In Re Grand Jury Subpoena. United States of America v. Under Seal

884 F.2d 124, 1989 U.S. App. LEXIS 12974, 1989 WL 99103
CourtCourt of Appeals for the Fourth Circuit
DecidedAugust 29, 1989
Docket89-5532
StatusPublished
Cited by32 cases

This text of 884 F.2d 124 (In Re Grand Jury Subpoena. United States of America v. Under Seal) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fourth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Grand Jury Subpoena. United States of America v. Under Seal, 884 F.2d 124, 1989 U.S. App. LEXIS 12974, 1989 WL 99103 (4th Cir. 1989).

Opinion

WALTER E. HOFFMAN, Senior District Judge:

This appeal involves a grand jury subpoena issued to an individual attorney who is given the name “John Doe” for the purposes of confidentiality. The United States District Court for the Southern District of West Virginia issued an order compelling Doe to testify as to certain communications he had with a client. The client, who will be referred to as the “intervenor,” was granted leave to intervene to protect communications within the attorney-client privilege. The court found that the attorney-client privilege did not protect certain communications between Doe and the inter-venor because the crime-fraud exception applied. The intervenor, as holder of the privilege, appeals the district court’s findings and order compelling Doe to testify. We affirm.

I.

On December 14, 1988, John Doe was subpoenaed to testify before a grand jury in the Southern District of West Virginia. On December 13, 1988, Doe, by counsel, filed a motion to quash the subpoena. That same day, the court held an in camera hearing on the merits of the motion to quash. The court excused Doe and his counsel from the hearing while the government made its proffer regarding the need for Doe’s testimony before the grand jury. The court found that the government had shown a good faith basis for the subpoena and, therefore, denied Doe’s motion to quash.

Doe appeared before the grand jury on December 14, 1988. In response to certain questions by the government, Doe refused to answer, invoking his privilege against self-incrimination, the attorney-client privilege, or both. The government moved the court to compel Doe to testify, asserting that the information was not privileged because it fell within the crime-fraud exception to the attorney-client privilege. At this point the court granted the intervenor, who was the holder of the attorney-client privilege, his motion to intervene. The court withheld ruling on the applicability of the crime-fraud exception pending a determination by the government of whether it first wished to overcome Doe’s privilege against self-incrimination by granting use-immunity under 18 U.S.C. § 6008(b).

On January 19, 1989, the government moved the court to grant Doe use-immunity, and the court granted the motion. Doe informed the court that despite the grant of immunity, he intended to invoke the attorney-client privilege and refuse to answer any grand jury questions. The government renewed its motion to compel Doe to testify, contending that the information sought was within the crime-fraud exception to the attorney-client privilege. The court convened the parties in camera on January 20, 1989. The court excused Doe, his counsel, and counsel for the inter-venor from the hearing to receive the government’s proffer of evidence on the crime-fraud exception. The government’s proffer was made in camera because the evidence concerned matters subject to an ongoing investigation before the grand jury. After hearing the evidence, the court took the matter under consideration.

On January 23, 1989, the court granted the government’s motion to compel Doe’s testimony. The court made the following findings:

*126 The [c]ourt found that the United States has established, by competent and substantial evidence, a prima facie case that Doe was used by the intervenor to further a criminal scheme with respect to the cash sum of $10,000. Further, the testimony sought is highly relevant to the ongoing investigation before the grand jury. Consequently, the crime-fraud exception applies in that the attorney-client privilege cannot be used as a shield by Doe to avoid testifying as to any act, communication, document or other matter concerning the $10,000 cash sum.

II.

The intervenor contends that the district court’s order should be reversed for two reasons. First, the intervenor argues that the court’s in camera review of the government’s evidence of the applicability of the crime-fraud exception was a denial of due process. Second, the intervenor contends that the government did not meet its burden of proof, by “competent evidence,” in showing that the crime-fraud exception applied.

A. Whether The Court’s In Camera Review Of The Evidence Was A Denial Of The Intervenor’s Due Process Rights?

The intervenor contends that the court’s in camera review of evidence was a denial of due process because it did not give him an opportunity to challenge the validity of the evidence. The intervenor concedes that the government has a legitimate interest in the secrecy of grand jury material, but maintains that the court should have permitted counsel for the intervenor to challenge the evidence. The intervenor relies on In re Taylor, 567 F.2d 1183 (2d Cir.1977).

In Taylor, the Second Circuit found the district court’s in camera review of grand jury minutes and an affidavit improper. Id. at 1187-89. The court set forth a balancing test, weighing the government’s interests in secrecy against the private interests affected by the court’s in camera proceedings. Id. at 1188. The court found, under the facts of that case, that the private interests outweighed the government’s interest in secrecy of the grand jury materials. The court reasoned that the government’s interests in secrecy were minimal because the government intended to disclose all of the relevant materials to the appellant-witness during the questioning at his grand jury appearance. Id. at 1189. The intervenor contends that the Taylor holding should control in this case. We disagree.

First, we note that this Circuit has addressed the issue of whether in camera proceedings result in a denial of due process. In In re Grand Jury Proceedings, 674 F.2d 309 (4th Cir.1982), this Court reviewed a district court’s in camera examination of evidence supporting applicability of the crime-fraud exception. We expressly held that the district court’s procedures were not violative of due process. Id. at 310.

In addition, the Second Circuit in In re John Doe Corp., 675 F.2d 482 (2d Cir.1982) limited Taylor’s holding. In John Doe Corp., the court noted that in Taylor the government’s interests in secrecy were minimal because the government intended to disclose the grand jury materials to the appellant-witness during questioning before the grand jury. Id. at 490. The court stated that in instances where the government did not intend to reveal the grand jury materials to the witness, in camera proceedings were appropriate to protect the government’s interests in secrecy. Id. This holding is more on point than

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Bluebook (online)
884 F.2d 124, 1989 U.S. App. LEXIS 12974, 1989 WL 99103, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-grand-jury-subpoena-united-states-of-america-v-under-seal-ca4-1989.