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DISTRICT OF COLUMBIA COURT OF APPEALS
No. 19-CF-0143
D.W., APPELLANT,
v.
UNITED STATES, APPELLEE.
Appeal from the Superior Court of the District of Columbia (2017-CF2-014804)
(Hon. Robert A. Salerno, Trial Judge)
(Argued January 20, 2022; reargued January 14, 2025 Decided July 17, 2025)
Victoria J. Hall-Palerm and KC Bridges, Public Defender Service, with whom Samia Fam, Jaclyn S. Frankfurt, Mikel-Meredith Weidman, and Dennis Martin, Public Defender Service, were on the briefs, for appellant.
Mark Hobel, Assistant United States Attorney, with whom Michael R. Sherwin, Acting United States Attorney at the time the brief was filed, Matthew M. Graves, United States Attorney at the time the supplemental brief was filed, and Elizabeth Trosman, Chrisellen R. Kolb, Suzanne Grealy Curt, John P. Mannarino, and Amy Joy Thomas, Assistant United States Attorneys, were on the briefs, for appellee.
Before MCLEESE and SHANKER, Associate Judges, and GLICKMAN, Senior Judge. *
* Senior Judge Ferren was originally assigned to this case. Following his retirement on April 21, 2023, Associate Judge Shanker was assigned to take his 2
Opinion for the court by Associate Judge MCLEESE.
Concurring opinion by Associate Judge MCLEESE at page 17.
Opinion by Senior Judge GLICKMAN, concurring dubitante, at page 24.
MCLEESE, Associate Judge: Appellant D.W. appeals his convictions for
several firearm offenses, arguing that the trial court erroneously denied his motion
to suppress evidence. We agree with D.W., and we therefore vacate the judgment
and remand for further proceedings.
I. Factual and Procedural Background
The evidence at the suppression hearing included the following. On the day
at issue, officers of the Metropolitan Police Department Crime Suppression Team
(CST) went to the Geraldine Apartment Complex as part of their “normal, everyday
operations.” The officers were not responding to a specific report of criminal
activity. The Geraldine is a “pretty high-crime area . . . known for drug trafficking,
drug sales and gun violence.” Specifically, one of the members of the CST, Officer
John Bewley, who worked on the CST for three years, had personally responded to
reports at the Geraldine of “[h]omicides, assault with dangerous weapon, guns, [and]
knives.” Officer Bewley had not reviewed any crime statistics for the Geraldine
place on the division. Judge Glickman was an Associate Judge at the time of the first argument. His status changed to Senior Judge on December 21, 2022. 3
before the date at issue. He did not know how many violent crimes had occurred at
the Geraldine in the previous year or two years. Officer Bewley indicated that he
would use the term “high-crime area” to describe a complex in which there were five
to ten crimes in a year. Officer Bewley testified that it was fairly common
knowledge in the Metropolitan Police Department that the Geraldine is a high-crime
area.
Another member of the CST who was involved in D.W.’s arrest, Officer
Krishaon Ewing, also described the Geraldine as a high-crime area. He had
personally recovered narcotics and numerous firearms in the area, and he had also
been to the area in response to multiple shootings and stabbings. Officer Ewing
indicated that he would call an area a high-crime area if the police consistently
recovered drugs and firearms in the area. Officer Ewing testified that the Geraldine
had a reputation among officers in his district as a high-crime area.
The CST officers were in uniform and were driving in unmarked cars. There
were several officers in three cars. One of the cars was “down the street” from the
car Officer Bewley was in, and Officer Bewley was not sure where the third car was.
The car that Officer Bewley was in stopped, and Officer Bewley and another officer
got out at the same time. Officer Bewley started walking toward a breezeway that
led to a parking lot. He saw D.W., who was standing near the breezeway with 4
several other people. Within a few seconds, D.W. saw Officer Bewley and then ran
at a “full sprint.” Officer Bewley did not say anything to D.W. before D.W. ran.
There was no testimony about the exact distance between Officer Bewley and D.W.
when D.W. started running, but Officer Bewley testified that he was “pretty far
away” from the breezeway and body-worn camera footage that was admitted into
evidence appears to indicate that Officer Bewley and D.W. were over fifty feet apart.
