In re Criminal Investigation, 7th District Court No. CS-1
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Opinions
ZIMMERMAN, Justice:
Utah’s attorney general appeals from a final order of the Seventh Judicial District Court holding unconstitutional an act entitled Subpoena Powers for Aid of Criminal Investigation and Grants of Immunity (“Subpoena Powers Act” or “Act”).
Beginning in 1983, the attorney general used the powers conferred by the Act to conduct an investigation into alleged criminal activities involving security operations at Utah Power and Light Company (“UP & L”). The investigation led to the filing of criminal charges. The respondents in this appeal are various individuals and companies that challenged subpoenas issued to them during the investigation. The district court dismissed the criminal investigation, ruling that the Act is facially unconstitutional and was unconstitutionally applied because it fails to provide for adequate judicial review to protect against abuse of power, is too vague, and fails to protect rights of due process and privileges against self-incrimination.
We agree that the Act was unconstitutionally applied and affirm the dismissal of the UP & L investigation. However, we reverse the lower court’s ruling that the Act is facially unconstitutional because we find that the Act is subject to an interpretation incorporating a number of substantive and procedural safeguards which bring the Act into constitutional compliance.
I. The Subpoena Powers Act
The Subpoena Powers Act was passed in 1971 upon a legislative determination that there had been “a marked increase in crime and criminal activity within this state.” Utah Code Ann; §§ 77-45-19 to -21 (1971). As amended and recodified in 1980, the Act’s purposes are to
grant subpoena powers in aid of criminal investigations and to provide a method of keeping information gained from investigations secret both to protect the innocent and to prevent criminal suspects from having access to information prior to prosecution and to clarify the power ... to grant immunity from prosecution to witnesses....
The only notice expressly required to be given to a subpoenaed person is of the time and place of the interrogation, that it is “in aid of criminal investigation,” and that he or she has a right to counsel.
The Act allows any district court, upon written application of the state’s attorney, to impose secrecy orders excluding nonessential persons from “any investigative hearing or proceeding” and requiring that the interrogation of any witness be held in secret and that the record of “such proceeding be secret.”
II. The UP & L Investigation
On January 26, 1983, Judge Bunnell of the Seventh Judicial District Court in Emery County, on application by the attorney general, authorized the investigation of criminal activities pursuant to the Subpoena Powers Act. The scope of the investigation was set forth in a good cause affidavit, signed by a special agent of the attorney general, that accompanied the application. The affidavit stated that on the basis of a confidential report prepared by the Utah Department of Business Regulation’s Division of Public Utilities, interviews with unnamed sources, and an investigation of UP & L, the affiant had concluded that certain of UP & L’s assets had been stolen. The affidavit described the stolen assets as UP & L’s labor and materials. The affidavit further alleged that the theft of these assets had been accomplished by kickbacks, payoffs, bid-fixing, falsification of shipment and delivery information, personal use or sale of UP & L property, and threats.
After determining that the statutory requirement of “good cause” to conduct an investigation had been shown, the district court authorized the attorney general to begin the criminal investigation. The court further authorized the attorney general to issue subpoenas compelling the attendance and sworn testimony of witnesses and the production of books, records, and other tangible items that constitute evidence “which is or may be relevant or material” to the investigation. Finally, the district court ordered that the Act's secrecy provision should apply to the record, to the “proceedings” of the investigation, and significantly, to the good cause affidavit!
Pursuant to this grant of authority, the attorney general’s staff issued numerous subpoenas during 1983 and 1984. According to the attorney general, the majority of the subpoenas were directed to banks, state agencies, and other document repositories. In addition, the attorney general directed subpoenas to each of the respondents to this appeal: UP & L, certain officers and employees of UP & L,3 Emery Mining Corporation, which operates UP & Lis coal mining properties, and individuals associated with companies, as well as the companies, that provided security services to UP & L.4
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ZIMMERMAN, Justice:
Utah’s attorney general appeals from a final order of the Seventh Judicial District Court holding unconstitutional an act entitled Subpoena Powers for Aid of Criminal Investigation and Grants of Immunity (“Subpoena Powers Act” or “Act”).
Beginning in 1983, the attorney general used the powers conferred by the Act to conduct an investigation into alleged criminal activities involving security operations at Utah Power and Light Company (“UP & L”). The investigation led to the filing of criminal charges. The respondents in this appeal are various individuals and companies that challenged subpoenas issued to them during the investigation. The district court dismissed the criminal investigation, ruling that the Act is facially unconstitutional and was unconstitutionally applied because it fails to provide for adequate judicial review to protect against abuse of power, is too vague, and fails to protect rights of due process and privileges against self-incrimination.
We agree that the Act was unconstitutionally applied and affirm the dismissal of the UP & L investigation. However, we reverse the lower court’s ruling that the Act is facially unconstitutional because we find that the Act is subject to an interpretation incorporating a number of substantive and procedural safeguards which bring the Act into constitutional compliance.
I. The Subpoena Powers Act
The Subpoena Powers Act was passed in 1971 upon a legislative determination that there had been “a marked increase in crime and criminal activity within this state.” Utah Code Ann; §§ 77-45-19 to -21 (1971). As amended and recodified in 1980, the Act’s purposes are to
grant subpoena powers in aid of criminal investigations and to provide a method of keeping information gained from investigations secret both to protect the innocent and to prevent criminal suspects from having access to information prior to prosecution and to clarify the power ... to grant immunity from prosecution to witnesses....
The only notice expressly required to be given to a subpoenaed person is of the time and place of the interrogation, that it is “in aid of criminal investigation,” and that he or she has a right to counsel.
The Act allows any district court, upon written application of the state’s attorney, to impose secrecy orders excluding nonessential persons from “any investigative hearing or proceeding” and requiring that the interrogation of any witness be held in secret and that the record of “such proceeding be secret.”
