J. PAUL OETKEN, District Judge:
The Indictment in this case charges 36 defendants with conspiracy to commit racketeering, health care fraud, mail fraud, and money laundering in connection with an allegedly fraudulent no-fault insurance scheme. Presently before the Court are several pretrial motions filed by certain Defendants. Oral argument on these motions was held on April 19, 2013. For the reasons set forth below, the motion to suppress evidence seized from the Tri-State Billing office is granted, while Defendants' other motions are denied.
Defendants Yuriy Zayonts, Michael Danilovich, and Boris Treysler, joined by several other Defendants, move to strike portions of the Indictment insofar as they are based on the Government's theory of "fraudulent incorporation," arguing that the theory is legally insufficient to support a conviction for mail fraud or health care fraud (or conspiracy or RICO charges premised on those offenses).
The Indictment charges a complex scheme to defraud automobile insurance companies through New York's No Fault Comprehensive Motor Vehicle Insurance Reparation Act (the "No-Fault Law"), N.Y. Ins. Law § 5102 et seq. With respect to the fraudulent incorporation theory, the Indictment alleges as follows:
(Indictment ¶¶ 5-7.)
New York's No-Fault Law requires automobile insurance companies to reimburse drivers and passengers for "[a]ll necessary expenses" up to $50,000 resulting from personal injuries arising out of motor vehicle accidents. N.Y. Ins. Law § 5102. Pursuant to regulations promulgated by the New York State Superintendent of Insurance, an insured may assign his or her benefits to the health care provider, which may then receive direct payment for the services provided. 11 N.Y.C.R.R. § 65-3.11(a). The regulations further provide:
11 N.Y.C.R.R. § 65-3.16(a)(12).
The New York State Department of Education is authorized to issue a certificate of authority to a "qualified professional service corporation" that is organized pursuant to Section 1503 of the New York Business Corporation Law. N.Y. Educ. Law § 6507(4)(c). Section 1503 provides that such an entity's certificate of incorporation
N.Y. Bus. Corp. Law § 1503(b). Section 1507(a) of that statute provides that "[a] professional service corporation may issue shares only to individuals who are authorized by law to practice in this state a profession which such corporation is authorized to practice. . . ." Section 1508 states that "[n]o individual may be a director or officer of a professional service corporation unless he is authorized by law to practice in this state a profession which such corporation is authorized to practice and is either a shareholder of such corporation or engaged in the practice of his profession in such corporation."
In short, New York licensing requirements are structured so as to "prohibit nonphysicians from owning or controlling medical service corporations." State Farm Mut. Auto. Ins. Co. v. Mallela, 4 N.Y.3d 313, 320-21, 794 N.Y.S.2d 700, 827 N.E.2d 758 (2005).
In Mallela, the New York Court of Appeals, answering a question certified by the Second Circuit, held both that the above-referenced regulations are valid, and that "fraudulently incorporated" medical corporations "are not entitled to reimbursement" from insurers under the No-Fault Law. Id. at 320, 322, 794 N.Y.S.2d 700, 827 N.E.2d 758. Noting "[New York] State's prohibition against lay ownership of shares in medical corporations (and the accompanying potential for fraud)," as well as "the strength of the regulation [11 N.Y.C.R.R. § 65-3.16(a)(12)]," the Court determined that insurance carriers "may look beyond the face of licensing documents to identify willful and material failure to abide by state and local law." Id. at 321, 794 N.Y.S.2d 700, 827 N.E.2d 758. Such a rule, the Court held, was consonant with the Superintendent's regulation, which had been promulgated "to combat rapidly growing incidences of fraud in the no-fault regime, fraud that [the Superintendent] has identified as correlative with the corporate practice of medicine by nonphysicians." Id. at 320 n. 2, 794 N.Y.S.2d 700, 827 N.E.2d 758.
On a motion to dismiss the Indictment, the Court assumes the truth of the allegations in the Indictment. See United States v. Velastegui, 199 F.3d 590, 592 n. 2 (2d Cir.1999). Thus, in cases where the Government has not proffered the evidence it intends to present at trial, "the sufficiency of the evidence is not appropriately addressed on a pretrial motion to dismiss the indictment." United States v. Alfonso, 143 F.3d 772, 776-77 (2d Cir. 1998).
Defendants contend that the Indictment's fraudulent incorporation theory is legally insufficient for several reasons. They argue (1) that the alleged facts do not establish any affirmative misrepresentation or omission sufficient to support a charge of fraud; (2) that the alleged facts fail to support any contemplated injury to the insurers; and (3) that the fraudulent incorporation theory fails to implicate a cognizable property interest of the insurers. Each of these arguments is addressed in turn.
"The [federal] fraud statutes are violated by affirmative misrepresentations or by omissions of material information
In the blank space following this language on the form, the PCs included the name of a medical doctor or other professional. The Government argues that because the person named was not the "true owner" of the PC, but was only the "paper owner" or "straw owner," this constitutes an affirmative misrepresentation to the insurer on the NF3 form.
Defendants do not offer a persuasive reason for concluding that the statements of ownership on the NF3 forms were, as a matter of law, not affirmative misrepresentations. Defendants simply assert, absent citation to any authority, that "the doctors who incorporated the PCs are, indeed, the owners of the PCs." (Zayonts Mem. at 7.) According to Defendants, this must be the case, because the certificates of incorporation of the PCs list the doctors as the original shareholders, directors, and officers of the PCs. It is simply irrelevant to the question of ownership, argue Defendants, whether those doctors then "turn[] over the business operation of [the] PC[s] to [] non-professional[s]." (Zayonts Mem. at 9.)
The Court disagrees that the issue of who "owns" a PC can necessarily be resolved simply by examining the PC's certificate of incorporation. Rather, the question of "ownership" is considered a question of fact, or a mixed question of law and fact. See, e.g., New Windsor Volunteer Ambulance Corps, Inc. v. Meyers, 442 F.3d 101, 111 (2d Cir.2006); In re Meyer, 151 F.3d 1033, 1998 WL 538160, at *4 (7th Cir. Apr. 21, 1998); Am.Jur.2d, Trial § 663 (2013). Thus, the question of who actually owned the PCs at the time the NF3 forms were filled out—and, by extension, the question whether Defendants misrepresented the identity of the owners—is properly viewed as one for the jury, to be answered based on the evidence presented at trial.
Moreover, to the extent that Defendants are arguing that the evidence thus far
Defendants also argue that the fraudulent incorporation theory is legally insufficient because it does not establish any intent to cause injury to the insurers. While fraud does not require actual injury to the victim, it does require "that some actual harm or injury was contemplated by the schemer." United States v. D'Amato, 39 F.3d 1249, 1257 (2d Cir.1994) (citation omitted) (emphasis in original); see also United States v. Starr, 816 F.2d 94, 98 (2d Cir.1987) ("[The Government] must, at a minimum, prove that defendants contemplated some actual harm or injury to their victims. Only a showing of intended harm will satisfy the element of fraudulent intent.").
Relying on Judge Sifton's reasoning in State Farm Mut. Auto. Ins. Co. v. Mallela, 175 F.Supp.2d 401 (E.D.N.Y.2001) ("Mallela I"), Defendants contend that "there can be no injury because the insurer has an underlying obligation—unrelieved by Regulation 65-3.16(a)(12) or any other provision of New York Law—to make direct payment to the insured for treatment rendered by a licensed professional." (Zayonts Mem. at 15.) When a patient assigns his or her claim to a fraudulently incorporated PC, Defendants argue, the PC's ineligibility to receive payment (by virtue of the regulation) results in a "windfall" to the insurer, and "[w]indfalls are not injuries." (Id.)
This argument lacks merit, most importantly because it fails to account adequately for the New York Court of Appeals' 2005 decision in Mallela. There, the Court of Appeals definitively held that, as a matter of New York law, fraudulently incorporated PCs "are not entitled to reimbursement" by insurers. 4 N.Y.3d at 320, 794 N.Y.S.2d 700, 827 N.E.2d 758. Thus, irrespective of whether a patient would be entitled to reimbursement if he had not assigned his claim to a PC, it is clear (and has been clear since 2005) that where such an assignment has occurred, and where the PC is not owned by a licensed professional, an insurer has a right to refuse payment on the claim. A misstatement about a PC's ownership, if made with the intent to deceive the insurer into making payment it would otherwise withhold, is a misstatement made with the intent to cause injury to the insurer. Whether properly characterized as a "windfall" or not, the insurer's entitlement to withhold reimbursement in these circumstances is an interest in money or property, the deprivation of which can be an injury under
The fact that Mallela was a civil case is simply beside the point, as New York law, as construed by the New York Court of Appeals in Mallela, does not create the substantive federal offenses at issue. Rather, the Court here looks to New York law simply to determine whether a material misrepresentation has been made and whether it was made with the intent to defraud. On those issues, Mallela is crystal clear.
Defendant Danilovich argues that the fraudulent incorporation theory is legally insufficient for a different reason: that an insurer's right to withhold payment is not a cognizable property interest under the mail fraud statute. Because the insurer's right to withhold funds from layperson-owned PCs is a non-discretionary obligation, he argues, it does not implicate the insurer's "right to control" its assets, as contemplated by the line of Second Circuit decisions recognizing deprivations of such a "right to control" as satisfying the "property" element of the mail fraud statute. See, e.g., United States v. Mittelstaedt, 31 F.3d 1208, 1217 (2d Cir.1994).
The Indictment, however, does not rely on a deprivation of the insurers'"right to control" their property. Rather, it rests simply on the alleged deprivation of their monetary interest in nonpayment of claims—where PC-claimants are "ineligible" for payment under New York law. That monetary interest is a legally cognizable interest in money or property under the mail fraud statute.