Officer Bewley chased D.W. Officer Bewley testified that D.W. was grabbing
at and holding his waistband area while running, but no such motions are visible on
the body-worn camera footage. D.W. ran into the parking lot, out of the parking lot,
and through an alley before cutting between two houses and jumping a chain-link
fence. Other officers, including Officer Ewing, also got involved in the chase. After
running behind another building, D.W. attempted to jump another chain-link fence
that was six to ten feet high. D.W.’s leg got caught on the fence, however, and
officers apprehended him.
As officers apprehended D.W., D.W. pulled a gun from his pant leg and
dropped the gun to the ground.
One other individual on the scene ran from the police as well, and he was
stopped and searched but was not arrested. The search of that person included an
officer placing his hand on the individual’s “crotch area” looking for a gun. Officer 5
Bewley had previously performed searches of this kind at the Geraldine when
searching for guns and drugs. It also was typical that when someone was stopped
and searched, that person would be kept sitting handcuffed in public for a period of
time that could be as long as an hour.
Another individual responded to one of the officers walking toward the
individual by raising his arms up “in . . . a T.” It was “typical for some men” to do
that when police approached them at the Geraldine. Yet another individual lifted his
shirt to show that he did not have a gun when Officer Bewley ran by. It was typical
for individuals at the Geraldine to respond in that way.
A defense investigator testified that she had looked in a public database called
D.C. Crime Maps and located information about only one homicide within 1,000
feet of the Geraldine, which was a stabbing that occurred in 2015. The investigator
did not know who maintained the database and knew nothing about its accuracy.
The investigator did not check the database for crimes involving firearms or drugs.
The trial court denied D.W.’s motion to suppress evidence. The trial court
credited the testimony of Officers Bewley and Ewing that the Geraldine was a
high-crime area. The trial court concluded that statistics were not necessary on that
point, instead relying on the officers’ testimony about their own experiences at the
Geraldine and the general reputation of the Geraldine within the Metropolitan Police 6
Department. The trial court declined to give weight to the testimony of the defense
investigator because that testimony was limited to homicides and it was unclear what
information was recorded on the database the investigator reviewed.
The trial court declined to credit Officer Bewley’s testimony that D.W. was
reaching for his waistband during the chase.
The trial court found that D.W.’s flight was immediate and headlong, occurred
upon the mere sight of the police, was sustained, and involved jumping fences “in []
apparent desperation.” The trial court further found that “the police did nothing to
provoke the flight; they simply appeared at the complex.” Given those
circumstances, it was reasonable to infer that D.W.’s flight reflected consciousness
of guilt.
The trial court acknowledged that one person other than D.W. fled, was caught
and searched, and was released after no weapon was found. A second person lifted
his arms to prepare for a frisk, and another person lifted his shirt as if to indicate that
he was not armed. Most people, however, simply went about their business.
On the basis of these findings, the trial court denied the motion to suppress,
concluding that D.W.’s unprovoked flight in a high-crime area gave the police
reasonable, articulable suspicion to stop D.W. 7
D.W. was subsequently found guilty at a stipulated trial.
After this appeal was briefed and argued, the court granted rehearing en banc
in Mayo v. United States, 284 A.3d 403 (D.C. 2022). This appeal was held in
abeyance until the en banc decision in Mayo was issued. Mayo v. United States, 315
A.3d 606 (D.C. 2024) (en banc). The division in this case then directed the parties
to file supplemental briefs and held reargument.
II. Analysis
We review the trial court’s legal rulings de novo, and we defer to the trial
court’s findings of fact unless they are clearly erroneous. Mayo, 315 A.3d at 616.
We are not limited to the trial court’s express findings. Id. at 616-17. We view the
evidence in the light most favorable to the trial court’s ruling, and we also may rely
on facts that were undisputed at the suppression hearing. Id. at 617.
The primary issue in this case is whether the police acted lawfully when they
initially seized D.W. It is undisputed that the initial seizure of D.W. was an
investigative detention (also called a Terry stop) and therefore was lawful if the
police had “a reasonable suspicion supported by articulable facts that criminal
activity may be afoot.” United States v. Sokolow, 490 U.S. 1, 7 (1989) (internal
quotation marks omitted). 8
The general framework for determining whether the police had reasonable,
articulable suspicion is well settled. Reasonable, articulable suspicion (1) is “not
reducible to precise definition or quantification,” Florida v. Harris, 568 U.S. 237,
243 (2013) (internal quotation marks omitted); (2) is a “commonsense, nontechnical
conception[],” Ornelas v. United States, 517 U.S. 690, 695 (1996); (3) turns on the
“totality of circumstances,” United States v. Arvizu, 534 U.S. 266, 273 (2002)
(internal quotation marks omitted); (4) requires considerably less than proof by a
preponderance of the evidence and obviously less than probable cause, Kansas v.