II. The UP & L Investigation
On January 26, 1983, Judge Bunnell of the Seventh Judicial District Court in Emery County, on application by the attorney general, authorized the investigation of criminal activities pursuant to the Subpoena Powers Act. The scope of the investigation was set forth in a good cause affidavit, signed by a special agent of the attorney general, that accompanied the application. The affidavit stated that on the basis of a confidential report prepared by the Utah Department of Business Regulation’s Division of Public Utilities, interviews with unnamed sources, and an investigation of UP & L, the affiant had concluded that certain of UP & L’s assets had been stolen. The affidavit described the stolen assets as UP & L’s labor and materials. The affidavit further alleged that the theft of these assets had been accomplished by kickbacks, payoffs, bid-fixing, falsification of shipment and delivery information, personal use or sale of UP & L property, and threats.
After determining that the statutory requirement of “good cause” to conduct an investigation had been shown, the district court authorized the attorney general to begin the criminal investigation. The court further authorized the attorney general to issue subpoenas compelling the attendance and sworn testimony of witnesses and the production of books, records, and other tangible items that constitute evidence “which is or may be relevant or material” to the investigation. Finally, the district court ordered that the Act's secrecy provision should apply to the record, to the “proceedings” of the investigation, and significantly, to the good cause affidavit!
Pursuant to this grant of authority, the attorney general’s staff issued numerous subpoenas during 1983 and 1984. According to the attorney general, the majority of the subpoenas were directed to banks, state agencies, and other document repositories. In addition, the attorney general directed subpoenas to each of the respondents to this appeal: UP & L, certain officers and employees of UP & L,3 Emery Mining Corporation, which operates UP & Lis coal mining properties, and individuals associated with companies, as well as the companies, that provided security services to UP & L.4
Each of the subpoenas stated that it was “authorized by order of the District Court” and that “[disobedience to this order is punishable by contempt of Court.” None of the subpoenas issued described the nature or scope of the investigation, nor were any of the respondents informed as to the general subject matter of the attorney general’s investigation. None of the respondents were informed that they were targets of the investigation. Some were told prior to their interrogation or production of documents that they had the right to exercise their privilege against self-incrimination. During the course of the investigation, the attorney general instructed witnesses that the secrecy provisions of the Act prohibited their speaking to anyone other than their counsel about the proceedings.
In April of 1984, the State filed criminal bribery, racketeering, and antitrust charges, as well as civil antitrust claims, against UP & L’s former corporate security officer and individuals associated with the security service companies, alleging that they had unlawfully secured contracts for security services between those companies and UP & L. The criminal investigation authorized by the district court continued after these charges were brought.
The following month, UP & L and certain officers and employees of UP & L, all [639]*639respondents here, filed motions for protective orders and motions to quash subpoenas. Respondents argued that the Subpoena Powers Act is unconstitutional on its face and as applied. They maintained that the Act is vague, permits unreasonable searches, and violates witnesses’ privileges against self-incrimination because it does not provide for adequate disclosure to subpoenaed witnesses concerning whether they are targets of the investigation and the nature of the matter being investigated. They further claimed that the attorney general was misusing his authority to conduct a criminal investigation by issuing subpoenas under the Act for purposes actually related to civil discovery.
At a May 30, 1984, hearing on these motions, the district court denied the motion to quash. The court ruled that the Act would be presumed constitutional provided that the prosecutors (i) inform subpoenaed witnesses whether they were targets of the investigation, (ii) inform targets of the nature and scope of the matter under investigation, and (iii) conduct the investigation within the parameters of the good cause affidavit. Finally, the district court instructed the state’s attorneys not to use the information obtained under the Act for purposes of civil discovery.
In June, the criminally and civilly charged respondents moved to quash subpoenas directed to them, arguing that the subpoenas were overly broad and that it was improper to issue them once formal charges had been filed. Other respondents moved the district court to, inter alia, reconsider its May 30th ruling upholding the Act’s constitutionality. They contended that the district court’s imposition of procedural safeguards as a condition to the Act’s continued use constituted an impermissible judicial rewriting of the statute. Moreover, they argued that newly discovered legislative history showed that the district court’s interpretation of the Act’s procedural requirements did not accurately reflect the underlying legislative intent. In response to these motions, the attorney general withdrew all outstanding subpoenas except one directed to Emery Mining.
In August, Emery Mining moved to quash that subpoena. The district court granted Emery Mining’s motion to quash and agreed to reconsider the Act’s constitutionality. On September 20, 1984, the court held that the Act was unconstitutional on its face and as applied. Reasoning that the Act is vague, that it violates witnesses’ rights to due process and to exercise their privileges against self-incrimination, and that it fails to provide for adequate judicial supervision of the prosecutor’s subpoena powers, the court dismissed the criminal investigation.
III. Arguments on Appeal
On appeal, the attorney general concedes that the Act was unconstitutionally applied in the UP & L investigation. However, he argues that the district court erred in holding the Act unconstitutional on its face. He claims that the Act provides sufficient checks on the subpoena powers of the attorney general and the county attorneys to protect against any tendency toward prose-cutorial abuse. He argues that the Act contains sufficient procedural safeguards to protect against the denial of a witness’s fundamental rights to due process and to exercise the privilege against self-incrimination and that any flaws can be repaired through judicial interpretation.
Respondents 5 disagree with the attorney general’s position concerning the Act’s facial constitutionality, arguing that the Act’s failure to expressly provide for judicial control over the investigation permits the state’s attorneys unfettered discretion. Respondents also assert that the Act lacks [640]*640adequate procedural protections to preserve a subpoenaed witness’s constitutional rights. In particular, they argue that witnesses should be informed of the nature of the matter under investigation and warned when they are targets of the investigation. They also argue that the Act’s lack of record-keeping requirements and the ill-defined secrecy provisions further obfuscate a witness’s opportunity to protect him- or herself from prosecutorial abuses. Respondents additionally attack the Act on the ground that it violates equal protection concepts embodied in the uniform operation of the laws provision of the Utah Constitution, article I, section 24, because it provides potential defendants with fewer procedural protections than does the state grand jury act. Finally, respondents assert that even if this Court were to find the Act constitutionally adequate, the district court’s order of dismissal should still be affirmed because the Act was applied unconstitutionally during the UP & L investigation.
