.S. at 343. Explaining why the grand jury must be both "independent" and
"informed," the Court wrote in Wood v. Georgia, 370 U.S. 375, 8 L. Ed. 2d 569,
82 S. Ct. 1364 (1962):
"Historically, this body has been regarded as a primary security to the innocent
against hasty, malicious and oppressive persecution; it serves the invaluable
function in our society of standing between the accuser and the accused, whether
the latter be an individual, minority group, or other, to determine whether a
charge is founded upon reason or was dictated by an intimidating power or by
malice and personal ill will." Id., at 390.
It blinks reality to say that the grand jury can adequately perform this
important historic role if it is intentionally misled by the prosecutor -- on
whose knowledge of the law and facts of the underlying criminal investigation
the jurors will, of necessity, rely.
Unlike the Court, I am unwilling to hold that countless forms of prosecutorial
misconduct must be tolerated -- no matter how prejudicial they may be, or how
seriously they may distort the legitimate function of the grand jury -- simply
because they are not proscribed by Rule 6 of the Federal Rules of Criminal
Procedure or a statute that is applicable in grand jury proceedings. Such a
sharp break with the traditional role of the federal judiciary is unprecedented,
unwarranted, and unwise. Unrestrained prosecutorial misconduct in grand jury
proceedings is inconsistent with the administration of justice in the federal
courts and should be redressed in appropriate cases by the dismissal of
indictments obtained by improper methods. n12
n12 Although the Court's opinion
barely mentions the fact that the grand jury was intended to serve the
invaluable function of standing between the accuser and the accused, I must
assume that in a proper case it will acknowledge -- as even the Solicitor
General does -- that unrestrained prosecutorial misconduct in grand jury
proceedings "could so subvert the integrity of the grand jury process as to
justify judicial intervention. Cf. Franks v. Delaware, 438 U.S. 154, 164-171, 57
L. Ed. 2d 667, 98 S. Ct. 2674 (1978) (discussing analogous considerations in
holding that a search warrant affidavit may be challenged when supported by
deliberately false police statements)." Brief for United States 22, n. 8.
III
What, then, is the proper disposition of this case? I agree with the Government
that the prosecutor is not required to place all exculpatory evidence before the
grand jury. A grand jury proceeding is an ex parte investigatory proceeding to
determine whether there is probable cause to believe a violation of the criminal
laws has occurred, not a trial. Requiring the prosecutor to ferret out and
present all evidence that could be used at trial to create a reasonable doubt as
to the defendant's guilt would be inconsistent with the purpose of the grand
jury proceeding and would place significant burdens on the investigation. But
that does not mean that the prosecutor may mislead the grand jury into believing
that there is probable cause to indict by withholding clear evidence to the
contrary. I thus agree with the Department of Justice that "when a prosecutor
conducting a grand jury inquiry is personally aware of substantial evidence
which directly negates the guilt of a subject of the investigation, the
prosecutor must present or otherwise disclose such evidence to the grand jury
before seeking an indictment against such a person." U.S. Dept. of Justice,
United States Attorneys' Manual P9-11.233, p. 88 (1988).
Although I question whether the evidence withheld in this case directly negates
respondent's guilt, n13 I need not resolve my doubts because the Solicitor
General did not ask the Court to review the nature of the evidence withheld.
Instead, he asked us to decide the legal question whether an indictment may be
dismissed because the prosecutor failed to present exculpatory evidence. Unlike
the Court and the Solicitor General, I believe the answer to that question is
yes, if the withheld evidence would plainly preclude a finding of probable
cause. I therefore cannot endorse the Court's opinion.
n13 I am reluctant to rely on the
lower courts' judgment in this regard, as they apparently applied a more lenient
legal standard. The District Court dismissed the indictment because the
"information withheld raises reasonable doubt about the Defendant's intent to
defraud," and thus "renders the grand jury's decision to indict gravely
suspect." App. to Pet. for Cert. 26a. The Court of Appeals affirmed this
decision because it was not "clearly erroneous." 899 F.2d 898, 902-904 (CA10
1990).
More importantly, because I am so firmly opposed to the Court's favored
treatment of the Government as a litigator, I would dismiss the writ of
certiorari as improvidently granted.