Danilovich also argues that the insurers' interest in nonpayment is based on a state regulation promulgated for public policy reasons, conferring only an "incidental benefit" on insurers. (Danilovich Mem. at 6-7.) But the fact that the insurer's interest arises from a state regulation (as construed by the New York Court of Appeals in Mallela) does not make it any less of a cognizable interest in money or property. Here, that interest is tangible and economic—distinguishing it from the state's interest in video poker licenses considered by the Supreme Court in Cleveland v. United States, 531 U.S. 12, 121 S.Ct. 365, 148 L.Ed.2d 221 (2000). Compare id. at 22, 121 S.Ct. 365 (processing fee received by state as part a regulatory regime not sufficient to establish a property interest) with Pasquantino v. United States, 544 U.S. 349, 355-56, 125 S.Ct. 1766, 161 L.Ed.2d 619 (2005) (the right to collect excise tax constitutes a property interest, because it is a "straightforward `economic' interest"). Moreover, Danilovich's contention that the regulation's benefit to insurers "is designed solely to further the State's interest in deterring the unauthorized practice of medicine" (Danilovich Mem. at 6) is belied by the New York Court of Appeals' discussion of the applicable regulation in Mallela, As the Court noted, the regulation was promulgated "to combat rapidly growing incidences of fraud in the no-fault regime, fraud that [the Superintendent] has identified as correlative with the corporate practice of medicine by nonphysicians." 4 N.Y.3d at 320 n. 2, 794 N.Y.S.2d 700, 827 N.E.2d 758.
For the foregoing reasons, Defendants' motion to dismiss the fraudulent incorporation theory from the indictment is denied.
The Fourth Amendment commands that "no warrants shall issue, but upon probable cause, supported by oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized." U.S. Const. Amend. IV. Thus, the Warrants Clause both "requires particularity and forbids overbreadth." United States v. Cioffi, 668 F.Supp.2d 385, 390 (E.D.N.Y.2009). "Although somewhat similar in focus, these are two distinct legal issues: (1) whether the items listed as `to be seized' in the warrant were overbroad because they lacked probable cause and (2) whether the warrant was sufficiently particularized on its face to provide the necessary guidelines for the search by the executing officers." United States v. Hernandez, No. 09 Cr. 625, 2010 WL 26544, at *7 (S.D.N.Y. Jan. 6, 2010) (citations omitted). Arguing that the Government violated both of these requirements, Defendants Vladislav Zaretskiy, Yuriy Zayonts, and Mikhail Kremerman have moved to suppress all evidence seized from the offices of Tri-State Billing Corp. ("Tri-State") during a search conducted pursuant to a warrant on February 29, 2012.
On February 27, 2012, Magistrate Judge Cheryl Pollak of the Eastern District of New York issued search warrants for six premises, including Tri-State. Probable cause for the Tri-State warrant was based upon the affidavit of Michael D. Kelley, a special agent with the Federal Bureau of Investigation, Eurasian Organized Crime Squad ("the Kelley Affidavit"). The Tri-State warrant appears to have been issued based upon two separate sections of the Kelley Affidavit, located in Paragraphs 5 and 12. Paragraph 5 of the Kelley Affidavit states in relevant part:
Paragraph 12 of the Kelley Affidavit, the sole paragraph concerning the probable cause for searching "Premises # 2" (i.e. Tri-State) in particular, states:
The Kelley Affidavit was not incorporated by reference into the Tri-State warrant. "Attachment A," the sole attachment to the Tri-State warrant, lists the "Items to Be Searched For and Seized." Those items are as follows:
"Fourth Amendment rights are personal rights which, like some other constitutional rights, may not be vicariously asserted." Alderman v. United States, 394 U.S. 165, 174, 89 S.Ct. 961, 22 L.Ed.2d 176 (1969) (citing cases). Thus, any defendant challenging a warrant must show a reasonable expectation of privacy in the place searched and the items seized. "The question of whether a corporate officer has a reasonable expectation of privacy to challenge a search of business premises focuses principally on whether he has made a sufficient showing of a possessory or proprietary interest in the area searched." United States v. Chuang, 897 F.2d 646 (2d Cir.1990); see also United States v. Kazarian, No. 10 Cr. 895, 2012 WL 1810214, at *18 (S.D.N.Y. May 18, 2012) ("Where the premises searched is a business, defendants seeking suppression must establish both that they are associated with the business and that they have a legitimate expectation of privacy in the part of the business that was searched.").
Tri-State was incorporated in New York State on April 7, 2011, and Zaretskiy is its sole shareholder and President. (Dkt. No. 456, Ex. A.) Kremerman and Zayonts have submitted sworn declarations attesting that they both "participated in managing and running the operations of Tri-State Billing Corp. and shared [Zaretskiy's] interests in the company." (Dkt. No. 535, Exs. 1-2.) These three Defendants therefore have standing to challenge the Tri-State search. No other Defendants in this action have demonstrated a possessory or proprietary interest in Tri-State, or any other basis for a reasonable expectation of privacy in the office. Thus, to the extent that other Defendants in this case request the suppression of evidence seized pursuant to the warrant that purported to authorize a search of Tri-State, their motions are denied.
The Fourth Amendment requires that warrants state with particularity the items to be searched and seized. This requirement traces directly back to the Framers' experience of tyranny before this Nation's founding: "The Fourth Amendment was a response to the English Crown's use of general warrants, which often allowed royal officials to search and seize whatever and whomever they pleased while investigating crimes or affronts to the Crown. . . . The principal evil of the general warrant was addressed by the Fourth Amendment's particularity requirement." Ashcroft v. al-Kidd, ___ U.S. ___, 131 S.Ct. 2074, 2084, 179 L.Ed.2d 1149 (2011). Though born of specific historical experiences, the particularity requirement retains modern vitality. Its core purposes include "preventing general searches, preventing the seizure of objects upon the mistaken assumption that they fall within the magistrate's authorization, and preventing the issuance of warrants without a substantial factual basis." United States v. Young, 745 F.2d 733, 759 (2d Cir.1984). Law enforcement agents are thus barred from executing warrants that purport to authorize "a general, exploratory rummaging in a person's belongings." Coolidge v. New Hampshire, 403 U.S. 443, 467, 91 S.Ct. 2022, 29 L.Ed.2d 564 (1971); see also Maryland v. Garrison, 480 U.S. 79, 84, 107 S.Ct. 1013, 94 L.Ed.2d 72 (1987) ("By limiting
Courts implement the particularity requirement by insisting that warrants not "leave to the unguided discretion of the officers executing the warrant the decision as to what items may be seized." United States v. Riley, 906 F.2d 841, 844 (2d Cir.1990) (citations omitted). In other words, a warrant must contain sufficient specificity "to permit the rational exercise of judgment [by the executing officers] in selecting what items to seize." United States v. Shi Yan Liu, 239 F.3d 138, 140 (2d Cir.2000) (citation omitted); see also George, 975 F.2d at 75 (explaining that warrant is sufficiently particular only if it "enable[s] the executing officer to ascertain and identify with reasonable certainty those items that the magistrate has authorized him to seize").
It is clearly established that supplementary documents, including affidavits submitted to a magistrate judge to demonstrate probable cause, can particularize a warrant only if attached and incorporated into the warrant by reference. See United States v. Rosa, 626 F.3d 56, 64 (2d Cir. 2010) ("[W]e may no longer rely on unincorporated, unattached supporting documents to cure an otherwise defective search warrant."); George, 975 F.2d at 76 ("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."); cf. Groh v. Ramirez, 540 U.S. 551, 557, 124 S.Ct. 1284, 157 L.Ed.2d 1068 (2004) (noting that "[t]he Fourth Amendment by its terms requires particularity in the warrant, not in the supporting documents"); United States v. Waker, 463 F.Supp.2d 348, 363 (W.D.N.Y.2006) (reading a warrant as including facts set forth in an affidavit where the warrant stated: "see attached Affidavit as to of [sic] Items to be Seized, all of which are fruits, evidence and instrumentalities of violations of 18 U.S.C. § 922(g)(1) all of which are more fully described in the affidavit filed in support of this warrant which is incorporated herein by reference" (emphasis added)).
In the Second Circuit, there is no settled formula for determining whether a warrant lacks particularity. Nonetheless, in a thoughtful and scholarly opinion, Judge Karas has noted "two factors that, above others, tend to define a warrant's insufficient particularity." United States v. Vilar, No. 05 Cr. 621, 2007 WL 1075041, at *22 (S.D.N.Y. Apr. 4, 2007):
Id. (quotation marks, citations, and alterations omitted). Courts do not require that a defendant demonstrate both of these deficiencies; rather, one or the other will typically render a warrant unconstitutional. See George, 975 F.2d at 75-76 (holding
The factors identified by Judge Karas are not exhaustive: lack of particularity may result from, or at least be suggested by, other circumstance-specific considerations. For example, "[i]n a number of out-of-circuit decisions, courts have found warrants for the seizure of records constitutionally deficient where they imposed too wide a time frame or failed to include one altogether." United States v. Cohan, 628 F.Supp.2d 355, 365-66 (E.D.N.Y.2009) (citations omitted). While the Second Circuit has not yet definitively addressed the necessity of temporal limitations, "[a]mongst the district courts in this circuit . . . there is general agreement that a time frame is relevant, [though] there is no apparent consensus as to when one is required." Id. at 366 (collecting cases) (emphasis in original).
Nothing on the face of the Tri-State warrant informs the searching officer for which crimes the search is being undertaken. Accord United States v. Hickey, 16 F.Supp.2d 223, 239 (E.D.N.Y. 1998) (warrants lacked particularity where "none identified the nature of the suspected wrongdoing triggering the searches"), motion for reconsideration granted on other grounds, 48 F.Supp.2d 214 (E.D.N.Y. 1998); Roberts v. United States, 656 F.Supp. 929, 935 (S.D.N.Y.1987) (warrant containing "no restriction to any specific wrongful transaction to which documents were related" lacked sufficient particularity), rev'd on other grounds, 852 F.2d 671 (2d Cir.1988).
The warrant first enumerates eight categories of "Items to be Searched For and Seized," including bank account information, ledgers documenting patient medical treatment, computers, signature stamps, calendars and other patient appointment records, and financial instruments. At no point prior to or during the enumeration of these eight items does the warrant offer any indication of the relevant criminal allegations. The officers are thus directed to these categories without a single word of guidance regarding the type of criminal offense under investigation.
Only in a single subsection of Item 9 does the warrant refer to any criminal offenses, namely "wire fraud; mail fraud; bank fraud; health care fraud; and/or money laundering." The Government asserts that the language of Item 9(1) of the warrant provides notice of the "statutes and conduct that give rise to the search and seizure" at issue. (Gov't Mem. at 82; see also id. at 72 n.38 ("While Attachment A could have been worded more carefully, a reasonable law enforcement [officer] would have understood that the description of the crimes in paragraph 9(1) of Attachment A was applicable to all of the search.").) The Court disagrees.