IV. Analysis
A. Facial Constitutionality
It is a well-established rule that legislative enactments are endowed with a strong presumption of validity and will not be declared unconstitutional unless there is no reasonable basis upon which they can be construed as conforming to constitutional requirements. Greaves v. State,
In light of these precepts, we have concluded that the Subpoena Powers Act is subject to a constitutional construction.6 As set forth in detail below, we have interpreted the Act in accordance with the requirements of several federal and state constitutional provisions which provide the basis for a sensible interpretation of the Act and allow us to give it practical effect. See Greaves v. State,
We have implied into the Act a number of procedural protections. Although a [641]*641court cannot supply substantive terms that are absent from a statute, Kennecott Copper Corp. v. Anderson,
1. Judicial Supervision
The present version of the Subpoena Powers Act expressly requires, as respondents note, rather minimal supervision of an investigation. The Act provides only that the district court may authorize a criminal investigation upon a good cause showing, invoke the secrecy provisions, if requested, and limit those who may attend the proceedings.
Respondents argue generally that the Act’s failure to mandate more judicial supervision and control over the investigation violates the federal fourth amendment prohibition against unreasonable searches and seizures7 and our state constitution’s separation of powers provision, article V, section 1. With respect to their fourth amendment claim, respondents assert that the Act provides witnesses with no effective means of obtaining precompliance judicial review of subpoenas. As a result, prosecutors will have unfettered discretion to subpoena anyone or anything they wish. Such discretion permits the state’s attorneys to unreasonably compel testimony and evidence, thereby violating privacy interests protected by the fourth amendment. Respondents also contend that conferring this unrestricted discretion on the state’s attorneys violates the separation of powers doctrine by vesting judicial subpoena powers in the hands of an executive branch officer.
The attorney general argues that adequate judicial supervision exists because the court has power to limit the scope of the investigation and, despite the lack of an express provision in the Act, also has au[642]*642thority to review the reasonableness of subpoenas challenged by way of motions to quash.
The fourth amendment prohibition against unreasonable searches and seizures protects both individuals, see, e.g., Katz v. United States,
The Act does not expressly provide for judicial review of individual subpoenas. By the same token, it says nothing about restraining the widely recognized inherent supervisory powers courts have over judicial processes. The courts’ inherent supervisory power is that which is necessary to protect the fundamental integrity of the judicial branch, and it may not be wholly delegated to a nonjudicial officer. See Utah Const, art. VIII, § 1, art. V, § 1. This power enables a court to ensure that the judicial process is not abused. See State ex rel. Cranford v. Bishop,
But saying that a court authorizing the use of subpoenas has inherent authority to consider motions to quash them does not fully answer respondents’ challenges. The court’s quashal authority must be meaningful if constitutional concerns are to be satisfied. The Act contains two provisions that bear on this point. Section 77-22-2(1) provides that subpoenas may be issued for testimony or other evidence which “may be relevant to the investigation in the judgment of the attorney general or county attorney.” Respondents contend that the plain import of this provision is that the state’s attorney alone is to decide whether a subpoena seeks relevant evidence. They assert that this limits the authorizing court’s review of a subpoena to a mere determination of whether the state’s attorney exercised good faith in issuing the subpoena and that such a limitation deprives the court of any power to review the subpoena under a standard of objective reasonableness. This, they argue, violates the state separation of powers provision, the fourth amendment’s search and seizure clause, and the void for vagueness doctrine of the fourteenth amendment’s due process clause.10 We do not agree that this provision of the Act limits the courts’ powers of review.
Our conclusion is guided by two rationales. First, the authorizing court has inherent authority to review subpoenas under a standard of objective reasonableness. We do not find the relevant provisions of the Act to be an express or even an implied attempt to deprive the court of that authority. Rather, it merely permits state’s attorneys to proceed with investigations without requiring that they return to the court for each separate subpoena. Second, the portion of section 77-22-2(1) that permits issuance of subpoenas based on the state’s attorney’s judgment of relevance must be read in light of the other provisions of the Act. Section 77-22-2(1) also provides that “the attorney general or any county attorney shall have the right, upon application and approval of the district court, for good cause shown, to conduct an investigation.” The only plausible reason for requiring a good caulb showing is to limit the scope of the authorized investigation accordingly. That provision would be meaningless if the state’s attorneys were allowed to issue subpoenas based solely on their subjective determination of relevance without regard to whether that judgment bore any objective relation to the scope of the court’s authorization for the investigation.
Accordingly, we conclude that an investigation conducted under the Act must proceed as follows: First, the overall inves[644]*644tigation may be approved only after the district court has made an objective determination that “good cause” has been shown.11 Second, each individual subpoena may be issued only after the investigating attorney has made a good faith determination that the testimony or other evidence being sought is reasonably relevant to the authorized investigation. Third, a person to whom a subpoena has been issued must be afforded an opportunity to challenge the subpoena at some time prior to compliance. The authorizing court has the power to entertain motions to quash and, upon motion, must quash any individual subpoena that does not meet an objective standard of reasonableness when measured against the good cause showing made in the application for investigation.12
In sum, we find that the district court’s express authority under the Act tío authorize a criminal investigation, along with its inherent authority to supervise each investigation to ensure that the judicial subpoena power is not abused, satisfies any constitutional concerns about the adequacy of judicial control over the state’s attorney’s criminal inquiry. We now turn to considering the Act’s procedural defects.
