Commonwealth v. Abbott

21 Mass. L. Rptr. 588
CourtMassachusetts Superior Court
DecidedApril 26, 2006
DocketNo. 05648
StatusPublished

This text of 21 Mass. L. Rptr. 588 (Commonwealth v. Abbott) is published on Counsel Stack Legal Research, covering Massachusetts Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Commonwealth v. Abbott, 21 Mass. L. Rptr. 588 (Mass. Ct. App. 2006).

Opinion

Billings, Thomas P., J.

For the following reasons, the defendant’s Motion to Dismiss Indictments, and his Motion to Suppress, are both DENIED.

FACTS

The defendant was indicted on May 20, 2005, on ten counts of fraudulent sale of securities (G.L.c. 110A, §101); ten counts of operating as an unregistered broker-dealer (c. 100A, §201); ten counts of larceny over $250, two of which were from a person over 60 (c. 266, §§30(1) and (5)); and three counts of impeding a tax collector (c. 62C, §73 (h)). As this motion is premised on the manner of the grand jury proceedings, rather than the factual sufficiency of the presentment, the focus here will be more on procedural matters than on the conduct charged.

A. The Subpoenas

In the fall of 2003, three people (an individual and a couple) reported to the Attorney General’s office (“AGO”) that they had given money to the defendant to invest on their behalf, but that he had used it for his own purposes instead.

The case was not immediately brought before a grand jury. The AGO, however, issued four grand jury subpoenas, one to the Beverly Cooperative Bank and three in succession to First National Bank, Ipswich (“FNBI”). Each subpoena sought records of accounts in the name of the defendant or of various aliases and entities controlled by him. The return dates were: November 20, 2003; June 2, 2004; July 7, 2004; and August 11, 2004.

Although an Essex County grand jury was (as always) in session, it was not informed of, and did not vote on, the issuance of any of the subpoenas. Each subpoena was signed by an AGO Financial Investigator and an Assistant Attorney General, and commanded the Keeper of Records to appear in the grand jury for Essex County on a specified day with the records. Each, however, advised the recipient to call the Financial Investigator (whose telephone number was supplied) with any questions, and also that “[a] personal appearance may not be necessary if the documents are delivered on or before” the day before the return date. It appears, unsurprisingly, that each of the banks availed itself of the delivery-in-advance option.

B. The Search Warrants

On June 29, 2004 the AGO applied for warrants to search (a) the defendant’s apartment at Unit 3B, Four Essex Street, Beverly; (b) his “office” (Unit 3A in the same building); and (c) a bank account in his name at FNBI. The 68-page affidavit in support of the application was signed by a state trooper assigned to the AGO, and recounted information gathered by two Financial Investigators (the one who signed the subpoenas, and another) through (a) public records research, (b) interviews of the three individuals who alleged that they had been victimized by the defendant (and who are named in the affidavit), and (c) interviews of three other people (the defendant’s landlord and landlady and an employee of the taxi company he used). Also described was a recent visit by the affiant to Four Essex Street under the pretext of looking for an apartment to rent, in which he briefly encountered the defendant.

The information given in the interviews with the alleged victims, greatly summarized here, was that the defendant had solicited and received low-six-figure amounts each from the individual and the couple, promising to invest it. He supplied statements purporting to indicate where the monies were invested, and the returns. All three investors had eventually lost faith in the defendant and demanded that he return their money, which he failed to do (notwithstanding, in one instance, written promises by a lawyer and a written agreement .to do so). The defendant’s landlord and landlady and the taxi company employee also stated that the defendant had solicited investments from them, but that they had declined.

The defendant did his business with the alleged victims over the telephone, by mail (sometimes using the address One Ellis Square, which is an alternate address for Four Essex Street, and sometimes a different street address that houses a Mailboxes Etc. franchise), and in meetings at a restaurant a quarter-mile away from his home. He did not, in other words, appear to have an office apart from Four Essex Street. When one investor went to the defendant’s apartment with family members to confront him, he took $4,000 in cash from a kitchen cabinet and offered it to her.

The defendant’s landlords described the defendant as “something of a recluse who generally stayed in his apartment,” and did not think he had held a job since they acquired Four Essex Street in March 2000. Finally, when the affiant encountered the defendant in the building on June 24, 2004, the latter stated that he lived in Unit 3B, but was renting Unit 3A temporarily while his own unit was being renovated.

Also related in the affidavit was information gleaned from the subpoenaed records from Beverly Cooperative Bank and FNBI. These supplied corroboration and detail concerning the transactions described by the three alleged victims, and also evidenced deposits by the defendant of checks written by numerous other individuals.

The search warrants were issued the afternoon of June 29, 2004. The searches of Units 3A and 3B yielded documents; the defendant’s savings account at FNBI, slightly over $85,000.

[590]*590C. The Grand Jury Presentments

The actual presentment of the case to a grand jury began on October 15, 2004. Evidence was taken on that day and on December 3, December 10, and December 17, 2004. This grand jury’s three-month term expired at the end of the year, however, and so the case was re-presented to the grand jury whose term began in January 2005. It was represented at oral argument that a witness summarized, to the second grand jury, the testimony that had been presented to the first. The second grand jury was held over, past the presumptive expiration of its term at the end of March, so that additional testimony could be taken on May 20, 2005. The indictments returned on that day.

The grand juries heard from numerous witnesses, including people who had deposited money with the defendant to invest for them, at least one of the Financial Investigators, and others. Numerous documents produced in response to the bank subpoenas were introduced, one by one, as testimony concerning them was given. Finally, the Assistant Attorney General who presented the case invited the grand jurors, if they wished, to review the subpoenaed documents and the prior grand juiy transcripts, which were present in the grand juiy room.

DISCUSSION

A. Fourth Amendment and Article 14

To the extent that the defendant maintains that the grand juiy subpoenas transgressed rights secured by the Fourth Amendment of the United States Constitution or Article 14 of the Declaration of Rights, the argument is foreclosed by Commonwealth v. Cote, 407 Mass. 827, 832 (1990). There, the SJC held that a grand juiy subpoena directed to the defendant’s telephone answering service, although improper for other reasons (see Part B, below), did not violate the Fourth Amendment or Article 14 because the defendant had no reasonable expectation of privacy in records maintained by a third party.

In so holding, the court relied on United States v. Miller, 425 U.S. 435 (1976). In Miller, the United States Supreme Court declined to suppress bank records obtained by the government in response to trial subpoenas.

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Related

United States v. Miller
425 U.S. 435 (Supreme Court, 1976)
Franks v. Delaware
438 U.S. 154 (Supreme Court, 1978)
United States v. Sells Engineering, Inc.
463 U.S. 418 (Supreme Court, 1983)
Wilbur Horne v. United States
246 F.2d 83 (Fifth Circuit, 1957)
John Doe v. Joseph Digenova
779 F.2d 74 (D.C. Circuit, 1985)
Commonwealth v. Liebman
400 N.E.2d 842 (Massachusetts Supreme Judicial Court, 1980)
Commonwealth v. Cote
556 N.E.2d 45 (Massachusetts Supreme Judicial Court, 1990)
Commonwealth v. Smallwood
401 N.E.2d 802 (Massachusetts Supreme Judicial Court, 1980)
Commonwealth v. Cinelli
449 N.E.2d 1207 (Massachusetts Supreme Judicial Court, 1983)

Cite This Page — Counsel Stack

Bluebook (online)
21 Mass. L. Rptr. 588, Counsel Stack Legal Research, https://law.counselstack.com/opinion/commonwealth-v-abbott-masssuperct-2006.