As the Tri-State warrant explains, Item 9 is meant to guide the officer in "search[ing] for the items described above that may be maintained in electronic media" (emphasis added). By clear implication, Item 9 does not pertain to any physical evidence. As a result, to the extent that Items 1-8 consist of non-electronic evidence—and Items 1-6 are all either physical evidence or the kind of evidence that may exist in either physical or electronic form—nothing in Item 9 limits the scope of the warrant as to those items by specifying criminal offenses. Thus, an officer tasked only with conducting a physical search might well miss this supposed limit, as might any officer who reads the warrant in a straightforward fashion and
Further, even as to electronic evidence, Item 9 does not provide any actual limitation based on criminal offense. Item 9 begins by stating that, "[i]n order to search for the items described above that may be maintained in electronic media, law enforcement personnel are authorized to search, copy, image and seize the following items for either on site or off site review" (emphasis added). The warrant then contains eight subsections, seven of which lack any reference to any federal criminal offense. These eight subsections, however, each afford the searching offers an individually sufficient basis for searching and seizing items found at Tri-State. This is made apparent by the fact that each subsection refers to "Any" evidence of a particular sort, and the fact that these subsections are linked conjunctively by "and" at the end of subsection 7. Thus, "[i]n order to search for [Items 1-8] that may be maintained in electronic media," Item 9 allows the searching officers to seize any of eight different kinds of evidence, and only one out of those eight evidentiary categories refers to a federal criminal offense. The other seven subsections, which allow seizure of virtually any electronics, as well as any documentation, reference manuals, software, physical keys, encryption devices, passwords, financial records, and electronic communication that might bear on the search and seizure of electronic evidence, make no reference to any federal crime and do not incorporate by reference the federal crimes described in subsection 9(1). In other words, Items 9(2) through 9(8) allow for extremely broad electronic searches, and are, by the logic of the warrant, not narrowed by any references to the crimes committed. An officer would see no offense-based limit on her ability to seizure virtually any electronics found on the premises.
Moreover, as is explained in more detail infra, Item 7—"Computers"—and Item 8—"Thumb Drives"—are not limited by Item 9, as computers and flash drives cannot be "maintained in electronic media." Thus, at most, Item 9(1) limits an officer's ability to search and seize electronic evidence aside from computers and thumb drives.
Although the Government compares the language putatively limiting the language in the Tri-State warrant to language in three other warrants recently discussed by courts in this district, the differences between those warrants and this one illuminate the serious particularity problem here. (See Gov't Mem. at 82 (likening the Tri-State warrant to those discussed in United States v. Hernandez, United States v. Dupree, and United States v. Levy).
In United States v. Hernandez, Judge Baer found sufficient particularity in warrants that described the property to be searched for and seized as "Evidence of crimes; contraband, fruits of crimes, or other items illegally possessed; or property designed for use, intended for use, or
Judge Crotty relied upon comparable reasoning in United States v. Levy, where the search warrant "identified the Levys' residence as the property to be searched, and stated that it was believed to conceal `[e]vidence, [f]ruits, and [instrumentalities of criminal violations of Title 18, United States Code, Sections 1343 and 1349, as further described in `Attachment B.'" No. 11 Cr. 62, 2013 WL 664712, at *2 (S.D.N.Y. Feb. 25, 2013). Attachment B, in turn, "described the property to be seized as: Evidence, fruits, and instrumentalities of violations of Title 18, United States Code, Sections 1343 (Wire Fraud), 1349 (Conspiracy to Commit Wire Fraud), and 1956 and 1957 (Money Laundering)," and then specifically identified certain categories of such evidence. Id. Judge Crotty concluded that, "[b]y specifically identifying the statutes and conduct that gave rise to the search and seizure, the Search Warrant sufficiently identified the suspected crimes for which there was probable cause, and which the materials to be seized evidenced." Id. at *9. Again, the specified offenses covered the entire search warrant and the warrant plainly indicated that the evidence to be seized had to relate to those crimes.
Similarly, in United States v. Dupree, 781 F.Supp.2d 115 (E.D.N.Y.2011), Judge Matsumoto concluded that a warrant did not suffer from this form of non-particularity because "section (1) of Exhibit A to the search warrant clearly states that the `[t]he items to be seized are evidence or instrumentalities of violations of 18 U.S.C. §§ 1341, 1343, 1344 and 1349. . . .'" Id. at 149. The warrant also "enumerated and particularized" the different categories of documents it covered, and "thus describe[ed] the types of evidentiary documentation of the listed offenses." Id. Because the warrant "explicitly made clear to the executing officers that the offenses being investigated in this case are mail, wire, and bank fraud, and attempts and conspiracy to commit the same, pursuant to 18 U.S.C. §§ 1341, 1343, 1344 and 1349 and that the items to be searched and seized were evidence of those offenses," Judge Matsumoto concluded that the searching officers had received sufficient guidance. Id. at 149-150.
Unlike the warrants in Hernandez, Levy, and Dupree, the Tri-State warrant does not direct searching officers to seize evidence related to, or concerning, any particular crime or type of crime. By comparison, for the reasons set forth above, as to all or nearly all of the evidence whose seizure was authorized by the Tri-State warrant, the warrant simply
In sum, there is no offense indicated as to any physical evidence. There is no offense indicated as to computers and thumb drives (Items 7 and 8). There is no offense indicated as to seven subsections of material that may be searched for and seized "[i]n order to search for the items described above that may be maintained in electronic media." There is no relevance requirement imposed on the single subsection of Item 9 that does mention specific offenses. And as to that single subsection, it is not clear that it authorizes officers to search for and seize anything that could not be searched for and seized pursuant to one or another of the broad categories set forth elsewhere in the warrant. Even acknowledging that "[t]he nature of [this] crime . . . may require a broad search," Dupree, 781 F.Supp.2d at 149, there is a difference between a broad search based on a valid warrant and a general search based on a warrant that, on any reasonable interpretation, is silent as to the federal criminal offenses for which evidence is sought.
The Tri-State warrant contains excessively broad categories of items to be searched for and seized, and thereby permits a searching officer to rummage through and seize nearly any conceivable paper and electronic document at Tri-State. This failing provides an independent basis for deeming the warrant deficient. See Buck, 813 F.2d at 591 (finding impermissibly broad a warrant rife with "general boilerplate terms, without either explicit or implicit limitation on the scope of the search"); see also Wheeler v. City of Lansing, 660 F.3d 931, 941 (6th Cir.2011) (in the context of a search of a house for stolen goods, categories in a warrant are overbroad where they "provid[e] no basis to distinguish the stolen items from [the defendant's] own personal property"); Hernandez, 2010 WL 26544, at *10 (the categories of items to be seized from a business lack particularity where they "could have encompassed most all of the business records on the premises").
The Tri-State warrant allows for the seizure of categories of materials that other courts have recognized to be impermissibly broad. For instance, it covers "[c]hecks, cash, and other financial instruments" without indicating any individuals, entities, offenses, time frame, or relevance. See United States v. Gigante, 979 F.Supp. 959, 966-67 (S.D.N.Y.1997) (describing as "broad and vague" a warrant item authorizing seizure of all "financial, banking, safe deposit, investment, asset, tax, bookkeeping, and accounting records—along with underlying, supporting, and related documentation—of or referring or relating to [certain individual and entities]" where the warrant did not adequately specify to whom or what these items had to relate). The warrant also reaches all "calendars
Next, the warrant indiscriminately permits the search of all "Computers" and "Thumb drives." Courts have disallowed such broad, un-particularized grants of authority to search teams. See Rosa, 626 F.3d at 58 (a warrant permitting officers to search, inter alia, "computer equipment" and "electronic digital storage media" lacks particularity); United States v. Graziano, 558 F.Supp.2d 304, 316 (E.D.N.Y.2008) ("[T]here are Fourth Amendment limits to every search that apply with equal force to searches of computers. Thus, although courts are ill-suited to micromanage in advance how the computer will be searched, law enforcement must establish the basis for searching the computer and particularize the evidence being sought during such search."); United States v. Hunter, 13 F.Supp.2d 574, 584 (D.Vt.1998) ("Section IV simply called for the seizure of `[a]ll computers . . . [a]ll computer storage devices . . . [and a]ll computer software systems,' detailing only examples of what types of computer paraphernalia were included. This section is a catch-all paragraph, which lacks sufficient limitation." (record citation omitted)).
The Tri-State warrant also permits the seizure of "Cellphones of TARGET SUBJECTS found at SUBJECT PREMISES," a category that would have been sufficiently narrow had the warrant incorporated by reference the Kelley Affidavit. As it stands, however, neither the warrant nor Attachment A defines "TARGET SUBJECTS," leaving the officers executing the
In addition to the breadth of these categories, several of them also suffer from ambiguity. For example, the reference to "financial instruments" could afford a reasonable officer extremely broad discretion in deciding what items fall within this term's scope. Indeed, that point was illustrated at the suppression hearing, where Agent Steven Naum acknowledged that he was not sure whether the reference to financial instruments would have authorized the seizure of financial contracts, insurance policies, or titles to real estate. He did think, however, that it would cover ATM cards and credit cards. That uncertainty is understandable, especially given that the warrant provides no context, reference to certain crimes, indications of target subjects, or any other information that would narrow an ambiguous term's vast sweep.
At bottom, missing from all of these categories—and from the warrant in general—are any instructions to the officers to search for and seize records related to the five modality clinics at the center of the alleged conspiracy in question, related to particular suspects in the case, limited to the time period of the suspected conspiracy, related to the crimes alleged, or any other limits.
Together, the Tri-State warrant authorized the officers to search for and seize almost everything that one could expect to find at a billing office: any cash or checks, any document that might be considered to be some sort of "financial instrument," all patient records and everything else related to patient records, and all bank information. In addition to all that physical evidence, the warrant authorized the unlimited search and seizure of all computers and thumb drives, as well as virtually anything electronic and anything related to the use or operation of those electronics. The warrant also allowed the officers to seize the cell phones of unspecified "TARGET SUBJECTS," which on the face of the warrant provided the officers with discretion to seize the phone of any person found on the premises. As explained below, the warrant lacked probable cause to justify the breadth of this search. Of immediate concern here, however, is the fact that it conferred on the searching officers discretion to seize virtually everything short of any diaries, clothing, and love letters that employees may have brought to work. The broad, undefined, and ambiguous terms of this search warrant render it, for all practical purposes, a prohibited general warrant to search Tri-State for evidence of a crime.