2. Procedural Safeguards
Respondents argue that the Act does not provide adequate protections for the privilege against self-incrimination and the due process right to present evidence and cross-examine witnesses. They also contend that the Act fails to ensure that adequate records of investigations will be maintained so that investigations can be supervised by the courts. Finally, they argue that there are inadequate limitations on the operation of the Act’s secrecy provisions. The attorney general argues that the right to counsel provided for in the Act is sufficient to assure that a witness’s fundamental rights will be protected. He also contends that other procedural safeguards can be supplied by judicial interpretation. We find that the constitutional concerns respondents raise are satisfied by our construction of the Act as incorporating a number of procedural safeguards,
a. Privilege Against Self-Incrimination
Relying on both the state and federal constitutions, respondents claim that per[645]*645sons subpoenaed under the Act are entitled to assert a privilege against self-incrimination. They contend that the Act is constitutionally deficient because it lacks the procedural safeguards necessary to permit the effective exercise of the privilege. Specifically, they argue that the Act does not require investigators to notify subpoenaed persons of the following: the general scope of the investigation; the right to exercise their privilege against self-incrimination; their status as targets of the investigation; and the nature of the charges being contemplated against them.13
The first question is whether the privilege against self-incrimination is available to those subpoenaed. The Act does not specifically provide for the exercise of a privilege against self-incrimination. However, section 77-22-3, which provides a procedure for compelling testimony by court order, does refer to “a person [who] refuses to answer a question or produce evidence of any kind on the ground that he may be incriminated thereby.” The section provides that the state’s attorney may grant such a person transactional immunity and obtain a court order compelling his or her testimony. It further provides that the witness shall be immune if he or she complies with the order and “would have been privileged to withhold the answer given or the evidence produced by him except for this section.” These references clearly imply that the legislature assumed witnesses subpoenaed under the Act would be able to claim a privilege against self-incrimination. We think this assumption was correct. Both the state and federal constitutions appear to require that persons subpoenaed under the Act have the right to assert the privilege against self-incrimination. The fifth amendment to the United States Constitution provides, “No person ... shall be compelled in any criminal case to be a witness against himself....” Article I, section 12 of the Utah Constitution states, “In criminal prosecutions the accused ... shall not be compelled to give evidence against himself....” These provisions grew out of a shared Anglo-American legal history. See M. Berger, Taking the Fifth: The Supreme Court and the Privilege Against Self-Incrimination (1980) [hereinafter Berger]; L. Levy, Origins of the Fifth Amendment: The Right Against Self-Incrimination (1968); 8 Wigmore, Evidence § 2250 (McNaughton rev. 1961); Corwin, The Supreme Court’s Construction of the Self-Incrimination Clause,
Although both the federal and Utah constitutions refer to the availability of the privilege in the context of criminal cases, under both the privilege has been held to be available in any proceeding conducted by the government, civil or criminal, investigatory or adjudicatory, so long as an answer might incriminate the witness and a possibility exists that a criminal action might be filed or a criminal conviction secured. In re Gault,
We next consider the contours of the privilege in the context of a Subpoena Powers Act investigation. First, who may exercise the privilege? At common law, the privilege was available to witnesses as well as accused persons. Berger, supra p. 645, at 56. That is the interpretation given the fifth amendment, which states that “no person” shall be compelled to testify against himself. See, e.g., United States v. Mandujano,
Article I, section 12 of the Utah Constitution is arguably narrower because it states only that “the accused” has the privilege. This could lead to the conclusion that article I, section 12’s protection was intended only for persons against whom charges have been brought or who have been identified. as targets of a criminal investigation. We reject that narrow interpretation and embrace the common law approach. All witnesses must be able to claim the privilege if the purposes of the privilege are to be satisfied — to protect those testifying from the risk of incriminating themselves. See, e.g., State v. Ruggeri,
The next issue is the scope of the privilege. We note several aspects, beginning with the question of whether a witness may remain completely silent or is privileged only to refuse to answer specific questions. Section 77-22-3 of the Act refers to the exercise of the privilege as a refusal “to answer a question.” We think that by using this language, the legislature indicated its intent that there be no general right to remain silent. Rather, the language shows an intent to require subpoenaed witnesses to answer all questions except those individual questions calling for an incriminating response. Although the parties here have not directly addressed this issue, we think it useful to briefly consider whether this interpretation of the statute will pass constitutional muster.
This interpretation does not appear to violate the fifth amendment’s protection of the privilege. The United States Supreme Court has held that although a criminal suspect has an absolute right to remain silent in a police custodial interrogation, see Michigan v. Mosley,
Applying our state constitutional privilege, Utah Const, art. I, § 12, in State v. Ruggeri,
Several other aspects of the state and federal constitutionally based privileges should be noted. Despite differences in the language of the constitutional provisions, both privileges have been interpreted to apply only to testimonial or communicative disclosures. See, e.g., Schmerber v. California,
Having canvassed the privilege, we now address respondents’ contention that the Act provides inadequate procedural safeguards to ensure that subpoenaed persons have a meaningful opportunity to exercise that privilege. No court has considered the procedures necessary to safeguard the privilege during an interrogation comparable to that contemplated by the Act. We find instructive, however, procedural rulings issued in the context of police custodial interrogations and grand jury investigations.
In Miranda v. Arizona,
Turning to the Subpoena Powers Act, we conclude that interrogations conducted pursuant to the Act raise sufficient self-incrimination concerns that some form of warning is required if the privilege is to be meaningfully available. We think that an interrogation pursuant to the Subpoena Powers Act, though comparable in many respects to an appearance before a grand jury, is more coercive and thus raises greater self-incrimination concerns. Differences between the two investigative procedures give interrogations conducted pursuant to the Act a distinctly greater law-enforcement tone. In turn, the psychological compulsion facing a Subpoena Powers Act witness is greater than that which confronts a grand jury witness. For example, a Subpoena Powers Act interrogation is not conducted in the presence of a citizen panel, but before a prosecutor or a team of prosecutors and staff. In addition, it may be held “anywhere within the jurisdiction of the prosecutor,” including the prosecutor’s office.