Glover, 589 U.S. 376, 380 (2020), although probable cause is also “incapable of
precise definition or quantification into percentages,” District of Columbia v. Wesby,
583 U.S. 48, 64 (2018) (internal quotation marks omitted); (5) requires “more than
an inchoate and unparticularized suspicion or hunch of criminal activity,” Illinois v.
Wardlow, 528 U.S. 119, 124 (2000) (internal quotation marks omitted); see also
Alabama v. White, 496 U.S. 325, 329-30 (1990) (“The Fourth Amendment requires
some minimal level of objective justification for making the stop.”) (internal
quotation marks omitted); and (6) can be based on police observations of actions that
might have an innocent explanation, as long as those actions, considered as a whole,
are sufficiently suspicious, see Wardlow, 528 U.S. at 125 (“[I]n Terry [v. Ohio, 392
U.S. 1 (1968)], the conduct justifying the stop was ambiguous and susceptible of an
innocent explanation.”). 9
The trial court identified two factors that supported a determination of
reasonable, articulable suspicion: D.W.’s presence in a high-crime area and D.W.’s
unprovoked flight. After the trial court’s ruling in this case, this court issued its en
banc decision in Mayo, 315 A.3d 606, which also addressed whether a suspect’s
flight and presence in a so-called “high-crime area” sufficed to support a
determination of reasonable, articulable suspicion. See id. at 622-23. Because the
decision in Mayo is of central importance in resolving the present case, we discuss
that decision in some detail.
A. Mayo
We focus on Mayo’s discussion of (1) “high-crime area” evidence, which
Mayo renamed “general locational crime evidence,” 315 A.3d at 632; (2) flight; and
(3) the totality of the circumstances.
1. General locational crime evidence
The court in Mayo stated several legal principles concerning general
locational crime evidence. First, the court acknowledged that such evidence can be
relevant in determining whether reasonable, articulable suspicion exists. Mayo, 315
A.3d at 632-33. Second, the court reiterated prior warnings “against reliance on the
‘high crime area’ phrase as a talismanic litany to justify Terry stops.” Id. at 633 10
(internal quotation marks omitted). Third, the court held that “courts should no
longer give weight to a bare ‘high-crime area’ label in assessing the validity of a
Terry stop.” Id. at 634. Fourth, the court held that “conclusory assertions will not
suffice; an officer instead must be able to point to specific evidence that led the
officer to suspect criminal activity in a particular circumstance.” Id. (ellipsis and
internal quotation marks omitted). Fifth, the court held that “assessing the value of
general locational crime information in interpreting potentially suspicious conduct
will be a fact-intensive inquiry . . . [that] should turn on the quality and specificity
of the information, with particular focus on the recency, frequency, and geographic
proximity of the relevant criminal activity.” Id. at 635.
The court in Mayo applied those principles to the general locational crime
evidence before it. 315 A.3d at 612-13, 636. That evidence came from an officer
who testified that (1) the Gun Recovery Unit (GRU) was often sent to patrol the
neighborhood in which the stop had occurred; (2) the GRU had recovered multiple
weapons, handguns, and narcotics in the neighborhood; and (3) in the preceding
three years, the GRU had recovered over ten guns from the neighborhood, which
was “one of the higher amounts . . . compared to other parts of the city.” Id. at
612-13 (ellipsis omitted). 11
The court held that this evidence “add[ed] little” and was not “sufficiently
specific or well-grounded to place Mr. Mayo’s innocuous conduct in a different light
or make his flight more indicative of consciousness of guilt.” Mayo, 315 A.3d at
636. Specifically, the court held that the testimony about narcotics “had no
demonstrated connection to a suspicion that Mr. Mayo was armed”; the officer’s
testimony about guns “lacked meaningful specificity” because the officer had not
identified the boundaries of the neighborhood at issue; and the testimony about
having recovered over ten guns in a three-year period was “weak tea at best.” Id.