Also missing from the Tri-State warrant is any temporal limitation on the items to be searched. See Hernandez, 2010 WL 26544, at *11 (noting that a "temporal limitation" is an "indic[ium] of particularity" (citing United States v. Capital Grp., Inc., 211 F.R.D. 31, 58 (D.Conn. 2002)). As Judge Hall has observed, "[a] warrant's failure to include a time limitation, where such limiting information is available and the warrant is otherwise wide-ranging, may render it insufficiently particular." United States v. Costin, No. 5 Cr. 38, 2006 WL 2522377, at *12 (D.Conn. July 31, 2006) (collecting cases); accord United States v. Abrams, 615 F.2d 541, 545 (1st Cir.1980) (holding, in a case concerning the search of billing records at doctors' offices for evidence of Medicare
An additional basis for concluding that the Tri-State warrant lacked particularity rests in the confusing relationship between Item 9 and the remainder of the warrant. Specifically, Item 9 indicates that law enforcement personnel may search for and seize broad categories of electronic equipment and related material "to search for the items described above that may be maintained in electronic media." The clear suggestion is that the search of electronic media is somehow limited by Item 9 and its various subsection—even though it is doubtful that the combination of those broad subsections actually imposes any limit. But then the warrant also separately allows for the search of "[c]omputers" and "[t]humb drives," categories which are not limited by Item 9's plain language at all and to which it would be nonsensical to apply Item 9.
The oddity of separately including unlimited terms for "computers" and "thumb drives," and then including a laundry list of purportedly limiting electronics-related provisions that partly overlap with those blanket terms, could well create confusion on the part of an officer committed to properly executing the warrant. See Abrams, 615 F.2d at 550 (Campbell, J., concurring) (noting that a warrant description may be "confusing, hence lacking in particularity"). Perhaps the law enforcement officers tasked with searching the computers and thumb drives would have assumed that those searches are limited to the documents enumerated in the other categories of the warrant—but then again, perhaps not. On the face of the warrant, it is unclear how these provisions interact, though one potential—albeit bizarre—reconciliation would be that computers and thumb drives are subject to unlimited search and seizure, while all other electronics and related documents may be searched and seized for evidence of the sort contained in Items 1-6. In any event, the critical point is that these confusing warrant provisions leave all such questions to the discretion of the searching officers and do not provide guidance. As the George Court explained, the very purpose of the particularity requirement is to "curtail[] the officers' discretion when executing the warrant. . . ." 975 F.2d at 76; see also Shi Yan Liu, 239 F.3d at 140 (noting that the particularity requirement mandates sufficient specificity "to permit the rational exercise of judgment [by the executing officers] in selecting what items to seize"). In addition to the reasons set forth supra, because the Tri-State warrant's lack of clarity fails to coherently guide discretion in the search of electronics, it violates the Fourth Amendment.
Under certain, limited circumstances, a warrant lacking in particularity can be saved by the so-called "all records exception." "Under that exception, all records of a business may be seized if there is probable cause to believe that the entire operation is permeated with fraud." Hickey, 16 F.Supp.2d at 240 (collecting cases); see also United States v. D'Amico, 734 F.Supp.2d 321,
To trigger the all records exception, "it is not necessary that the affidavit supporting the search warrant set forth specific factual evidence demonstrating that every part of the enterprise in question is engaged in fraud." United States v. Burke, 718 F.Supp. 1130, 1139 (S.D.N.Y. 1989). "Rather, the affidavit need contain only sufficient factual evidence of fraudulent activity from which a magistrate could infer that those activities are just `the tip of the iceberg.'" Id. at 1139-40 (citation omitted). Nonetheless, to satisfy that evidentiary requirement, the Government must have provided the magistrate judge with sufficient probable cause to believe that the "entire [business] operation is a scam." Id. at 1140 (emphasis added); accord Hickey, 16 F.Supp.2d at 241 ("The Fourth Amendment requires more than mere extrapolation to activate the [all records] principle. It may be that the crimes associated with the [fraud for which there was probable cause to search] are representative of the other activities of the defendant corporations, but perhaps not. A perusal of the information before the magistrate judge—and, indeed, the information available now—is simply too scant to permit such a determination.")
In cases where the all records exception has been applied, the affidavit submitted in support of the warrant contained detailed information that would provide reason to believe that all or nearly all of the business under investigation was illegal. For example, courts have applied the all records rule where government agencies received 250 complaints about an enterprise's fraudulent activity and interviewed 20 former employees, see Burke, 718 F.Supp. at 1140 (discussing United States v. Brien, 617 F.2d 299 (1st Cir.1980)); where a defendant had used a variety of similar names for a single business premises, interviews with former employees and customers evidenced illegal activity, the defendant had been overheard using a false name on the business phone, and where the defendant's manner of doing business suggested illegality, see United States v. Smith, No. 05 Cr. 293, 2007 WL 2088938, at *4 (W.D.N.Y. July 19, 2007); and where investigation of telephone calls, bank records, and the flow of mail, joined to interviews of other participants, participation in a conference call, and evidence obtained by following the defendant, provided probable cause to believe a defendant's "entire business operation was illegal," see United States v. Markey, 131 F.Supp.2d 316, 319-22, 326 (D.Conn.2001) aff'd sub nom. United States v. Simpson, 69 Fed.Appx. 492 (2d Cir.2003); see also United States v. Oloyede, 982 F.2d 133, 140 (4th Cir.1992) (applying exception where an affidavit presented "[d]ocumentation in over 50 cases. . ., two confidential informants outlined in great detail the procedures associated with appellants' operation, and a review of 26 files disclosed that each file contained fraudulent documents." (emphasis added)); Nat'l City Trading Corp. v. United States, 635 F.2d 1020, 1021-22 (2d Cir.1980) (applying all records exception where the affidavit
Courts have held the Government to this probable cause showing and have refused to apply the all records exception where there is insufficient reason to believe that a business is permeated with fraud. Thus, in United States v. Burke, Judge Mukasey concluded that the exception did not apply where an affidavit described six fraudulent transactions involving Salvador Dali prints at Barclay Galleries, described four fraudulent statements made to a seventh customer about Dali prints, noted a few other misrepresentations, and indicated that the Government believed the operation involved a boiler room operation. 718 F.Supp. at 1140. Noting that the Government had not shown that Barclay was therefore a "pervasively fraudulent enterprise," Judge Mukasey emphasized that there was enough room at Barclay for other, non-fraudulent operations and it was known that Barclay sold prints by artists other than Dali. Id. He explained:
Id. at 1141. Thus, a lack of probable cause concerning the scope of the fraud, and the extent to which fraud actually permeated a business, barred invocation of the all records exception.
Similarly, in United States v. Hickey, Judge Hurley found the exception inapplicable where the affidavit spoke to a single overriding scheme and a few acts of possessing firearms, but did not provide probable cause to believe that two corporations, in particular, were permeated with fraud rather than involved in fraud. 16 F.Supp.2d at 241. Given "the limited information provided to the magistrate judge," he concluded that "there was insufficient information . . . to permit a determination of whether all of the business activities of Hickey's Carting, Grand East, Competition Carting, and Grand Carting—either under a `tip of the iceberg' analysis or otherwise—were permeated with fraud." Id. (quotation marks and citations omitted).
Judge Karas echoed this logic in Vilar, where the affidavit made "no explicit allegation that the Amerindo entities were permeated with fraud," "the wrongdoing alleged in the Affidavit touch[ed] on but a fraction of [the entities'] assets," and "the Warrant application sufficiently identifie[ed] only two victims of Defendants' alleged conduct." 2007 WL 1075041, at *21. In finding the all records exception inapplicable, he concluded that "[t]his falls far short of the evidence presented in cases where the all-records exception has been applied, as those cases involved rampant misconduct and little, if any, legitimate business activities." Id.
This evidence falls short of probable cause to believe that Tri-State was "pervaded" by fraud. Even assuming that the Kelley Affidavit provides probable cause to believe that Zayonts controlled, in whole or in part, Tri-State—and this is a questionable assumption, since Tri-State occupied only a single floor of the building in question—there is no basis in the affidavit for the inference that illegal activities pervaded the office.
Accordingly, the all records exception does not apply to the Tri-State search.
In light of the Tri-State warrant's failure to limit the search through reference to criminal offenses, inclusion of vague and impermissibly broad terms, lack of temporal limitation, and use of confusing language that confers too much discretion on the executing officers, the Court concludes that the Tri-State warrant violated the particularity requirement.
In determining whether a warrant is overbroad, courts must focus on "whether there exists probable cause to support the breadth of the search that was authorized." Hernandez, 2010 WL 26544, at *8 (citation omitted). "The magistrate's determination that probable cause exists is entitled to `great deference,' and the task of the reviewing court `is simply to ensure the magistrate had a substantial basis' for that determination." Id. (citation omitted).
"[P]robable cause to search is demonstrated where the totality of circumstances indicates a `fair probability that contraband or evidence of a crime will be found in a particular place.'" Walczyk v. Rio, 496 F.3d 139, 156 (2d Cir.2007) (quoting Gates, 462 U.S. at 238, 103 S.Ct. 2317). A warrant permitting "fairly broad" types of materials is permitted if "the affidavit in support of the search warrant application provides the necessary basis for a determination of probable cause to seize items in each of these categories." Hernandez, 2010 WL 26544, at *8. Moreover, if the criminal scheme at issue is of a "complex nature" and has been ongoing for a number of years, "a lack of a specific time frame in the search warrants is not sufficient in and of itself to render the warrants constitutionally overbroad." Id. at *9.
"The fact that a Fourth Amendment violation occurred—i.e., that a search or arrest was unreasonable—does not necessarily mean that the exclusionary rule applies." Herring v. United States, 555 U.S. 135, 140, 129 S.Ct. 695, 172 L.Ed.2d 496 (2009). "Indeed, exclusion `has always been our last resort, not our first impulse.'" Id. (quoting Hudson v. Michigan, 547 U.S. 586, 591, 126 S.Ct. 2159, 165 L.Ed.2d 56 (2006)). Under the so-called "good faith" rule, the Government can introduce evidence obtained in violation of the Fourth Amendment unless the "police conduct [was] sufficiently deliberate that exclusion can meaningfully deter it, and sufficiently culpable that such deterrence is worth the price paid by the justice system." Id. at 144, 129 S.Ct. 695. Deterrence is implicated where an officer engages in "deliberate, reckless, or grossly negligent conduct," as well as in circumstances that demonstrate "recurring or systemic negligence." Id.