Although the coercive nature of a Subpoena Powers Act interrogation requires that some form of warning be given to preserve the right in a meaningful fashion, we do not think the exact warnings mandated by Miranda are sufficient or appropriate in the context of such a proceeding. For example, Miranda requires a warning that the person being interrogated has a right to remain completely silent. As discussed above, the Act does not require and we have not found that our state constitution mandates a right of complete silence in such interrogations, but only a right of silence as to specific questions which call for incriminating responses. Cf. United States v. Mandujano,
Using the Miranda warnings as a general guide, we hold that to guarantee witnesses the privilege against self-incrimination under both the fifth amendment and, independently, article I, section 12 of the Utah Constitution, the state’s attorneys must notify every witness prior to interrogation (i) of the general subject matter of the investigation, (ii) of the existence and nature of the privilege against self-incrimination, (iii) that any information provided may be used against the witness in a subsequent criminal proceeding, and (iv) of the right to have counsel present. Relying only on article I, section 12 of the Utah Constitution, we add a further requirement that if a witness is the target of an investigation, he or she must be so informed prior [649]*649to interrogation. These requirements warrant some discussion.
The first warning we require must inform the witness of the general subject matter of the investigation. No such requirement exists under Miranda. However, in a police custody setting, the person being interrogated almost certainly will know the nature of the crime being investigated, either because he or she has already been placed under arrest or because of precustodial questioning or events. This is not true in a Subpoena Powers Act setting. Under the Act, it is likely that no criminal charges will have been filed against anyone, nonsuspects may be questioned, and the witness may have no idea why he or she has been subpoenaed. Under such circumstances, we conclude that a witness will be in a position to exercise his or her privilege against self-incrimination only if first made aware of the general subject matter of the investigation by a statement from the state’s attorney couched in terms similar to those used in the good cause affidavit that provided a factual basis for the authorization of the investigation.
It may be argued that such a statement is unnecessary, because as explained below the application and supporting good cause affidavit specifying the nature of the investigation must be a matter of public record. A diligent witness could easily obtain the affidavit from the clerk of the authorizing court and inform him- or herself of the nature of the investigation. But we reject this line of reasoning. Such imputed notice will not suffice to protect the witness’s rights. The subpoena might not refer the witness either to the Act or to the good cause affidavit; therefore, few can be expected to know of their right to examine the affidavit. The only way that this interest can be adequately guaranteed is to require the state’s attorney to inform the witness of the subject matter of the investigation.
The second warning we require — that the subpoenaed person may refuse to answer any question or produce any evidence of a communicative nature that may result in self-incrimination — “is indispensable to ... insure that the individual knows that he [or she] is free to exercise the privilege” at any point during the proceeding. Miranda v. Arizona,
The fourth warning — that the witness may have counsel present — derives from Miranda and independently from the express terms of the Subpoena Powers Act, which requires that the subpoena itself notify a witness of his or her right to be represented by an attorney.
The fifth and final warning we construe the Act as requiring is applicable only to “targets” of the investigation. Such persons must be notified prior to questioning or the compelled production of evidence of their target status and of the nature of the charges under consideration against them. Respondents argue that such warnings are required by both the fifth amendment and our state constitution.
In United States v. Washington,
The next question is whether, as a matter of state law, we will require target warnings. Article I, section 12 of the Utah Constitution is worded similarly to the federal fifth amendment. And, as we noted earlier, the state and federal privileges against self-incrimination share common-law roots. However, that fact does not necessarily require parallel construction. Differing state and federal experiences, concerns, and policy objectives may lead to differing interpretations of the two constitutional privileges in circumstances not addressed by the shared common law. The propriety of divergent construction has already been assessed with respect to the need for target warnings. Fully ten years before Washington, this Court ruled in State v. Ruggeri,
b. Rights to Present Evidence and Confront Witnesses
Respondents next contend that the Act denies them due process as guaranteed by the fourteenth amendment to the federal constitution because persons targeted for investigation are not provided an opportunity to confront and cross-examine adverse witnesses or to present evidence in their defense. They argue that such rights are necessary because of the accusatory nature of the proceedings. We conclude that such opportunities are not required because Subpoena Powers Act investigations are merely preliminary to the type of formal adjudicatory proceedings where such procedural guarantees are constitutionally required.
The fourteenth amendment prohibits the state from depriving investigation targets of “liberty” or “property” without due process. Respondents have not clearly defined the liberty or property interests that allegedly are at stake here. We assume that they refer to the infringement of liberty that would occur if the investigation ultimately led to a criminal conviction or to the injury to property that might result if an investigation were carried out publicly and led to a loss of employment or business opportunities. Assuming without deciding that some protected interest is at stake, we must determine what form of “process” is due under the fourteenth amendment and what procedural protections the state must afford one who is the potential target of a Subpoena Powers Act investigation.
In a series of cases, the United States Supreme Court has established a system of classifying agency proceedings and describing generally the type of safeguards required in each class of proceedings. These cases indicate that the requirements of due process vary depending on the nature and purpose of the proceeding and the likelihood that it will result in the deprivation of [651]*651liberty or property. Hannah v. Larche,
A Subpoena Powers Act investigation does not result in any final determinations, rulings, or orders. Therefore, it does not qualify as adjudicative and must be investigative. However, that classification does not tell us what procedures due process requires, because the United States Supreme Court’s cases suggest three recognizable subcategories of investigative proceedings with different procedural demands. These subcategories are based on three rather distinct possible functions. Specifically, an investigative proceeding may (i) perform an accusative function, (ii) constitute a preliminary step to later adjudicative proceedings, or (iii) accomplish a legislative or executive fact-finding purpose. A Subpoena Powers Act investigation must be classified according to these subcategories before we can determine whether potential targets have the right to cross-examine witnesses and adduce evidence during the investigation.