The court thus concluded that the evidence of prior criminal activity in the
neighborhood at issue did not “provide[] objectively useful context” in determining
whether the police had reasonable, articulable suspicion. Id. at 635.
2. Flight
The court in Mayo also stated a series of legal principles relating to evidence
of a suspect’s flight: (1) “[a] defendant’s flight from the police can be a relevant
factor in the reasonable suspicion analysis,” 315 A.3d at 624-25 (brackets and
internal quotation marks omitted); (2) “headlong flight is the consummate act of
evasion: It is not necessarily indicative of wrongdoing, but it is certainly suggestive
of such,” id. at 625 (brackets, ellipsis, and internal quotation marks omitted);
(3) flight must be viewed in context, id.; (4) “[t]here are myriad reasons an innocent 12
person might run away from the police,” including “natural fear or dislike of
authority, a distaste for police officers based upon past experience, a fear of police
brutality or harassment, a fear of being apprehended as the guilty party, or other
legitimate personal reasons,” id. (brackets, ellipsis, and internal quotation marks
omitted); (5) “any evaluation of a reasonable police officer’s interpretation of [a
suspect’s] flight must take into account that some individuals in highly policed
communities might fear over-aggressive police conduct and may flee as a result even
if they are innocent of any wrongdoing,” id. at 630; (6) “both . . . Black and Brown
men in particular have reason to be apprehensive of police, and . . . this apprehension
may be considered in assessing whether the actions the police observe provide
reasonable articulable suspicion,” id. at 631 n.16; and (7) “when the aggressive
nature of a police presence in a community makes flight simply to avoid police
interactions a plausible response, such flight cannot automatically be understood as
a manifestation of consciousness of guilt and its value in a reasonable articulable
suspicion analysis is significantly reduced,” id. at 632.
The court in Mayo applied those principles to the circumstances of the flight
in Mayo. 315 A.3d at 627-32. Those circumstances were that (1) before Mr. Mayo
fled, three GRU officers singled Mr. Mayo out and followed him, saying they wanted
to talk to him and asking him if he had guns, id. at 628; (2) the GRU officers should
have understood that those actions communicated to Mr. Mayo “that they did not 13
intend to allow him to leave without engaging with them,” id.; (3) the GRU officers
lacked a lawful basis to stop Mr. Mayo at that point, id.; (4) the GRU officers’
conduct and accusatory questioning could have “prompt[ed] a reasonable, innocent
person who fears unjustified arrest to flee,” id. at 629; (5) the GRU officers
reasonably should have been aware that the stop was taking place in a “highly
policed communit[y]” in which individuals might “fear aggressive tactics,” id. at
631; (6) the GRU officers should reasonably have been aware that the GRU had a
reputation for being “aggressive in [the] hunt,” id. (internal quotation marks
omitted); and (7) the GRU officers “could not reasonably perceive Mr. Mayo’s flight
as clearly reflecting consciousness of guilt; rather it is more consistent with the
apprehensiveness that would naturally be felt by a person in his situation,” id. at 632
(internal quotation marks omitted).
3. Totality of the circumstances
The court in Mayo concluded that the stop there was not supported by
reasonable, articulable suspicion. 315 A.3d at 636-38. With respect to Mr. Mayo’s
flight, the court explained that the GRU officers should have understood that
individuals might fear their aggressive tactics. Id. at 637. With respect to the general
locational crime evidence, the court held that it “lacked meaningful specificity” and
did not establish that the rate of crime in the area was “high.” Id. In sum, the court 14
concluded that “[a]t most, the facts establish that GRU officers had an inchoate and
unparticularized hunch that Mr. Mayo was carrying a weapon.” Id.
The court in Mayo also distinguished the facts in Mayo from the facts of the
Supreme Court’s decision in Wardlow. First, the court described the facts of
Wardlow as being that the police were “converging on an area known for heavy
narcotics trafficking” and saw Mr. Wardlow “at a particular location where active
drug activity was anticipated.” Mayo, 315 A.3d at 626, 633 (internal quotation
marks omitted). Second, the court concluded that the Supreme Court’s holding in
Wardlow that the stop at issue was lawful rested not only on Mr. Wardlow’s flight
and the fact that Mr. Wardlow was in a “high-crime area” but also on the fact that
Mr. Wardlow was holding an opaque bag. Id. at 626 n.12. Third, and more
generally, the court stated that Wardlow did not hold that flight invariably justifies a
Terry stop or that “Terry stops could be substantiated based on the mere affixing of
a dangling comparative label of ‘high crime’ to certain city blocks or even entire
neighborhoods.” Id. at 627, 633. Finally, the court stated that the record in Wardlow
“did not contain . . . credited evidence” about aggressive police conduct. Id. at 631
n.17.
