Opinion
WERDEGAR, J.
—After investigating a treating physician’s report that Susan T.1 was a schizophrenic and a danger to herself and to others, the Lake County Mental Health Department (department) dispatched a crisis services worker to Susan T.’s home. She was living amidst bagged human and animal waste, without water, heat or electricity. She was taken to a psychiatric hospital. Several hours later, another mental health worker from the department took photographs of the interior of Susan T.’s apartment. These photographs recorded the conditions under which Susan T. had been living. The photographs were admitted into evidence over Susan T.’s objection at a later conservatorship proceeding brought against her by the public guardian. We granted review to determine whether the exclusionary rule applies to the trial of a proposed conservatee’s grave disability in a conservatorship proceeding under the Lanterman-Petris-Short Act, Welfare and Institutions Code section 5000 et seq.2 Guided by the analyses of both our earlier decisions and those of the United States Supreme Court, we decline to extend the rule to these types of proceedings.
I. The Lanterman-Petris-Short Act
The Lanterman-Petris-Short Act (the act) governs the involuntary treatment of the mentally ill in California. Enacted by the Legislature in 1967, [1009]*1009the act includes among its goals ending the inappropriate and indefinite commitment of the mentally ill, providing prompt evaluation and treatment of persons with serious mental disorders, guaranteeing and protecting public safety, safeguarding the rights of the involuntarily committed through judicial review, and providing individualized treatment, supervision and placement services for the gravely disabled by means of a conservatorship program. (§ 5001.) The act limits involuntary commitment to successive periods of increasingly longer duration, beginning with a 72-hour detention for evaluation and treatment (§ 5150), which may be extended by certification for 14 days of intensive treatment (§ 5250); that initial period may be extended for an additional 14 days if the person detained is suicidal. (§ 5260.) In those counties that have elected to do so, the 14-day certification may be extended for an additional 30-day period for further intensive treatment. (§ 5270.15.) Persons found to be imminently dangerous may be involuntarily committed for up to 180 days beyond the 14-day period. (§ 5300.) After the initial 72-hour detention, the 14-day and 30-day commitments each require a certification hearing before an appointed hearing officer to determine probable cause for confinement unless the detainee has filed a petition for the writ of habeas corpus. (§§5256, 5256.1, 5262, 5270.15, 5275, 5276.) A 180-day commitment requires a superior court order. (§ 5301.)
The act authorizes the appointment of a conservator for up to one year for a person determined to be gravely disabled as a result of a mental disorder and unable or unwilling to accept voluntary treatment.3 (§ 5350.) The proposed conservatee is entitled to demand a jury trial on the issue of his or her grave disability, and has a right to counsel at trial, appointed if necessary. (§§ 5350, 5365.) The party seeking imposition of the conservatorship must prove the proposed conservatee’s grave disability beyond a reasonable doubt and the verdict must be issued by a unanimous jury. (Conservatorship of Roulet (1979) 23 Cal.3d 219 [152 Cal.Rptr. 425, 590 P.2d 1].)
II. Facts
At the time these proceedings were instituted against her, Susan T. was 48 years old and living alone in a detached studio apartment in Nice, California. She had a history of hospitalization for schizophrenia. In October of 1991 her general physician, Dr. Bradley, wrote to the department expressing grave concern about Susan T.’s physical and mental health. He stated that Susan T. was a schizophrenic and a danger to herself and to anyone around her and that she needed to be hospitalized. In response to Dr. Bradley’s letter, the [1010]*1010department instituted an investigation into Susan T.’s situation. After speaking with family members who expressed concern over Susan T.’s ability to care for herself, the department sent a crisis worker to interview Susan T. at her home. The interview was terminated when Susan T. became combative, loud and agitated. She was taken to a psychiatric facility by the Lake County Sheriff under section 5150. Both the crisis worker and the sheriff’s deputy described the apartment as filthy, with trash and human and animal waste stored in plastic bags around the house.