An investigative proceeding is deemed to perform an accusative function if its purposes are (i) to find that certain persons are responsible for crimes or other prohibited acts and (ii) to expose or publicize the names of those persons. Jenkins v. McKeithen,
The second analytical category of investigative proceedings includes those that function as information-gathering mechanisms that may be preliminary to a subsequent formal adjudicative proceeding. See, e.g., Anonymous Nos. 6 and 7 v. Baker,
The third category of investigative proceedings — those that perform a legislative or executive fact-finding function — includes proceedings conducted by agencies that find facts and, perhaps, make recommendations to other bodies, but do not take action directly affecting legal rights. Proceedings with such aims need not provide any of the procedural safeguards traditionally associated with the judicial process. Hannah,
Realistically, many agency investigations do not fit neatly into one of these rather abstract categories. When faced with such a proceeding, the courts must evaluate the totality of the circumstances to determine the predominant character of the proceed[652]*652ing before classifying it. See, e.g., Hannah,
The question is, into which of these categories does a Subpoena Powers Act investigation fall? Having considered the function of the investigation in relation to formal criminal proceedings, the likelihood of injury to targeted persons caused by the investigation, and the burden that full procedural safeguards would place on the agency in question, we conclude that Subpoena Powers Act proceedings are most closely analogous to preliminary investigative proceedings. To elaborate, the Act is intended to supplement existing law enforcement mechanisms and to enable the state’s attorneys to gather sufficient evidence with which to initiate formal adjudicative criminal proceedings. Investigations under the Act do have an accusative tone to the extent that they may lead the state’s attorneys to find that named individuals are responsible for wrongdoing. However, that finding does not have final legal consequences; it only leads to the filing of criminal charges. In that respect, the state’s attorneys’ preliminary finding of wrongdoing is virtually indistinguishable from the same conclusion reached after an informal criminal investigation conducted without benefit of the Subpoena Powers Act procedural safeguards. And the declared purpose of the Act — to keep investigations secret — clearly indicates that the Subpoena Powers Act investigation does not have the purpose of advertising the names of those who the state’s attorneys may conclude are wrongdoers. See
It is true that investigations under the Act are not mere legislative fact-finding proceedings. They do have some impact on constitutionally protected liberty and property interests because their obvious and declared purpose is to aid in criminal investigations. The likelihood that criminal prosecution will follow an investigation justifies some procedural safeguards. But so long as the names of subpoenaed persons or targets are not publicized — and the Act contemplates that they will not be — the likelihood of injury to a protectible interest of the investigated party is not as high as that which exists in accusative proceedings and is no greater than that which attends general criminal investigations.19 In these circumstances, we find that the due process balance is satisfied if targets and other witnesses are provided the safeguards we have already discussed — the right to counsel, the privilege against self-incrimination, notice of these rights and of the nature of the investigation, and target warnings.20 We reject respondents’ claims that they should be afforded the rights to present evidence and cross-examine witnesses during the investigation. Such rights would prolong and complicate the investigative process, unduly hindering the state’s ability to uncover and prosecute crimes, without conferring any significant benefit on the investigated person that would not be provided at a preliminary hearing if charges were filed. Those rights are unnecessary at the investigative stage so long as they are afforded later. Cf.
[653]*653c. Record-Keeping Requirements and Secrecy Provisions
Respondents also contend that the Act requires only limited record keeping and allows far-reaching secrecy orders. This, respondents assert, violates the fourth amendment because the lack of a sufficient record and the operation of the secrecy provisions will make effective precompliance challenges to subpoenas impossible. Respondents also claim that the secrecy provisions are void for vagueness under the fourteenth amendment’s due process clause. Finally, respondents argue that the secrecy provisions encourage investigators to engage in forum shopping in violation of our state due process provision. Utah Const. Art. I, § 7. We conclude that the Act is subject to a reasonable interpretation which dispels respondents’ constitutional concerns.
We first address the claim that the Act does not contemplate the keeping of adequate records.21 It is true that the Act does not include a provision expressly referring to a requirement that records of investigations be kept. However, the Act does contain references which suggest that the legislature fully anticipated detailed record-keeping. Section 77-22-2(1) requires the state’s attorneys to make application, including a showing of good cause, in order to receive court approval for an investigation. Section 77-22-2(2) refers to the issuance of subpoenas. Section 77-22-2(3) requires a written application for a court order of secrecy. Section 77-22-3 requires a written application for a court order compelling testimony from a person to whom transactional immunity has been granted. These references, as well as others in the statute, make it clear that the legislature presumed a written record would be kept of every investigation conducted under the Act. This conclusion is bolstered by the legislature’s inclusion of extensive secrecy provisions which would have very limited value if there were no written records to be kept secret. It is also supported by the requirement that a complete record be kept of the somewhat analogous secret grand jury proceedings. See
There is an additional, and perhaps stronger, reason why an official record of a Subpoena Powers Act investigation must be maintained. At the heart of the Act is the use by state’s attorneys of subpoenas issued under authority of district courts. The courts have inherent authority to supervise the use of this process for the purpose of assuring that it is not abused. Utah Const. Art. VIII, § 1, Art. V, § 1. See discussion supra part IV.A.1 of this opinion. To exercise this authority effectively, the courts must have access to a complete record of the investigation. Similarly, any appellate court that may review rulings of a district court on matters relating to the investigation must have available to it a complete record of the legal and factual context of the district court’s ruling.
In light of (i) the legislature's apparent intent that a full record of the investigation be kept, (ii) the need to ensure that authorizing courts have sufficient information to effectively exercise their inherent supervisory power over their process and to determine the merits of challenges to the conduct of the investigation, and (iii) the appellate courts’ requirement of an adequate record, as a matter of statutory construction and in the exercise of our inherent supervisory power over the judicial branch, e.g., In re Clatterbuck,
[654]*654At this time, we cannot determine with precision what documentation will be necessary in each investigation conducted under the Act. However, the operation of the statute and the needs of the supervising courts dictate that the following be among the documents that form the permanent record of any investigation: (i) the application for authorization to commence an investigation, together with the supporting good cause statement; (ii) all motions made to the court; (iii) all orders of the court concerning the investigation, including the original order authorizing the investigation and any orders modifying its scope or duration; (iv) copies of all subpoenas issued; (v) detailed descriptions of all documents or other evidence produced in response to subpoenas;22 (vi) copies of all transcripts of testimony prepared; and (vii) all communications between the state’s attorneys or their staffs and the court.