Suppression is appropriate where probable cause is "based on an affidavit so lacking in indicia of probable cause as to render official belief in its existence entirely unreasonable." Leon, 468 U.S. at 923, 104 S.Ct. 3405. "Such a concern most frequently arises when affidavits are bare bones, i.e., totally devoid of factual circumstances to support conclusory allegations." U.S. v. Clark, 638 F.3d 89, 103 (2d Cir. 2011) (collecting cases). Although the Kelley Affidavit does not contain sufficient detail to provide probable cause for the full breadth of the Tri-State warrant, it contains more than enough probable cause to save that warrant at the good faith stage. It cannot be said that an officer would have acted with the requisite culpability, or in a manner meriting deterrence, in concluding that the warrant was based on sufficient probable cause to justify its scope. See Herring, 555 U.S. at 141-143, 129 S.Ct. 695.
The Tri-State search was conducted pursuant to a warrant whose lack of particularity resulted primarily from the officers'
In Groh v. Ramirez, a Bivens case decided just under a decade ago, the Court held that an agent of the Bureau of Alcohol, Tobacco and Firearms ("ATF") had violated clearly established law when he executed a search warrant that lacked particularity. 540 U.S. at 554-57, 124 S.Ct. 1284. Rejecting the ATF agent's argument that the search was proper because the original warrant application had included an affidavit conferring the requisite particularity, the Court held that "[t]he Fourth Amendment by its terms requires particularity in the warrant, not in the supporting documents." Id. at 557, 124 S.Ct. 1284; see also id. ("The fact that the application adequately described the `things to be seized' does not save the warrant from its facial invalidity." (emphasis in original)). As the Court explained:
Id. (quotation marks and internal citation omitted).
The ATF agent also argued that "a search conducted pursuant to a warrant lacking particularity should be exempt from the presumption of unreasonableness if the goals served by the particularity requirement are otherwise satisfied." Id. at 560, 124 S.Ct. 1284. According to the agent, "the search in this case satisfied those goals . . . because the scope of the search did not exceed the limits set forth in the application." Id. The Groh Court unequivocally rejected this position on several grounds. First, the Court reasoned that, "unless the particular items described in the affidavit are also set forth in the warrant itself (or at least incorporated by reference, and the affidavit present at the search), there can be no written assurance that the Magistrate actually found probable cause to search for, and to seize, every item mentioned in the affidavit." Id. (citing McDonald v. United States, 335 U.S. 451, 455, 69 S.Ct. 191, 93 L.Ed. 153 (1948) ("Absent some grave emergency, the Fourth Amendment has interposed a magistrate between the citizen and the police. This was done . . . so that an objective mind might weigh the need to invade [the citizen's] privacy in order to enforce the law")). Second, "[t]he mere fact that the Magistrate issued a warrant does not necessarily establish that he agreed that the scope of the search should be as broad as the affiant's request." Id. at 561, 124 S.Ct. 1284. Thus, the absence of the affidavit meant that any restraint in the conduct of the search "was imposed by the agents themselves, not by a judicial officer"—a violation of the particularity requirement's core purpose. Id. (quotation mark and citations omitted). Finally, the Court explained
Turning to qualified immunity, the Court emphasized that "the particularity requirement is set forth in the text of the Constitution" and "no reasonable officer could believe that a warrant that plainly did not comply with that requirement was valid." Id. at 563, 124 S.Ct. 1284. Further, the warrant was so facially deficient that a reasonable officer could not reasonably have presumed it to be valid. Id. at 565, 124 S.Ct. 1284. In the course of its analysis, the Court observed that "the same standard of objective reasonableness that we applied in the context of a suppression hearing in Leon defines the qualified immunity accorded an officer." Id. at 565 n. 8, 124 S.Ct. 1284 (quoting Malley v. Briggs, 475 U.S. 335, 344, 106 S.Ct. 1092, 89 L.Ed.2d 271 (1986)). In a final footnote, the Court rejected the dissent's argument that it valued "the correctness of paper forms" over "substantive rights," pointing out that "[t]his substantive right is not protected when the officer fails to take the time to glance at the authorizing document and detect a glaring defect that [the dissent] agrees is of constitutional magnitude." Id. n. 9 (citation omitted).
Several years after Groh, the Supreme Court decided Herring. In Herring, the Court declined to suppress the fruits of a search executed pursuant to a warrant that was mistakenly reported to be outstanding by the computer database of a neighboring county. Outlining the good faith standard described supra, the Court emphasized the price of suppression and cautioned that judges must look for culpability and deterrence benefits before suppressing. 555 U.S. at 140-44, 129 S.Ct. 695; see also id. at 144, 129 S.Ct. 695 ("To trigger the exclusionary rule, police conduct must be sufficiently deliberate that exclusion can meaningfully deter it, and sufficiently culpable that such deterrence is worth the price paid by the justice system. As laid out in our cases, the exclusionary rule serves to deter deliberate, reckless, or grossly negligent conduct, or in some circumstances recurring or systemic negligence."). Examining the data entry error by a low-level clerk in a neighboring town far removed from the arrest and investigation, the Herring Court concluded that it was "the result of isolated negligence attenuated from the arrest." Id. at 137, 129 S.Ct. 695. This low culpability finding and the limited benefits of deterrence did not justify suppression. See id. at 148-49, 129 S.Ct. 695.
As the Sixth Circuit noted shortly after Herring was decided, "Herring does not purport to alter that aspect of the exclusionary rule which applies to warrants that are facially deficient warrants ab initio." Lazar, 604 F.3d at 237-38; see also id. at 237 ("This case does not involve the sort of police error or misconduct present in Herring. Like Groh, it instead deals with particularization of search warrants and whether they are facially deficient."). Indeed, whereas Herring had addressed
In United States v. Rosa, on highly unusual facts, the Second Circuit concluded that the Herring good faith inquiry is relevant to potential suppression of evidence resulting from the execution of a facially deficient warrant. 626 F.3d at 64-65. On September 26, 2007, Deputy Sheriff Burke of the Oswego County Sheriff's Office began investigating possible child exploitation by an individual, Rosa, after two mothers called 911 to report abuse. Id. at 58. Burke spoke with the two women and their sons, and learned that the suspect had shown the boys child pornography on his computer and engaged in sexual misconduct with them. Id. At 2:00 a.m., Burke and a colleague informed Investigator Bryan Blake of their findings. Id. Blake prepared a detailed affidavit and, at 4:10 a.m., obtained a search warrant for Rosa's residence. Id. at 59. This warrant, which authorized broad search of the residence and the electronics therein, Id. at 58, lacked facial particularity and neither
The Rosa court held the warrant unconstitutional, as it "failed to describe with particularity the evidence sought and, more specifically, to link that evidence to the criminal activity supported by probable cause." Id. at 62. It also acknowledged that Groh's bar on the use of unincorporated and unattached affidavits to cure defective warrants had abrogated a Second Circuit case holding to the contrary. Id. at 63 (recognizing that Groh abrogated United States v. Bianco, 998 F.2d 1112 (2d Cir. 1993)).
Reaching the Government's good faith argument, the Rosa court noted that a Fourth Amendment violation does not always justify suppression. Id. at 64 (discussing Herring, 555 U.S. at 140, 129 S.Ct. 695). It added that "[n]ot every facially deficient warrant . . . will be so defective that an officer will lack a reasonable basis for relying on it." Id. at 66. Turning to the crux of its analysis, Rosa then explained that, while "the objective inquiries underlying the good faith exception and qualified immunity are the same, see Groh, 540 U.S. at 565 n. 8, 124 S.Ct. 1284, application of the exclusionary rule requires the additional determination that the officers' conduct was `sufficiently deliberate that exclusion can meaningfully deter it, and sufficiently culpable that such deterrence is worth the price paid by the justice system,' Herring, 129 S.Ct. at 702." Id. at 66. Rosa therefore suggests that the good faith requirement can be overcome only when an officer acts in an objectively unreasonable manner—an inquiry that overlaps with the qualified immunity context—and when the deterrence and culpability concerns articulated in Herring favor suppression. Applying this test, Rosa concluded that the good faith exception barred suppression because the unusual circumstances before it rendered the officers' conduct an act of "isolated negligence." Id. at 65.
Thus, in some circumstances, there will be daylight between (1) a finding that an officer acted in an objectively unreasonable manner and (2) a finding that the deterrence and culpability concerns identified in Herring weigh in favor of suppression. For that reason, courts must independently test each requirement before suppressing. But these factors will likely align in the vast majority of cases where the applicable Fourth Amendment law is clearly established. Under the applicable standard of objective reasonableness, officers are presumed to be aware of clearly established constitutional law and may thus be presumed to act with gross negligence, recklessness, or deliberation when they violate it. See George, 975 F.2d at 77 ("[T]he `standard of reasonableness . . . requires officers to have a reasonable knowledge of what the law prohibits.'" (citing Leon, 468 U.S. at 919, n. 20, 104 S.Ct. 3405)). Indeed, since Rosa, the Court has reaffirmed that "the same standard of objective reasonableness that we applied in the context of a suppression hearing in Leon defines the qualified immunity accorded an officer who obtained or relied on an allegedly invalid warrant." Messerschmidt v. Millender, ___ U.S. ___, 132 S.Ct. 1235, 1245 n. 1, 182 L.Ed.2d 47 (2012) (Roberts, C.J.) (quotation marks omitted) (citing Malley v. Briggs, 475 U.S. 335, 344, 106 S.Ct. 1092, 89 L.Ed.2d 271 (1986); Groh, 540 U.S. at 565, n. 8, 124 S.Ct. 1284). Moreover, Herring itself makes plain that deterrence is directly implicated where an officer acts deliberately, recklessly, or with gross negligence, and that the relevant inquiry into
As explained supra, the Rosa court faced an unusual situation that drove a wedge between the requirements of Groh and Herring. To support its conclusion that the officers' conduct constituted an act of "isolated negligence," and therefore lacked the objectively deliberate character required to justify suppression, Rosa signaled to a number of fact-specific considerations.