Several hours after Susan T. was taken into custody, a department employee was instructed to go to Susan T.’s apartment and “take some pictures as evidence.” The employee, Bonnie Taylor, explained to the property manager that Susan T. had been taken to the hospital, and she needed to know if Susan T. “had anything important in there” because “if any of her belongings are there[,] then we are responsible for those being taken care of while she was hospitalized.” Bonnie Taylor was let into Susan T.’s apartment by the manager and then took nine Polaroid photographs of its interior.
On November 11, 1991, the Public Guardian for Lake County filed a petition for appointment of conservator of the person and estate of Susan T. under section 5352. A temporary conservator was appointed on November 14, and the issue of Susan T.’s grave disability was tried to a jury on December 23 and 24.
After presenting testimony from a psychiatrist who had evaluated Susan T. and interviewed the psychiatric staff who had been treating her, counsel for the public guardian called Bonnie Taylor, the employee who had taken the photographs of Susan T.’s residence. She stated she was a “licensed psych tech” and the continuing care supervisor for Lake County, providing placement and medication services for hospitalized clients. She testified she was informed Susan T. had been taken into custody from her home and hospitalized on a 72-hour hold and that she “was to go out and take some pictures.” She further testified she explained to the property manager who she was and that she needed to know if there “was anything important” in Susan T.’s residence, as the department was responsible for her belongings while she was hospitalized. The manager admitted her to Susan T.’s apartment and she took nine photographs of the interior. Those photographs were admitted into evidence over the objection of Susan T.’s counsel. Ms. Taylor briefly summarized the subject of each photograph, which depicted: (1) a comer of the kitchen area, with a pile of large green trash bags in the comer; (2) a sleeping area, with an accumulation of small toys and boxes in the comer; (3) a comer of the kitchen, showing the stove and counter; (4) the bathroom, showing rocks in the sink; (5) newspapers with dog excrement on [1011]*1011them, a pile of large green trash bags, and old cereal bowls with dried cereal in them; (6) the shower, with rocks over the drain; (7) another view of the sleeping area, showing dog excrement and bowls of cereal adjacent to the rumpled blankets; (8) a comer of the apartment, showing 10 to 12 large green trash bags and dog excrement on newspapers; and (9) another view of the sleeping area.
After hearing additional testimony from the property manager and from Susan T. herself, the jury found Susan T. gravely disabled within the definition of the act, and the court appointed the county’s public guardian as her conservator. Susan T. appealed, contending the trial court erred in denying her motion to suppress the testimony of Bonnie Taylor, as well as the photographs she had taken.4 A majority of the Court of Appeal concluded: Bonnie Taylor’s entry into Susan T.’s home violated the Fourth Amendment; the exclusionary mle should apply to a conservatorship proceeding under the act; and the trial court should have granted the motion to suppress. The court, however, affirmed the judgment, concluding the jury “could and doubtless would” have found Susan T. gravely disabled on the basis of other, properly obtained evidence, including the testimony of Susan T. herself. The dissenting justice concurred in the result, but did not agree with the majority’s conclusion the exclusionary mle should be applied in proceedings under the act. The department petitioned for review, contending Bonnie Taylor’s entry into Susan T.’s home did not violate the Fourth Amendment and, even if it did, we should not apply the exclusionary mle to proceedings under the act. We granted review.5
III. Discussion
The federal exclusionary mle, when it applies, requires the suppression of evidence seized in violation of the Fourth Amendment to the [1012]*1012Constitution of the United States. (Mapp v. Ohio (1961) 367 U.S. 643, 648 [6 L.Ed.2d 1081, 1086, 81 S.Ct. 1684, 84 A.L.R.2d 933]; Weeks v. United States (1914) 232 U.S. 383 [58 L.Ed. 652, 34 S.Ct. 341], overruled on other grounds in Elkins v. United States (1960) 364 U.S. 206 [4 L.Ed.2d 1669, 80 S.Ct. 1437].) The rule has been described by the court that created it as the subject of warm debate, “unaided, unhappily, by any convincing empirical evidence on the effects of the rule [itself].” (United States v. Janis (1975) 428 U.S. 433, 446 [49 L.Ed.2d 1046, 96 S.Ct. 3021 (Janis).) Its primary purpose, if not its sole purpose, has been said to be to “ ‘deter future unlawful police conduct.’ ” (Ibid.) Although once described as an essential part of the guarantees of the Fourth Amendment (Mapp v. Ohio, supra, 367 U.S. 643, 657 [6 L.Ed.2d 1081, 1091]), the rule has more recently been characterized as a “judicially created remedy designed to safeguard Fourth Amendment rights generally through its deterrent effect, rather than a personal constitutional right of the party aggrieved.” (United States v. Calandra (1974) 414 U.S. 338, 348 [38 L.Ed.2d 561, 571, 94 S.Ct. 613], quoted with approval in United States v. Leon (1984) 468 U.S. 897, 906 [82 L.Ed.2d 677, 687-688, 104 S.Ct. 3405].)