The need for these items of information is apparent. For example, unless the good cause statement is preserved, as well as any other orders concerning the investigation’s scope and duration, there will be no way for a court to judge whether the state's attorney is exceeding the scope of his or her authority. Moreover, absent such a record, the recipient of a subpoena would have no way to judge its propriety. In a similar vein, unless the investigators’ use of the court’s subpoena power is fully documented by copies of subpoenas,23 transcripts of testimony,24 and documents produced, the court would have no way to supervise that use effectively. Finally, in the absence of a record of all communications between the state’s attorney and the court and of all actions sought from and orders entered by the court, it would be impossible for an appellate court to consider whether the district court was properly supervising the use of its subpoena powers. The foregoing provides sufficient record-keeping requirements to enable the Act to pass constitutional muster and to ensure a proper supervisory role for authorizing courts.
Respondents also challenge the constitutionality of the Act’s secrecy provisions. Section 77-22-2(3) of the Act provides that the investigating attorney
may make written application to any district court and the court may order that interrogation of any witness shall be held in secret; ■ that such proceeding be secret; and that the record of testimony be kept secret unless and until the court for good cause otherwise orders. The court may order excluded from any investigative hearing or proceeding any persons except the attorneys representing the state and members of their staffs, the court reporter and the attorney for the witness.
Respondents read these provisions broadly as giving the state’s attorneys vast power to conduct investigations outside judicial constraints. This power, they assert, is inconsistent with the requirements of state and federal due process. U.S. Const, amend. XIV; Utah Const, art. I, § 7. They also argue that the scope and operation of the secrecy provisions are so poorly defined that the Act fails to provide the courts or [655]*655the state’s attorneys with even minimal guidance and, therefore, the provisions are so vague that they deny due process.
We agree with respondents that the statutory language could be more precise. Nevertheless, nothing in the statute warrants the broad construction that respondents have set up as a “straw man” against which to mount their attack. We find that the Act is subject to a construction sufficiently definite to weather an attack for vagueness and sufficiently narrow to prevent other due process violations, while ensuring adequate secrecy to satisfy the Act’s declared purpose of “keeping information gained from investigations secret both to protect the innocent and to prevent criminal suspects from having access to information prior to prosecution.”
Section 77-22-2(3) specifically limits those things that may be kept secret to (i) the “interrogation of any witness,” (ii) “such proceeding,” and (iii) “the record of testimony.” This section also permits the court to exclude certain persons from “any investigative hearing or proceeding.” Despite respondents’ concerns that this section provides for wide-ranging secrecy orders, we think that these provisions are relatively narrow and largely self-explanatory. This section permits the district court to order that any witness 25 may be interrogated in secret, that all unnecessary persons may be excluded, and that the transcript of the interrogation may be kept secret. The only uncertainty is the meaning of the provision that “such proceeding” may also be kept secret. Read in context, this certainly does not mean that the district court can order everything about the investigation kept secret; rather, it means that the “proceeding” which constitutes the interrogation of a witness may be kept secret.26 To fulfill the purposes of the Act, an order of secrecy regarding “such proceeding” would necessarily include a bar on revealing the very fact that a particular interrogation will occur or has occurred, the substance of the evidence obtained, and the identity of the witness. Such information has great potential for damaging the reputations of innocent persons and may aid suspected criminals in hindering the investigation by intimidating witnesses or tampering with evidence. See KUTV, Inc. v. Conder,
If a secrecy order is to effectively conceal information of the type described above concerning an interrogation, it may be broad enough to cover all potential sources of such information. Some of the sources that come readily to mind are documents in the hands of the court and of participants in the investigation, including state's attorneys, court reporters, court personnel, investigating agency staff, and other persons who have access to investigation documents or are present in interrogations. Those persons may be ordered not to reveal information about the investigation other than to participants whose knowledge is directly necessary for the conduct of the investigation. Cf Fed.R. Crim.P. 6(e)(2) (secrecy of grand jury proceedings). However, to avoid an interpretation of the Act that might raise constitutional questions, we construe the secrecy [656]*656provisions as not preventing those subpoenaed from revealing facts concerning their own involvement in the investigation, including the fact that they have testified and the substance of that testimony. Cf
A further question remains. Once a secrecy order issues, does it apply to any and all interrogations, or does it apply only to particularly identified interrogations? We certainly think that the Act contemplates that the district court is empowered to cloak every interrogation with a secrecy order when adequate reasons for doing so exist. Yet we also think that the lack of historical precedent for allowing secret, non-grand jury inquisitions justifies a narrow interpretation of the Act, requiring that the state’s attorney apply for and that the court issue a secrecy order with respect to each individual interrogation. And we further conclude that the state must make a showing justifying such a secrecy order with respect to each interrogation for which secrecy is sought. Such a showing could be made only by demonstrating a reasonable likelihood that publicly releasing information about the identity of a witness or the substance of the evidence resulting from a subpoena or interrogation would pose a threat of harm to someone or otherwise impede the investigation. This requirement assures that the secrecy provisions may be used to serve their underlying purposes, but may not be used to indiscriminately conceal criminal investigations from public view.
We next note what may not be kept secret under the Act. The legislature tailored the secrecy provisions to protect only the interrogation or evidence-gathering proceedings; it clearly did not intend them to cover the application for the order authorizing the investigation or the state’s good cause showing. It is certainly possible that such a showing could be specific enough to guard against pretextual use of the Act by prosecutors and to permit meaningful supervision of the use of its subpoenas by the district court without identifying specific witnesses or targets. Therefore, the legislature may have concluded that permitting public access to the good cause showing would not necessarily raise the specter of harming the innocent or permitting criminal suspects to obstruct the investigation. Therefore, we conclude that the legislature’s omission of the showing in its list of information that may be made secret was intentional and that the application, good cause affidavit, and authorization order may not be kept secret.