First, and most importantly, the entire course of events unfolded under intense "time pressure[]" in the "three hours from 2:00 a.m. to 5:00 a.m.[,]" forcing the officers to act "with necessary speed in the early hours of the morning." Rosa, 626 F.3d at 64-66. It is a familiar rule of Fourth Amendment doctrine that courts "allow some latitude for honest mistakes that are made by officers in the dangerous and difficult process of making arrests and executing search warrants." Garrison, 480 U.S. at 87, 107 S.Ct. 1013. Indeed, Groh acknowledged that its analysis of whether the ATF agent had acted with the requisite culpability may have changed if some "sort of exigency [had] existed when [the agent] drafted the affidavit, the warrant application, and the warrant, or when he conducted the search." 540 U.S. at 565 n. 9, 124 S.Ct. 1284 (discussing Garrison, 480 U.S. at 87, 107 S.Ct. 1013). The rush of events in Rosa, as officers raced in the middle of the night to capture an active sex offender, called for application of the exigency-based principle articulated in Garrison and Groh. Rosa thus recognized that the officer's culpability constituted negligence under these frenzied circumstances.
Second, over the course of just a few hours, Blake served as the affiant, the officer in charge of executing the search, and the officer tasked with searching the digital media seized. While this triple role would not have obviated one of the Groh Court's main concerns about unincorporated and unattached affidavits—namely, notice to the person being searched that the officers were acting with lawful authority, 540 U.S. at 561, 124 S.Ct. 1284—it contributed to Rosa's finding that Blake's execution of the warrant without his original affidavit constituted an act of isolated negligence.
Finally, Rosa considered a number of other factors in concluding that Blake's conduct reflected isolated negligence. The warrant at issue was not grossly deficient, the underlying affidavit—with which Blake was intimately familiar—"specifically requested that the search warrant be limited to obtaining evidence of these crimes"; the warrant was based on a strong showing of probable cause; there was no evidence that Blake had misled the town justice in his warrant application; and there was no evidence that the officers searched for or seized any items unrelated to the crimes for which probable cause had been shown. Rosa, 626 F.3d at 64-65.
Ultimately, then, Rosa's conclusion that Blake had acted negligently, despite his violation of clearly established law, rested principally on the exigencies of his situation and the fact that Blake was physically present and in charge at every step of the investigation. See Rosa, 626 F.3d at 65 n. 3 ("Investigator Blake's misstep, made in the course of a time-sensitive and ongoing investigation, was in failing to notice that this limiting language (or any specific language of incorporation) was absent from the search warrant itself. We conclude that suppressing physical evidence on the basis of such an instance of `isolated negligence' would be incompatible with the principles underlying the exclusionary rule." (citing Herring, 555 U.S. at 140-43, 129 S.Ct. 695)); Id. at 66 ("Because there is no evidence that Investigator Blake and his team of officers actually relied on the defective warrant, as opposed to their knowledge of the investigation and the contemplated limits of the town justice's authorization, in executing the search, the requisite levels of deliberateness and culpability justifying suppression are lacking." (citations omitted)). Again, however, this gap between the objectively unreasonable execution of a warrant and the presence of good faith is a narrow one grounded in the particular circumstances surrounding Blake's search. See id. (emphasizing that the good faith ruling reflected "the facts of this case," reiterating "the importance of law enforcement's compliance with the probable cause and particularity requirements," and emphasizing that "application of the exclusionary rule will vary in accordance with the facts of each case."). Rosa's finding of negligence, in turn, controlled good faith analysis under Herring and required the Second Circuit to conclude that
In sum, under Groh, Herring, and Rosa, the Court must first consider whether the officers in this case acted in an objectively reasonable manner. If the answer to that question is no, and if the officers violated clearly established law, then the Court must determine whether the officers nonetheless fall into the narrow gap described in Rosa between violations of clearly established law and circumstances where an officer's conduct nonetheless constituted isolated negligence.
As explained above, "the same standard of objective reasonableness that [applies] in the context of a suppression hearing in Leon defines the qualified immunity accorded an officer who obtained or relied on an allegedly invalid warrant." Messerschmidt, 132 S.Ct. at 1245, 1245 n. 1 (citations omitted). Thus, where denial of qualified immunity would be appropriate in the civil context because clearly established law establishes a warrant's invalidity, so too must a court conclude that an officer's conduct was objectively unreasonable for purposes of the good faith inquiry.
All of the law governing the particularity analysis set forth supra was clearly established at the time of the Tri-State search. It was clearly established that a warrant which fails to specify the crimes for which the search was being undertaken lacks particularity. See George, 975 F.2d at 76; see also Vilar, 2007 WL 1075041, at *22 (collecting cases). It was clearly established that a warrant with unduly broad, ambiguous, or catch-all categories lacks particularity. See Buck, 813 F.2d at 591; see also Vilar, 2007 WL 1075041, at *22 (collecting cases). Courts had warned officers against reliance on warrants that, in addition to other deficiencies, fail to specify a temporal limitation. See Cohan, 628 F.Supp.2d at 366 (collecting cases). And it was settled that attached or incorporated affidavits could confer the requisite particularity on facially deficient warrants, but that unattached and unincorporated affidavits could not do so. See, e.g., Groh, 540 U.S. at 557, 124 S.Ct. 1284; Rosa, 626 F.3d at 64; George, 975 F.2d at 74. Given that all applicable law was clearly established at the time of the Tri-State Search, and that the Government's agents nonetheless violated the law, the officers acted in an objectively unreasonable manner.
Even though its agents violated clearly established law with which they are presumed to be familiar, the Government could still avail itself of the good faith exception by showing that the agents' conduct was insufficiently culpable and did not implicate deterrence concerns. In Rosa, an unusual confluence of mitigating factors supported a finding of good faith. Here, by contrast, the violation did not result from isolated negligence and does call for deterrence.
First, there is no evidence that the Tri-State search involved any sort of exigency that might excuse the failure to incorporate or attach Agent Kelley's affidavit. This case is thus distinguishable from Rosa, where—due to the nature of the alleged crime and the haste of the investigation—Blake was forced to gather evidence, write his affidavit, bring his warrant before a magistrate, and execute his search and seizure in a three-hour span before sunrise. 626 F.3d at 64-65. Kelley received his warrant on February 27, 2012, after a lengthy investigation of the underlying conspiracy, and the warrant itself was not executed until two days later. (See NAUM 3501-A.) Moreover, Agent Naum, the leader of the of the search and the Government's sole witness at the Court's suppression hearing, testified that
Next, unlike in Rosa, the affiant in this case, Agent Kelley, did not lead the Tri-State search team. In fact, Agent Kelley was not a member of the search team and none of the officers conducting the search were given copies of the Kelley Affidavit. (Id. at 50:15-19 ("I did not read the affidavit.").).
In Rosa, Blake's failure to incorporate or attach the affidavit constituted isolated negligence where, under intense time pressure and less than two hours after consulting a magistrate judge, Blake personally executed a search warrant based on his affidavit. But if the rule announced in Groh still stands as clearly established law, then surely Groh prohibits officers from claiming good faith whenever they execute a deficient warrant and insist that they came to learn the contents of the affidavit through some other means. That is especially true in cases like this one, where the affiant did not oversee execution of the warrant, the search team leader and his team had never read the affidavit, and the agents relied principally on a briefing that purported to convey the gist of the relevant information. See Rosa, 626 F.3d at 66 (noting that Blake and his team relied on "their knowledge of the investigation and the contemplated limits of the town justice's authorization") (emphasis added). Whereas an affidavit is a sworn legal document that bears immediately on the contemplated limits of the magistrate's authorization, a briefing session generates substantial room for slippage between the magistrate's authorization and the searching officers' understanding of their authority. See Voustianiouk, 685 F.3d at 211 (noting that probable cause known only to
Moreover, even if some combination of the briefing and "Operations Order Form" did help limit the search of physical evidence, the Government has proffered no evidence regarding the officers tasked with the search of all electronics seized from Tri-State. Agent Naum, the Government's sole witness at the hearing, disavowed any knowledge of how the electronic searches are being carried out. (Supp. Tr. at 97:4-8 ("Q. You had no participation whatsoever with the search of these electronic storage devices? A. No. Q. You don't know how that was conducted, correct? A. No.")
In sum, whereas the officer in Rosa acted under extraordinary pressures, had personal knowledge of the affidavit, and did not "actually rel[y] on the defective warrant," 626 F.3d at 66, Agent Naum repeatedly admitted that he relied on the defective warrant and its rider to conduct his search and decide which items to seize. (See, e.g., Supp. Tr. at 33:23-25 ("The binders weren't taken based on my understanding of the case, what it is that they were looking for, based on the search warrant and rider"); id. at 45:7-8 ("We were asked to seize what was listed on the rider, which could be potential evidence in this investigation."); id. at 75:21-22 ("My understanding is that we could seize information that related to bank accounts based on the rider."). There is no reason to see Agent Naum's actions, or those of his fellow agents, as a mere instance of circumstance-specific isolated negligence.
Nor do the remaining Rosa factors alter this conclusion.
Ultimately, the culpability and deterrence concerns articulated in Herring are very much at stake in this case. The officers violated clearly established Fourth Amendment law in two respects, by executing a warrant that lacked both particularly and overbreadth. Moreover, they did so even though they are presumed to be familiar with the governing law and even though they acted on the basis of extensive training and experience. See United States v. Lindsey, 596 F.Supp.2d 55, 62 (D.D.C.2009) ("The Court also notes that agent Sparks, the affiant, has extensive law enforcement knowledge and experience, which is a factor to be taken into account when determining whether an officer would know if a search was illegal despite the magistrate's authorization." (citing Herring, 555 U.S. at 135, 129 S.Ct. 695)). Unlike the officers in Herring, who negligently relied upon apparently reliable information input by a clerk in another jurisdiction, the officers here were involved in the criminal investigation and decided to rely on a facially invalid warrant. See United States v. Ryan, 07 Cr.