Based on its interpretation of Wardlow, the court in Mayo stated that Mayo
was “nothing like Wardlow.” Mayo, 315 A.3d at 627. 15
B. The Present Case
Whether the stop in this case was lawful depends on the weight that can
properly be given to the general locational crime evidence and to D.W.’s flight. The
general locational crime evidence in this case is stronger in one respect than such
evidence in Mayo because the evidence in this case is more geographically specific
and compact, relating to a single complex rather than an imprecisely defined
neighborhood. On the other hand, the general locational crime evidence in this case
otherwise reflects the shortcomings identified in Mayo. Some of the evidence was
simply general testimony about the Geraldine’s reputation; some of the evidence
was about crime in general and thus lacked a “demonstrated connection to a
suspicion that” D.W. was committing an offense, Mayo, 315 A.3d at 636; and neither
of the officers was able to be concrete about numbers of offenses that had taken place
at the Geraldine in any specific time frame. In our view, fair application of the
approach taken by the court in Mayo supports a conclusion that the general locational
crime evidence in this case was “weak tea at best” and did not “provide[] objectively
useful context” in determining whether the police had reasonable, articulable
suspicion. Id. at 635-36.
That leaves D.W.’s flight. That flight was in one important respect more
suspicious than Mr. Mayo’s flight, because D.W. fled before officers had singled 16
him out in any way. On the other hand, there was evidence in this case relating to
the concerns expressed in Mayo about flight as an innocent response to reasonable
fear of aggressive police conduct. We need not delve further into these complexities,
however, given our holding in Posey v. United States, 201 A.3d 1198 (D.C. 2019),
that “a nondescript individual distinguishing himself from an equally nondescript
crowd by running away from officers unprovoked does not, without more, provide
a reasonable basis for suspecting that individual of being involved in criminal
activity and subjecting him or her to an intrusive stop and police search.” Id. at 1204.
We conclude that our decisions in Mayo and Posey, taken together, require
reversal of the trial court’s order denying the motion to suppress evidence in this
case. Mayo leads to the conclusion that the general locational crime evidence in this
case added little if anything to reasonable, articulable suspicion. Posey holds that
even unprovoked headlong flight is not by itself sufficient to justify a stop. We
acknowledge the trial court’s point that D.W.’s flight could be viewed as more
suspicious because of the desperation reflected in his jumping fences. We view that
point as having at least some relevance, but we do not view the point as warranting
a result different from our holdings in Mayo and Posey. An innocent individual who
feared “police brutality or harassment” or “over-aggressive police conduct” might
well reflect that fear by taking measures such as jumping fences. Mayo, 315 A.3d
at 625, 630 (internal quotation marks omitted). 17
The United States argues that affirmance in this case is required by the
Supreme Court’s decision in Wardlow. We disagree. As the court in Mayo
interpreted Wardlow, Wardlow’s holding rested in part on two factors not present in
this case: Mr. Wardlow’s holding of an opaque bag that could have contained illegal
drugs and information that drug activity was anticipated in the “particular location”
where Mr. Wardlow was observed. Mayo, 315 A.3d at 626 & n.12, 633.
Finally, for the first time on appeal, the United States contends that
suppression of evidence was not justified under the exclusionary rule even if the stop
was unlawful. We decline to consider that argument. See, e.g., In re R.W., 334 A.3d
593, 605-06 (D.C. 2025) (declining to consider exclusionary-rule argument raised
for first time on appeal; citing cases).
For the foregoing reasons, we vacate the judgment of the Superior Court and
remand the case for further proceedings.
So ordered.