We now address respondents’ claim that the Act’s secrecy provisions and lack of record-keeping provisions will prevent a subpoenaed person from learning enough about an investigation to protect his or her fourth amendment rights effectively.27 It is certainly true that a subpoenaed person must have a meaningful opportunity to challenge the lawfulness of a subpoena. Donovan v. Lone Steer, Inc.,
Respondents further challenge the Act’s secrecy provisions on the ground that they will encourage the state’s attorneys to forum-shop, in violation of the Utah due process clause. Utah Const, art. I, § 7. The gist of this argument is that because [657]*657the Act may permit judicial orders concerning an investigation to be kept secret from the public and other courts, a state’s attorney whose investigation has been limited in scope by one court’s order will be encouraged to commence another investigation before another district court that may be more favorably disposed toward the state’s position. Because each court will be unaware that the other has authorized an investigation, the state’s attorney can pick and choose among the judges’ rulings on similar points.
Our construction of the Act’s provisions largely eliminates such fancied infirmities. Nothing in the Act prevents the second court from being made aware of the existence of the first investigation. The initial application and authorizing order may not be kept secret. And any subpoenaed person is free to inform the second court of any information known to that person regarding the first investigation. We therefore conclude that the Act creates no greater risk of forum-shopping than is already present with other investigative methods. Respondents’ state constitutional due process challenge is without merit.
3. Equal Protection
Respondents next contend that the Subpoena Powers Act violates the equal protection principles we have found to inhere in the uniform operation of the laws provision of our state constitution, art. I, § 24,28 by creating a system for investigating criminal activities which is separate from and unequal to the state grand jury system. Respondents make two claims. First, they assert that persons investigated under the Act are treated less favorably in that they are given fewer procedural protections than those investigated under the grand jury statutes, sections 77-11-1 to -11 of the Code. Second, they argue that allowing investigators to choose freely between the two investigative systems encourages arbitrariness offensive to constitutional principles. We reject both arguments.
First, it is true that some procedural distinctions exist between the two investigative systems. Our construction of the Subpoena Powers Act eliminates the constitutionally significant distinctions by requiring target warnings and notice of the privilege against self-incrimination.29 We conclude that so long as persons investigated or subpoenaed under authority of either statutory scheme are accorded due process, the differences between the two systems are not enough, standing alone, to rise to the level of a violation of article I, section 24. See State v. Sisneros,
This does not resolve respondents’ second claim, which is that even if the two investigation systems may constitutionally coexist, the state’s attorney responsible for choosing which system to use for any particular inquiry must act within constitutional constraints. Respondents suggest that if a state prosecutor’s discretion is entirely unfettered, his or her decisions about .whom to investigate and which statutory scheme to use may be so arbitrary as to violate equal protection principles contained in the uniform operation of the laws provision. Utah Const, art. I, § 24.
We agree that the uniform operation clause does impose some constraints on a state’s attorney’s exercise of discretion. See United States v. Batchelder,
We have considered respondents’ other claims and find them to be without merit. We reverse the district court’s ruling that the Subpoena Powers Act is facially unconstitutional. As we have interpreted it and with the procedural protections we have imposed, we find that the Act survives constitutional scrutiny.31
B. Validity as Applied
As the attorney general concedes, the Subpoena Powers Act was improperly applied during the Emery County investigation into the “theft” of UP & L’s “assets.” We find that the Act was improperly applied in at least three respects.
First, each subpoena included a statement that it was “authorized by order of the District Court” and that “[disobedience to this order is punishable by contempt of Court.” These representations should not have been made. They misstated the law and might have improperly discouraged the recipients from challenging the subpoenas. The first representation may have led respondents to believe, quite justifiably, that the court had previously reviewed individual subpoenas for reasonableness and that it would be futile to attempt to challenge a subpoena. Under the Act, the district court had not reviewed [659]*659and authorized individual subpoenas; rather, it had authorized the overall investigation.
The second representation implied that each subpoena had the authority of a court “order” and that “disobedience” of the subpoena could be summarily punished as contempt. In reality, the individual subpoenas were not court orders, and refusal to comply with a subpoena could not be punished as contempt until several procedural steps had been followed. First, as discussed at the beginning of this opinion, subpoenaed persons may challenge a subpoena by means of a motion to quash. Second, under our general contempt law, no finding of contempt could issue until, inter alia, the state’s attorney had informed the court of the failure to comply and the court had conducted a hearing and made written findings that the witness had wilfully refused to comply.32 To the extent that these misrepresentations discouraged respondents or other subpoenaed parties from exercising their right to challenge the subpoenas, they denied rights guaranteed by the Act and by the fourth amendment. U.S. Const, amend. IV.
The second aspect of the Act’s improper usage is the failure of the state’s attorneys to notify every respondent, prior to interrogation or production of evidence, of the general nature and scope of the investigation and of the right to exercise the privilege against self-incrimination. These failures violated respondents’ state and federal constitutional privileges against self-incrimination.33 Utah Const, art. I, § 12; U.S. Const, amend. V.
Finally, we find that the secrecy provisions of the Act were applied too broadly. The district court’s secrecy order was so expansive that it covered the good cause affidavit submitted in support of the initial application for authorization of the investigation. As stated previously in this opinion, the secrecy provisions of the Act were not intended to cover the initial application for authorization or the supporting good cause statement. Moreover, to the extent that the concealment of the good cause statement impeded the challenge of subpoenas or interrogations, it operated to deny rights against unreasonable search and seizure. U.S. Const, amend. IV.
For these reasons, we conclude that the district court acted within the proper scope of its discretion to control the investigation and prevent abuse of the courts’ subpoena powers when it terminated the UP & L investigation.
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Cite This Page — Counsel Stack
754 P.2d 633, 79 Utah Adv. Rep. 3, 1988 Utah LEXIS 31, 1988 WL 31143, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-criminal-investigation-7th-district-court-no-cs-1-utah-1988.