This conduct is deterrable, and the Constitution requires its deterrence. After Groh and Rosa, it is be clear that unincorporated, unattached affidavits do not confer particularity on a facially deficient warrant. Ryan, 2009 WL 1545794, at *5 ("A warrant lacking particularity will no doubt be brought promptly to the attention of the United States Attorney's Office for correction. Thus, as the Court explained in its prior ruling, suppressing the evidence here will have a significant deterrent effect."). Here, Agent Kelley erred in failing to attach or incorporate the warrant, Agent Naum erred in executing a warrant that lacked both particularity and probable cause (though particularity ultimately controls the outcome), and their colleagues erred in failing to identify these problems. See Leon, 468 U.S. at 923 n. 24, 104 S.Ct. 3405 (noting that, when multiple officers are involved in an illegal search, "[i]t is necessary to consider the objective reasonableness, not only of the officers who eventually executed a warrant, but also of the officers who originally obtained it or who provided information material to the probable-cause determination."). By allowing an exception to the good faith rule for cases where officers acted with gross negligence, recklessness, or deliberate indifference to what the law requires, Leon and Herring require law enforcement officials to play a minor, but important role as the last line of defense between magistrates and vulnerable citizens. Here, the agents did not live up to that expectation.
"The Fourth Amendment's requirements regarding search warrants are not `formalities.'" Voustianiouk, 685 F.3d at 210 (quoting McDonald, 335 U.S. at 455, 69 S.Ct. 191). Because the Government's agents violated the Fourth Amendment and do not fall within the shield of the good faith exception, suppression of evidence from the Tri-State search is warranted.
The Court will determine the appropriate scope of this suppression remedy following further submissions by the parties and a subsequent hearing.
Defendant Zemlyansky has moved to suppress all communications intercepted pursuant to the wiretap of his phone for failure to abide by Title III of the Omnibus Crime Control and Safe Streets Act of 1968 ("Title III"), 18 U.S.C. § 2510 et seq.
Title III requires that eavesdropping "be conducted in such a way as to minimize the interception of communications not otherwise subject to interception under this chapter." 18 U.S.C. § 2518(5). To that end, "[e]very order and extension thereof shall contain a provision that the authorization to intercept shall be executed as soon as practicable, [and] shall be conducted in such a way as to minimize the interception of communications not otherwise subject to interception under this chapter." Id. This obligation to minimize serves as a safeguard against undue intrusion of privacy. United States v. Terry, 702 F.2d 299, 312 (2d Cir.1983). This requirement "does not forbid the interception of all nonrelevant conversations, but rather instructs the agents to conduct the surveillance in such a manner as to `minimize' the interception of such conversations." Scott v. United States, 436 U.S. 128, 140, 98 S.Ct. 1717, 56 L.Ed.2d 168 (1978); see also United States v. Uribe, 890 F.2d 554, 557 (1st Cir.1989) (when assessing the reasonableness of agents' minimization efforts, the "government is held to a standard of honest effort; perfection is usually not attainable, and is certainly not legally required"). Compliance with the minimization requirement is determined by an analysis of the reasonableness of the surveilling agents' conduct based on the totality of circumstances. Scott, 436 U.S. at 139, 98 S.Ct. 1717.
The Government has the burden to show good faith compliance with minimization requirements. United States v. Rizzo, 491 F.2d 215, 217 n. 7 (2d Cir.1974). If "a prima facie showing is made, the burden shifts to the defendant to show that, despite a good faith compliance with the minimization requirements, a substantial number of non-pertinent conversations have been intercepted unreasonably." United States v. Rajaratnam, No. 09 Cr. 1184, 2010 WL 4867402, at *27 (S.D.N.Y. Nov. 24, 2010) (internal quotation marks and citations omitted). "Where a defendant cannot make such a showing, courts generally reject a claim of improper minimization without a hearing." Kazarian, 2012 WL 1810214, at *14 (citing cases).
The Government can establish that it has taken reasonable steps to minimize by showing:
United States v. Marroquin-Corzo, No. 10 Cr. 892, 2012 WL 3245473, at *7 (S.D.N.Y. Aug. 7, 2012) (citations omitted); see also United States v. Salas, No. 07 Civ. 557, 2008 WL 4840872, at *8 (S.D.N.Y. Nov. 5, 2008) (the Government meets its prima facie burden by demonstrating that it has taken the appropriate steps "to increase
The Government has sufficiently demonstrated that it has followed the requisite steps to ensure proper minimization. The Government assiduously kept monitoring logs; sought and received judicial supervision for each wiretap (see Gov't Mem., Exs. 1, 3-5); provided accurate periodic reports to the Court (see Zemlyansky Mem., Ex. B); provided written and oral instructions to monitoring personnel and translators (see Gov't Mem., Exs. 2, 6); required all monitoring personnel and translators to read the relevant court orders and applications and posted those materials in the wiring room; and ensured the wiretapping was monitored by an AUSA. Thus, the Government has met its prima facie burden of compliance with the minimization requirements. Cf. Marroquin-Corzo, 2012 WL 3245473, at *8 (holding that the Government made its prima facie case even where, unlike here, it did not submit minimization instructions signed by the monitoring agents).
The burden therefore shifts to Zemlyansky to demonstrate that "a substantial number of non-pertinent conversations [were] intercepted unreasonably." Rajaratnam, 2010 WL 4867402, at *27 (citation omitted); see also Kazarian, 2012 WL 1810214, at *16.
The Supreme Court has listed several nonexclusive factors that courts should assess in determining whether agents acted reasonably in minimizing intercepted communications: (1) the length of non-pertinent calls; (2) whether the non-pertinent calls were "one-time" calls; (3) the ambiguous nature of the conversations or pattern of calls; (4) whether the investigated conduct involved a widespread conspiracy; (5) the public or private nature of the target phone; and (6) the stage of the surveillance. Scott, 436 U.S. at 140-42, 98 S.Ct. 1717 (1978). "Minimization efforts are to be judged by a standard of `reasonableness in the context of the entire wiretap, as opposed to a chat-by-chat analysis.'" United States v. McGuinness, 764 F.Supp. 888, 900 (S.D.N.Y.1991) (citing United States v. Hoffman, 832 F.2d 1299, 1308 (1st Cir.1987); see also United States v. Ianniello, 621 F.Supp. 1455, 1471 (S.D.N.Y.1985) ("The statutory requirement of minimization does not mean that only communications exclusively devoted to criminal subjects may be intercepted."); Uribe, 890 F.2d at 557 ("[P]erfection is usually not attainable, and is certainly not legally required."). Because this is an ad hoc analysis, there is no particular percentage of non-minimized, non-pertinent calls that renders the entirety of the wiretap unreasonable. See Scott, 436 U.S. at 140, 98 S.Ct. 1717 (noting that, while the "percentages [of non-pertinent calls intercepted] may provide assistance" to courts in determining the reasonableness of a wiretap, there are nonetheless cases "where the percentage of non-pertinent calls is relatively high and yet their interception was still reasonable").
In this Circuit, there is a general rule that, in complex cases such as this one, the minimization requirement does not extend to calls under two minutes in length; stated differently, there is a strong presumption that the Government has not acted unreasonably by failing to suppress such calls. See United States v. Bynum, 485 F.2d 490, 500 (2d Cir.1973) ("eliminat[ing] [] from consideration" the minimization requirement for calls of two minutes in length or less in a case involving "wide-ranging criminal activity"), vacated and remanded on other grounds, 417 U.S. 903, 94 S.Ct. 2598, 41 L.Ed.2d 209 (1974); see also United States v. Capra, 501 F.2d 267,
However, while there is a strong presumption that calls under two minutes need not be minimized, officers may nevertheless be expected in certain circumstances to minimize in a shorter period of time.
The Government monitored 3,747 calls in this wiretap, and only a small fraction of the calls—short of one hundred—were
Zemlyansky nonetheless argues that roughly twenty percent of the calls monitored were improperly minimized, including the majority of the calls between Zemlyansky and his wife; the majority of the calls between Zemlyansky and his family members; and calls between Zemlyansky and paramours and prostitutes.
The Court also agrees with the Government that the calls between Zemlyansky and his paramours were by and large properly minimized. The calls were made to nine different telephone numbers, and the calls to each number were generally too infrequent and too far apart to establish a pattern of innocence. Nor, generally, did the subject matter of these calls immediately and definitively indicate their irrelevance to the case. Therefore, neither exception to the two minute rule is applicable to this group of calls.
More troubling is the Government's monitoring of the calls between Zemlyansky and apparent prostitutes. While it is true that the 62 calls went to over 30 telephone numbers and to as many, if not more, different individuals, it is nonetheless the case that the private nature, as well as the irrelevance, of many of these calls should "have been apparent within seconds." Goffer, 756 F.Supp.2d at 595.
Despite the fact that the Government improperly failed to minimize a number of deeply private calls between Zemlyansky and prostitutes, the Government's minimization, when viewed as a whole, was nonetheless not unreasonable. Accordingly, total suppression in this instance would be "drastic and excessive." DePalma, 461 F.Supp. at 823; see also Goffer, 756 F.Supp.2d at 595-96 (noting that "district courts in this Circuit have favored the
Accordingly, Zemlyansky's motion to suppress the entire wiretap is denied. Accord Kazarian, 2012 WL 1810214, at *17.
Zemlyansky also argues that the monitoring of Zemlyansky's phone after Robert Sukhman agreed to begin cooperating with the Government on July 13, 2011 was in violation of Title III. While "not contesting the Court's wiretap authorization on [June] 28, 2011," Zemlyansky contends that "the Court's finding of continued `necessity' on July 15, 2011 was erroneous because the [G]overnment now had access to a cooperator intimately involved in the alleged criminal conduct." (Zemlyansky Mem. at 37.)