MCLEESE, Associate Judge, concurring: I join the opinion of the court in its
entirety. I write separately to address a complication arising from the fact that the
court’s opinion in this case relies heavily on Mayo v. United States, a case in which
I dissented. 315 A.3d 606, 639-58 (D.C. 2024) (en banc) (McLeese, J., dissenting). 18
That ordinarily would not present an issue, because I fully acknowledge my
obligation in subsequent cases to follow the holdings of decisions of the court in
cases in which I dissented. The complication arises more narrowly as to one of the
areas of my disagreement with the decision of the court in Mayo: my view that the
opinion of the court in Mayo incorrectly interpreted the Supreme Court’s decision in
Illinois v. Wardlow, 528 U.S. 119 (2000). Mayo, 315 A.3d at 649, 652-53, 655-56.
Specifically, I concluded in my dissent in Mayo that (1) the Mayo court’s view that
the possibility that innocent persons might flee out of fear substantially reduced the
weight to be given to flight was inconsistent with the reasoning of Wardlow, id. at
650; (2) the opinion of the court in Mayo inaccurately described the facts of
Wardlow, id. at 653; (3) the approach to general locational crime evidence taken by
the opinion of the court in Mayo was inconsistent with the weight given to such
evidence in Wardlow, id. at 652-53; and (4) the opinion for the court in Mayo
incorrectly interpreted the holding in Wardlow to rest in part on Mr. Wardlow’s
possession of an opaque bag, id. at 655-56.
My view that the opinion of the court in Mayo incorrectly interpreted the
Supreme Court’s decision in Wardlow raises a challenging question for me. In
general terms, the question is: How should a lower-court judge proceed if (1) the
judge personally interprets a decision of the Supreme Court of the United States in
one way; but (2) a lower-court decision normally binding on the judge, either by the 19
judge’s own court or by a higher court other than the Supreme Court of the United
States, has adopted a different and inconsistent interpretation of the Supreme Court’s
opinion? Should the judge follow his or her own personal view as to the proper
interpretation of the Supreme Court opinion or the differing view adopted by the
normally binding decision of the lower court?
As far as I have been able to determine, neither the Supreme Court of the
United States nor this court has expressly answered this question. I have located
several decisions in which federal circuit courts of appeals have squarely addressed
the question, and all of those decisions hold that judges on a subsequent panel are
bound by prior circuit decisions interpreting Supreme Court cases, even if those
judges believe that the prior circuit decisions misinterpreted the Supreme Court
cases at issue. See Smith v. GTE Corp., 236 F.3d 1292, 1301-04 (11th Cir. 2001)
(even if prior decision of circuit misinterpreted Supreme Court case that prior
decision discussed, subsequent panel of circuit was bound by prior circuit decision);
Barber v. Johnson, 145 F.3d 234, 237 (5th Cir. 1998) (same); Clow v. U.S. Dep’t of
Hous. & Urb. Dev., 948 F.2d 614, 616 n.2 (9th Cir. 1991) (per curiam) (“The dissent
does not argue that an intervening Supreme Court decision has cast doubt on our
prior circuit law, rather it asserts that the very Supreme Court decision upon which
these cases rely does not support their holdings. If we were all free to disregard our
prior circuit law based on our own predilections as to whether these decisions 20
properly construe the Supreme Court cases upon which they rely, the doctrine of
stare decisis would have little meaning in our circuit. Accordingly, contrary to the
dissent’s suggestion, we have no authority to revisit our circuit’s embrace of the
doctrine of hypothetical jurisdiction.”), abrogated on other grounds by Steel Co. v.
Citizens for a Better Env’t, 523 U.S. 83 (1998). The sole state case I have found
addressing an analogous situation reached the equivalent conclusion. State v.
Cousins, 473 P.3d 961 (table), No. 121,676, 2020 WL 6243299, at *9 (Kan. Ct. App.
Oct. 23, 2020) (“Cousins argues that Perkins was wrongly decided because it
misinterpreted United States Supreme Court caselaw. But this court is bound by
Kansas Supreme Court precedent unless there is some indication that the court is
departing from its earlier position, and here there is not.”).
As an aside, I note that there appear to be conflicts in the circuits about how
to handle two related but distinct situations: (1) where a prior circuit decision has
overlooked Supreme Court authority, compare, e.g., Sabal Trail Transmission, LLC
v. 18.27 Acres of Land, 59 F.4th 1158, 1160, 1173 (11th Cir. 2023) (under
“prior-precedent rule” prior decisions of circuit are binding even if prior circuit
decisions overlooked contrary Supreme Court decisions), with, e.g., United States v.
