Franklin R. Masiello v. United States
This text of 304 F.2d 399 (Franklin R. Masiello v. United States) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinions
Appellant was convicted on all three counts of an indictment charging gambling violations.1 He seeks reversal on the ground, among others, that the District Court erroneously denied his 'pretrial motion, under Rule 41(e) of the Federal Rules of Criminal Procedure,2 to suppress certain evidence.
His motion alleged that this evidence— which included a revolver, books, and pieces of paper — had been seized in a search of his premises pursuant to a warrant which was executed in violation of 18 U.S.C. § 3109. That section authorizes an officer to break open a door in order to execute a search warrant only after he has given notice of “his authority and purpose” and after he has been refused admittance.3
The Government failed to call any witnesses at the pre-trial hearing. Appellant testified that he heard a knock on his apartment door and the announcement, “police”; that within ten seconds thereafter, during which interval he had said, “Just a minute,” and had been about to open the door, the police broke open his door; that prior to breaking in they did not announce they had a search warrant.
It would appear that the court overlooked the statutory requirement that the officers state their purpose and hence it failed to consider appellant’s testimony that no such announcement was made. For the express ruling upon which the court rested denial of the motion to suppress dealt only with § 3109's requirement that the officer must be “refused admittance” before he may “break open [a] door.” The court held that requirement satisfied because “in a numbers operation, a wait of ten seconds doesn’t seem to me to be too soon.” Since the officers' failure to announce their purpose established non-compliance with § 3109, we need not consider appellant's contention that a ten-second delay could not properly be interpreted as a refusal to admit the officers within the meaning of that section. •
Appellant’s testimony made a prima facie showing that the police fail[401]*401ed to announce their purpose to execute a search warrant, as required by § 3109. This testimony, not inherently implausible, was uncontradicted.4 On such a record the officers’ entry and the ensuing search should have been held unlawful under § 3109. See Miller v. United States, 357 U.S. 301, 306, 308, 78 S.Ct. 1190, 2 L.Ed.2d 1332 (1958); Hair v. United States, 110 U.S.App.D.C. 153, 155, 289 F.2d 894, 896 (1961); Accarino v. United States, 85 U.S.App.D.C. 394, 403, 179 F.2d 456, 465 (1949). It follows that the court below erred in denying the pre-trial m.otion to suppress.
The Government points out, however, that at trial the police officers testified that they did announce their purpose to execute a search warrant before breaking open the door. It urges that such testimony must be considered in determining the issue of compliance with § 3109. We agree that the entire record, which includes evidence adduced at both the pre-trial hearing and the trial, may be considered in deciding whether the error was prejudicial. Carroll v. United States, 267 U.S. 132, 162, 45 S.Ct. 280, 69 L.Ed. 543 (1925).
In Carroll the Supreme Court refused to set aside a conviction on the ground that a pre-trial motion for the return of evidence may have been erroneously denied. Petitioner claimed that the pretrial hearing failed to establish probable cause for the search during which the evidence was seized. The Supreme Court held it immaterial whether the pre-trial motion was improperly denied since additional testimony establishing probable cause was subsequently presented at trial and considered by the trial court in holding the evidence admissible.
In the present case, it does not appear that the trial court considered the officers’ testimony at trial since it expressly refused to reconsider its pre-trial ruling. We should not speculate on how the trial court would have resolved the conflict in testimony between appellant and the officers, and how it would have applied a correct view of the law. In Carroll there was no conflict in testimony to be resolved, but a lack of evidence of probable cause at the pre-trial hearing which was supplied at trial.
The unresolved conflict in testimony precludes our affirming the judgment as the Supreme Court did in Carroll. We think it appropriate in these circumstances to vacate the judgment and remand the case for a determination of the motion to suppress confined to the issue whether the search warrant was executed in violation of § 3109.5 The District Court should make findings of fact and conclusions of law on the issue. For this purpose, the court may consider the evidence at the pre-trial hearing, at the trial and at any further hearings deemed advisable upon remand. If appellant’s motion to suppress is denied, a new final judgment should be entered. Any appeal therefrom would be restricted to questions related to the determination which we now require. If, on the other hand, the motion to suppress is granted, a new trial should be ordered.
The only other point raised by appellant which merits discussion relates to the sufficiency of the police officers’ affidavit for the issuance of the arrest [402]*402and search warrants.6 Appellant contends that the affidavit, sworn to jointly by two police officers, was drawn in a “narrative, third person form in which it was impossible to tell what was sworn to on personal knowledge, or what was sworn to on belief.” The Government counters that “the affidavit clearly indicates which components of probable cause consisted of information obtained by other persons, which were derived from the personal observations of the officers, and whose personal observations these were.”
We think that the truth lies somewhere between these two interpretations of the affidavit. Appellant implies that the affidavit recounts certain aspects of his conduct without indicating who observed it. But the affidavit clearly states that Private Henson, one of the affiants, observed all the conduct in question. Therefore, from the face of the affidavit it was possible to tell what was sworn to as the personal knowledge of at least one of the affiants. The purpose of Rule 41(c)’s requirement that the name of the affiant be given was accomplished since appellant was able to, and did in fact, “probe and challenge the legality of the warrant.” 7
We think, however, that the Government overstated the case when it said that the affidavit clearly indicates who made the observations. It is clear that Private Henson observed the conduct in question, because the affidavit so states. But the affidavit was also sworn to by Private Perkins. We think that the form in which the affidavit was drawn ambiguously implies that Private Perkins either observed the conduct also, or else that he observed the observer. Apparently he did neither.8
Free access — add to your briefcase to read the full text and ask questions with AI
Related
Cite This Page — Counsel Stack
304 F.2d 399, Counsel Stack Legal Research, https://law.counselstack.com/opinion/franklin-r-masiello-v-united-states-cadc-1962.