In Re State Grand Jury Investigation

89 A.3d 1258, 217 N.J. 430, 2014 WL 2131482, 2014 N.J. LEXIS 488
CourtSupreme Court of New Jersey
DecidedMay 22, 2014
DocketA-65-12
StatusPublished

This text of 89 A.3d 1258 (In Re State Grand Jury Investigation) is published on Counsel Stack Legal Research, covering Supreme Court of New Jersey primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re State Grand Jury Investigation, 89 A.3d 1258, 217 N.J. 430, 2014 WL 2131482, 2014 N.J. LEXIS 488 (N.J. 2014).

Opinion

PER CURIAM.

This unusual matter comes before the Court on leave granted to the State of New Jersey. In re State Grand Jury Investigation, 214 N.J. 112, 67 A.3d 1188 (2013). The appeal arises out of a motion to quash a subpoena duces tecum that had been issued by the State Grand Jury to private criminal defense attorneys for fee records pertaining to “any defendant named within State Grand Jury Indictment 10-05-00057-S,” an earlier issued indictment. The motion to quash was denied and that determination was affirmed on appeal; however, the Appellate Division issued, sua sponte, a stay of enforcement of each subpoena until the charges pending against an individual defendant under State Grand Jury Indictment 10-05-00057-S are resolved. The State sought review of the Appellate Division’s sua sponte action, which impedes law enforcement efforts to proceed with ongoing State Grand Jury work. We now modify the Appellate Division’s judgment.

*432 I.

The history of this appeal reveals protracted proceedings leading up to this Court’s review of the stay of the subpoenas. We briefly summarize that history.

On May 14, 2010, a State Grand Jury returned Indictment 10-05-00057-S charging thirty-four defendants, who had been under investigation for involvement in several organized criminal enterprises, with racketeering, money laundering, falsifying records, failing to file tax returns, failing to pay income taxes, and other related offenses. According to an affidavit filed by the then-Director of the Division of Criminal, Department of Law and Public Safety, “a separate investigation” was initiated on May 24, 2010, days after the issuance of that State Grand Jury Indictment.

On June 13, 2011, all of the privately retained defense attorneys who had represented the defendants in connection with State Grand Jury Indictment 10-05-00057-S were served with grand jury subpoenas duces tecum, seeking the attorneys’ fee records for all payments received between May 15, 2010, and the return date of the subpoena. The affidavit of the former Director of the Division of Criminal Justice states that he “authorized the issuance of the State grand jury subpoenas.” The subpoenas were addressed to the custodians of records at the attorneys’ firms, and all sought the same data:

[A]ll fee records including but not limited to: (1) Cash Receipt entries; (2) Bank Deposit tickets including the cancelled deposit items; (3) Receipts issued for payments, including cash, check or any other form; (4) Payment ledgers; (5) Retained copies of any checks received and/or currency tendered; (6) Any documents identifying the person making the payment; (7) Currency Transaction Reports; (8) IRS Forms 8300; (9) Records identifying anything of value received in lieu of cash or check and the identity of the person tendering the things of value relative to legal services provided or agreed to be provided____

Six of the subpoenaed attorneys (attorneys) filed a motion to quash the subpoenas. They argued that the subpoenas sought information that could be used improperly in the ongoing trial proceedings, that the subpoenas infringed on their clients’ right to counsel by requiring the attorneys to provide evidence against *433 their clients, and that the subpoenas would have a chilling effect on their relationship with their clients.

The motion court refused to quash the subpoenas, finding that the subpoenas were part of a separate investigation of acts subsequent to issuance of State Grand Jury Indictment 10-05-00057-S and that neither the Sixth Amendment nor attorney-client privilege barred the State from subpoenaing client fee records.

On leave granted to the six attorneys, the Appellate Division affirmed the trial court’s denial of the motion to quash, concluding that: (1) the State was using the subpoenas properly to investigate separate, post-indictment conduct, and (2) the fee records were not protected by attorney-client privilege. As to the first point, the Appellate Division stated:

We have little difficulty in agreeing with the Law Division that (1) the May 2010 indictment and (2) the investigation into similar post-indictment conduct of some or all of the indicted defendants represent separate spheres of inquiry authorized to the State. The dominant purpose of the latter line of inquiry—including the payment of counsel fees as outlined in the challenged subpoenas—can have no capacity “to buttress an indictment already returned by the grand jury.” 1 State v. Francis, 191 N.J. 571, 591-92, 926 A.2d 305 (2007).] The requested materials, by definition, will have their genesis in events that occurred after the May 2010 indictment was issued, and necessarily involve circumstances temporally separate from the subjects of the alleged “predicate criminal activity [that] occurred between in or about January 2005, and in or about April 2010.” Obviously, the State cannot be prevented from investigating and later indicting already-indicted individuals if those individuals continue criminal conduct after the indictment. A defendant cannot be immunized from future scrutiny of a similar offense just because he or she has already been charged with the prior misconduct. Nor can the involvement of an attorney—unwitting or otherwise—automatically shield possible wrongdoing.
[ (second alteration in original).]

As to attorney-client privilege, the appellate panel concluded that,

[biased upon the record presented to us, the data sought by the State’s subpoenas—narrowly tailored to non-communicative, non-confidential attributes of the parties’ business relationship—neither invade the attorney client privilege nor erode the protections available to indigent and non-indigent defendants alike.

However, the panel was concerned that the service of subpoenas on the attorneys would have a “deleterious inhibiting effect” on the attorney-client relationship, particularly in this case, in which *434 the State had served subpoenas on all privately retained attorneys rather than using a more tailored approach. The panel found that “[s]ueh a eover-the-waterfront inquiry indubitably raises concerns of fairness and the potential for both misunderstanding by, and intimidation of, defense counsel and their clients.” Although the panel recognized that “[e]ven when trials are pending, a grand jury’s right to unprivileged evidence may outweigh the right of the defense bar and its clients not to be disturbed,” the panel found that here “the State’s broad-stroke-approach tips the scale in favor of caution in order to ensure that the indicted defendants are not deprived of counsel of their choice.” Therefore, “[i]n order to accommodate the disparate interests of the State, the indictees, and their attorneys,” the panel imposed a stay on the enforcement of the subpoenas duces tecum issued to the attorneys. The panel ordered that the stay of each subpoena remain in place until the conclusion of proceedings arising from State Grand Jury Indictment 10-05-00057-S against an attorney’s client.

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Related

In Re Grand Jury Subpoena to Attorney (Under Seal)
679 F. Supp. 1403 (N.D. West Virginia, 1988)
State v. Francis
926 A.2d 305 (Supreme Court of New Jersey, 2007)
In re State Grand Jury Investigation
67 A.3d 1188 (Supreme Court of New Jersey, 2013)
In re Klein
776 F.2d 628 (Seventh Circuit, 1985)

Cite This Page — Counsel Stack

Bluebook (online)
89 A.3d 1258, 217 N.J. 430, 2014 WL 2131482, 2014 N.J. LEXIS 488, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-state-grand-jury-investigation-nj-2014.