Tann, 577 F.3d 533, 542 (3d Cir. 2009) (subsequent circuit panel not bound by prior
decision of circuit that did not address contrary Supreme Court authority), and
(2) where a circuit-court panel “believes that there is conflict between an initial 21
binding precedent [of the circuit] and a subsequent decision [of the circuit] that
interpreted the initial precedent,” Parker v. K & L Gates, LLP, 76 A.3d 859, 880 n.2
(D.C. 2013) (McLeese, J., concurring) (citing cases).
Turning back to the precise issue before me, I do not view that issue as an
easy one. On one hand, the obligation of lower courts to follow the holdings of the
Supreme Court has been described as “absolute, as it must be in a hierarchical
system.” Nat’l Republican Senatorial Comm. v. Fed. Election Comm’n, 117 F.4th
389, 395 (6th Cir. 2024) (quoting Ramos v. Louisiana, 590 U.S. 83, 124 n.5 (2020)
(Kavanaugh, J., concurring in part)). It seems counterintuitive that a decision of a
lower court that incorrectly interprets a Supreme Court decision should be treated as
requiring later judges of that lower court to follow incorrect decisions of that lower
court rather than the actual holding of the Supreme Court.
On the other hand, the view that a lower-court decision interpreting a Supreme
Court case is not binding on judges of that lower court would have surprising and
undesirable consequences. As the Ninth Circuit put it, “If we were all free to
disregard our prior circuit law based on our own predilections as to whether these
decisions properly construe the Supreme Court cases upon which they rely, the
doctrine of stare decisis would have little meaning . . . .” Clow, 948 F.2d at 616 n.2.
To further illustrate the potential implications of such an approach, it would seem to 22
follow that federal district court judges could decline to follow decisions of their
circuit interpreting Supreme Court cases, instead taking the view that their obligation
was to follow their own understanding of what the Supreme Court had held.
On balance, I generally lean toward the view taken by the circuit courts that
have addressed the issue. Thus, I conclude that, at least barring unusual
circumstances, I am bound by the holdings of decisions of this court interpreting a
Supreme Court case, even if in my view those decisions incorrectly interpreted the
Supreme Court case at issue.
I view it as a close question whether there are unusual circumstances that
might warrant following my own understanding of Wardlow rather than the
interpretation of Wardlow reflected in Mayo. I expressed the view in my dissenting
opinion that Wardlow “unambiguously foreclose[d] the approach to general
locational crime evidence taken by the opinion for the en banc court in this case.”
Mayo, 315 A.3d at 653 (McLeese, J., dissenting). I also explained that in my view
the interpretation of Wardlow adopted by the court in Mayo led the court’s opinion
in Mayo to “depart[] from the path of ‘commonsense, nontechnical’ reasoning that
the Supreme Court has directed us to follow.” Id. at 654 (quoting Ornelas v. United
States, 517 U.S. 690, 695 (1996)). Finally, I noted that the court’s interpretation of
Wardlow in Mayo led the court in Mayo to invalidate the search in that case even 23
though other courts around the country had consistently upheld searches in
comparable circumstances. Id. at 656-67 (citing cases).
My views about the decision of the court in Mayo have not changed.
Moreover, because the decision in Mayo was of the en banc court, one of the
safeguards against erroneous lower-court interpretations of Supreme Court
opinions—review by a court sitting en banc—is not practically available.
Nevertheless, I conclude that the circumstances in this case are not sufficiently
unusual to warrant a departure from what I take to be the general rule that I should
adhere to the decisions of this court interpreting decisions of the Supreme Court. I
say that for three principal reasons: (1) I agreed with many of the points made by the
opinion for the court in Mayo, and some of the points on which I disagreed with the
decision in Mayo were ones as to which reasonable jurists in my view could disagree;
(2) I viewed the ultimate question whether the search in Mayo was lawful as “close,”
Mayo, 315 A.3d at 639 (McLeese, J., dissenting); and (3) I was the sole dissenter in
Mayo, which means that all six of my colleagues who sat on the case viewed
Wardlow differently than I do.
For the foregoing reasons, I adhere in this case to the interpretation of
Wardlow adopted by the court in Mayo. If, as I believe, that interpretation was
incorrect and has set this court on a path that is contrary to the directions we have 24
been given by the Supreme Court, then the Supreme Court in an appropriate case
could remedy that problem.