"While Title III allows for wiretaps in limited circumstances," Congress contemplated the courts playing an active role in preventing unwarranted electronic intrusions. United States v. Concepcion, 579 F.3d 214, 218 (2d Cir.2009). To the end, § 2518(1)(c) requires that each application for a wiretap contain "a full and complete statement as to whether or not other investigative procedures have been tried and failed or why they reasonably appear to be unlikely to succeed if tried or to be too dangerous." It is the role of the reviewing judge to ensure this standard has been met, see § 2518(3)(c), "so that `wiretapping is not resorted to in situations where traditional investigative techniques would suffice to expose the crime.'" Concepcion, 579 F.3d at 218 (quoting United States v. Kahn, 415 U.S. 143, 145 n. 12, 94 S.Ct. 977, 39 L.Ed.2d 225 (1974)). While "generalized and conclusory statements that other investigative procedures would not prove unsuccessful" are insufficient to satisfy Title III, the Government is not required to exhaust all possible investigative techniques before seeking a wiretap. Id. (citations omitted); see also U.S. v. Young, 822 F.2d 1234, 1237 (2d Cir.1987) ("[T]here is no requirement `that any particular investigative procedures be exhausted before a wiretap may be authorized.'" (quoting United States v. Lilla, 699 F.2d 99, 104 (2d Cir.1983)). Rather, "[t]he statute only requires that the agents inform the authorizing judicial officer of the nature and progress of the investigation and of the difficulties inherent in the use of normal law enforcement methods." Concepcion, 579 F.3d at 218 (quoting United States v. Diaz, 176 F.3d 52, 111 (2d Cir.1999) (quotation marks omitted) (alteration in original)). In other words, "[m]erely because a normal investigative technique is theoretically possible, it does not follow that it is likely. What the provision envisions is that the showing be tested in a practical and commonsense fashion." Id. (quoting S.Rep. No. 90-1097 (1968), 1968
The defendant bears the burden of proving that necessity for the wiretap was lacking. United States v. Magaddino, 496 F.2d 455, 459-60 (2d Cir.1974). Moreover, as the Second Circuit recently underscored, a reviewing court must "grant considerable deference to the district court's decision whether to allow a wiretap, ensuring only that `the facts set forth in the application were minimally adequate to support the determination that was made.'" Concepcion, 579 F.3d at 217 (quoting United States v. Miller, 116 F.3d 641, 663 (2d Cir.1997)); see also United States v. Gotti, 42 F.Supp.2d 252, 262 (S.D.N.Y.1999) ("[D]oubts as to the existence of probable cause must be resolved in favor of the prior judicial authorization." (citing Gates, 462 U.S. at 237 n. 10, 103 S.Ct. 2317)); Gigante, 979 F.Supp. at 963 ("Unaided by the insights of adversarial scrutiny, the issuing judge may not readily perceive every question that might legitimately be raised regarding a requested surveillance; but so long as fundamental constitutional rights are preserved, the issuing court's determination should not be subjected to gratuitous `Monday morning quarterbacking.'"). Thus, where one district court judge reviews the wiretap authorization of another, the latter must be afforded deference by the former. See Concepcion, 579 F.3d at 219 (overturning Judge Scheindlin's suppression of wiretap evidence on the ground that she failed to sufficiently defer to Judge Marrero's authorization of the wiretap).
On July 15, 2011, the Government sent a periodic report to Judge Jones, updating her on her June 28, 2011 Order authorizing the wiretap of, inter alia, Zemlyansky's telephone. (Gov't Mem., Ex. B at US001307-US001315.) The periodic report noted:
(Id. at US001314.)
The June 27, 2011 wiretap application (Gov't Mem., Ex. 5 ("June 2011 App.")), together with the June 15, 2011 period report, adequately supported Judge Jones' finding that it was necessary to continue the wiretap despite Sukhman's cooperation. At that point, Sukhman's cooperation had just begun, and it was simply not possible to foresee to what fruits, if any,
The Court declines to second guess Judge Jones's determination that the wiretap remained necessary even after Sukhman agreed to cooperate with the Government. Accordingly, Zemlyansky's motion to suppress wiretap evidence is denied.
Defendants Geris, Shapiro, and Danilovich have moved for an order requiring the Government to immediately disclose certain materials, including those mandated by Brady v. Maryland, 373 U.S. 83, 83 S.Ct. 1194, 10 L.Ed.2d 215 (1963); Kyles v. Whitley, 514 U.S. 419, 115 S.Ct. 1555, 131 L.Ed.2d 490 (1995); Giglio v. United States, 405 U.S. 150, 92 S.Ct. 763, 31 L.Ed.2d 104 (1972); Rule 404(b) of the Federal Rules of Evidence; and Rule 16 of the Federal Rules of Criminal Procedure. The Government has represented that it will turn over any and all Brady, Kyles, Giglio materials at least two weeks before trial, and that it will turn over all 404(b) evidence 30 days before trial. The Court will hold the Government to its representations, but the motions are otherwise denied. Accord United States v. Gallo, No. 98 Cr. 338, 1999 WL 9848, at *8 (S.D.N.Y. Jan. 11, 1999) (denying motion to compel production of Brady, Giglio, and Jencks Act materials based on the Government's representations that "it is aware of its obligations . . . and will produce any [required] materials to the defense" at an appropriate period).
Shapiro has moved for severance pursuant to Rule 14 of the Federal Rules of Criminal Procedure. The Court agrees with the Government that this motion is premature. Shapiro is not part of the first cohort to be tried, and the exact configuration of the co-defendants with whom he will be tried is far from determined. Shapiro's motion to sever is therefore denied as premature, without prejudice to renewal at a later stage in the proceedings. Accord United States v. Rodriguez, No. 08 Cr. 1311, 2009 WL 2569116, at *11 (S.D.N.Y. Aug. 20, 2009).
Geris and Shapiro have each moved for a bill of particulars pursuant to Rule 7(f) of Criminal Procedure. Defendants are both
"Whether to grant a bill of particulars rests within the sound discretion of the district court." United States v. Panza, 750 F.2d 1141, 1148 (2d Cir.1984) (citation omitted). "A bill of particulars is required only where the charges of the indictment are so general that they do not advise the defendant of the specific acts of which he is accused." United States v. Chen, 378 F.3d 151, 163 (2d Cir.2004) (internal quotation marks and citation omitted). If the information the defendant seeks "is provided in the indictment or in some acceptable alternate form," such as discovery, no bill of particulars is required. United States v. Bortnovsky, 820 F.2d 572, 574 (2d Cir.1987). Moreover, "[t]he Government is not required to disclose the manner in which it will attempt to prove the charges, nor the means by which the crimes charged were committed. Therefore, `the Government is not required to give information that would, in effect, give the defendant a preview of the Government's case before trial.'" United States v. Triana-Mateus, No. 98 Cr. 958, 2002 WL 562649, at *5 (S.D.N.Y. Apr. 15, 2002) (citation omitted); see also United States v. Muyet, 945 F.Supp. 586, 598-99 (S.D.N.Y.1996) ("[I]t is improper to use a bill of particulars to compel the Government to disclose the manner in which it will prove the charges or preview its evidence or legal theory." (quotation marks and citations omitted)).
On October 5, 2012, Defendant Zayonts moved for a bill of particulars on behalf of all Defendants, seeking: "(1) specification of the victims of the frauds charged in the indictment; (2) specification of the false and fraudulent representations to the victims of the frauds charged in the indictment and the respect to which the statement is false." (Dkt. No. 359 at 2.) This Court denied that motion, holding that "there is sufficient particularity in the Government's submissions for the defendants to understand, for the purposes of preparing for trial, the alleged fraud." (Tr. of Oral Arg., Dec. 5, 2012, at 67.) This conclusion holds true for Geris and Shapiro as well. The charges against Geris and Shapiro have been explained in sufficient detail via the Indictment and other documents filed in the course of this litigation. Geris and Shapiro's motions for bills of particulars are therefore denied.
Shapiro and Danilovich have moved to strike surplusage in the Indictment, pursuant to Federal Rule of Criminal Procedure 7(d). The Court has not yet determined whether the Indictment will be provided or read to the jury. These motions are therefore denied as premature, without prejudice to renewal at a later stage in the proceedings. Accord United States v. Wilson, 493 F.Supp.2d 364, 379 (E.D.N.Y. 2006).
Treysler moves to dismiss Count One of the Indictment as impermissibly duplicitous. For the reasons set forth below, that motion is denied.
"An indictment is impermissibly duplicitous where: 1) it combines two or more distinct crimes into one count in contravention of Fed.R.Crim.P. 8(a)'s requirement that there be `a separate count for each offense,' and 2) the defendant is prejudiced thereby." United States v. Sturdivant, 244 F.3d 71, 75 (2d Cir.2001) (citation omitted);
United States v. Aracri, 968 F.2d 1512, 1519 (2d Cir.1992) (citations omitted); see also United States v. Vanwort, 887 F.2d 375, 383 (2d Cir.1989) ("A single conspiracy may be found where there is mutual dependence and assistance among the [participants], a common aim or purpose. . . or a permissible inference, from the nature and scope of the operation, that each actor was aware of his part in a larger organization where others performed similar roles equally important to the success of the venture. . . . The members of the conspiracy do not have to conspire directly with every other member of it, or be aware of all acts committed in furtherance of the conspiracy, or even know every other member. There is no requirement that the same people be involved throughout the duration of the conspiracy. Furthermore, a single conspiracy is not transposed into a multiple one simply by lapse of time, change in membership, or a shifting emphasis in its locale of operations." (internal quotation marks and citations omitted) (alteration in original)); U.S. v. Urso, 369 F.Supp.2d 254, 271 (E.D.N.Y.2005) (holding that the defendant's "assertion that this indictment is impermissibly duplicitous if the loansharking conspiracy had more than one target is baseless, as it is beyond dispute that a single criminal conspiracy may have multiple objects" (citing cases)).
If the Indictment sufficiently alleges a single conspiracy, the question whether one or several conspiracies exist is left to the jury. U.S. v. Rajaratnam, 736 F.Supp.2d 683, 688 (S.D.N.Y.2010); see also Aracri, 968 F.2d at 1519; Urso, 369 F.Supp.2d at 271. Here, Count One of the Indictment alleges a single RICO conspiracy. (See Indictment.)
Accordingly, Treysler's motion to dismiss Count One is denied denied.
For the foregoing reasons, the motion of Defendants Zaretskiy, Zayonts, and Kremerman to suppress evidence is GRANTED. Defendants' other motions are DENIED.
The Clerk of the Court is directed to close the motions at Docket Numbers 433, 437, 446, 449, 451, 452, 457, 458, 463, 466, 470, and 472.
SO ORDERED.
U.S. v. Song Ja Cha, 597 F.3d 995, 1005 (9th Cir.2010) (internal citations omitted).
United States v. Simels, No. 08 Cr. 640 (JG), 2009 WL 1924746, at *5 (E.D.N.Y. July 2, 2009) (footnote omitted); see also Goffer, 756 F.Supp.2d at 593 (agreeing with Judge Gleeson that "there is no per se bar to monitoring privileged calls as long as the agents' minimization of such calls is conducted in a reasonable manner"). Thus, non-pertinent spousal calls must be minimized before two minutes only if they fall into the two categories outlined supra.