GLICKMAN, Senior Judge, concurring dubitante: I, too, join the opinion of the
court; I feel obliged to do so because, like my colleagues, I believe this appeal is
governed by the decisions in Mayo v. United States, 315 A.3d 606 (D.C. 2024) (en
banc), and Posey v. United States, 201 A.3d 1198 (D.C. 2019). Nonetheless, I write
separately because I find the outcome to be legally and logically dubious. But for
our controlling precedents, I would affirm appellant’s conviction on the ground that
his unprovoked, headlong flight in response to seeing police officers come to his
neighborhood justified an objectively reasonable and articulable suspicion that he
fled because he was engaged in criminal activity.
By saying that appellant’s flight was unprovoked, I mean that he fled at the
mere sight of the police officers, even though they were some fifty feet away and
had not singled him out or threatened him in any way. Nor can it be said that
appellant was alone or in an isolated spot or otherwise in an especially vulnerable or
dangerous situation when he noticed the police. Rather, he was standing outside a
residential apartment complex in broad daylight, among numerous potential
witnesses to how the officers would conduct themselves if they approached him. 25
Under those circumstances, the reason appellant’s alarmed reaction to the
arrival of police in his vicinity justified their stopping him for investigation is that
“deliberately furtive actions and flight at the approach of . . . law officers are strong
indicia of mens rea.” 1 As the Supreme Court has explained, “[h]eadlong flight—
wherever it occurs—is the consummate act of evasion: It is not necessarily indicative
of wrongdoing, but it is certainly suggestive of such.” 2 The Court has deemed these
propositions to be “based on commonsense judgments and inferences about human
behavior.” 3 I highlight the words “wherever it occurs”—they signify, I submit, that
unprovoked, headlong flight at the mere sight of police ordinarily justifies a
reasonable suspicion of criminal wrongdoing whether or not such flight takes place
in a so-called (though ill-defined) “high-crime area.” 4
District of Columbia v. Wesby, 583 U.S. 48, 59 (2018) (quoting Sibron v. 1
New York, 392 U.S. 40, 66 (1968)). 2 Illinois v. Wardlow, 528 U.S. 119, 124 (2000). As the Court further explained, “unprovoked flight is simply not a mere refusal to cooperate. Flight, by its very nature, is not ‘going about one’s business’; in fact, it is just the opposite. Allowing officers confronted with such flight to stop the fugitive and investigate further is quite consistent with the individual’s right to go about his business or to stay put and remain silent in the face of police questioning.” Id. at 125. 3 Id. 4 Thus, I think it unnecessary to resolve the disputed issue in this case of whether the prosecution established that the Geraldine Apartment Complex was a “high-crime area.” In general, though, like the dissenters in Wardlow, I doubt that a neighborhood’s relatively high crime rate has much bearing on whether a particular individual’s flight at the sight of police is meaningfully suggestive of criminal 26
In Mayo, this court discounted the suspiciousness of unprovoked, headlong
flight from police because there may be “myriad,” “plausible” reasons why an
innocent person might run; including, for example, a legitimate fear of police
harassment or wrongful arrest. 5 But in Wardlow the Supreme Court rejected the
“argu[ment] that there are innocent reasons for flight from police and that, therefore,
flight is not necessarily indicative of ongoing criminal activity.” 6 While “[t]his fact
is undoubtedly true,” the Court said, the Fourth Amendment permits limited
investigative stops based on reasonable suspicion even if the observed conduct was
“by itself lawful,” “ambiguous,” and “susceptible of an innocent explanation.” 7 The
very purpose of such a stop is “to resolve the ambiguity.” 8
For the foregoing reasons, I concur in the court’s opinion dubitante, i.e., with
doubt as to its correctness. If the precedential slate were clean, I would dissent.
wrongdoing, at least in the absence of any evidence of ongoing or very recent criminal activity at or near the scene. See generally 4 Wayne R. LaFave, Search and Seizure § 9.5(g) at 744-45, 768-69 (6th ed. 2020). 5 Mayo, 315 A.3d at 630,632. 6 Wardlow, 528 U.S. at 125. 7 Id. at 125. 8 Id. I do not rule out the (hypothetical) possibility that, in a particular case, a defendant might show a site-specific pattern of aggressive law enforcement activity so pervasive and abusive that it would invalidate the otherwise reasonable inference of criminal activity from the defendant’s flight at the mere sight of police. But no such showing was made in this case.