Whether the exclusionary rule bars the admission of evidence in a civil proceeding depends, first, on the existence of a search or seizure that violates the protections of the Fourth Amendment of the federal Constitution. In this case, the trial court rejected application of the exclusionary rule to conservatorship proceedings with little argument and no express ruling on the question whether an unlawful search in fact occurred. On appeal, the department argued only that the exclusionary rule should not apply, thereby impliedly conceding a search occurred. Before us, however, the department contends variously that Bonnie Taylor’s entry into the home was not a search, that if it was a search it was justified by exigent circumstances and therefore not unreasonable, and that it was, in any event, authorized by section 5156.6
These arguments are not properly before us. As indicated, in its brief before the Court of Appeal the department argued only that the exclusionary rule should not apply to proceedings under the act. The argument assumes the department’s conduct violated the Fourth Amendment, leaving open only the question of whether the evidence seized in the course of the unlawful search should be suppressed. The first time the department argued Bonnie [1013]*1013Taylor’s entry into Susan T.’s home was lawful was in its petition for rehearing. “It is a fundamental rule of appellate practice that an appellate court need not consider issues raised for the first time by a petition for rehearing.” (Brown v. Superior Court (1982) 137 Cal.App.3d 778, 782 [187 Cal.Rptr. 324]; County of Imperial v. McDougal (1977) 19 Cal.3d 505, 513 [138 Cal.Rptr. 472, 564 P.2d 14]; see also, Cal. Rules of Court, rule 29(b)(1) [as a matter of policy, on petition for review we normally will not consider any issue that could have been but was not timely raised in the briefs filed in the Court of Appeal].)
We note, moreover, the department’s arguments are not supported by the record. The department’s argument that Ms. Taylor’s entry was not an illegal search is premised on the obligation imposed on it by section 5156 to safeguard and secure the property of persons detained under section 5150; the department contends Bonnie Taylor was dispatched to Susan T.’s home to secure her property. What the department does not expressly argue, but what we imply from its argument, is that, were Ms. Taylor’s entry into Susan T.’s home pursuant to the department’s authority under section 5156, that entry would fall within the inventory search exception to the warrant requirement of the Fourth Amendment under the authority of Colorado v. Bertine (1987) 479 U.S. 367 [93 L.Ed.2d 739, 107 S.Ct. 738] and South Dakota v. Opperman (1976) 428 U.S. 364 [49 L.Ed.2d 1000, 96 S.Ct. 3092]. We need not consider whether the concept of the inventory search, heretofore limited to vehicles lawfully impounded and the personal effects of arrestees, should be extended to a person’s home, because the record before us does not support the conclusion Ms. Taylor’s entry into Susan T.’s home was for the purpose of securing her possessions.
Ms. Taylor testified she was “informed that [Susan T.] ha[d] been taken from her house and that I was to go out and take some pictures as evidence.” Although Ms. Taylor gained entry to Susan T.’s apartment by explaining to the property manager her obligations under section 5156, there is no evidence in the record she did in fact secure any of Susan T.’s personal possessions, that any such possessions needed to be secured, or that the department had any reason to believe, from the report of the caseworker, the sheriff’s deputy or otherwise, that Susan T. had any possessions that needed securing. The photographs she took were not of property that might have some value and, thus, need to be secured, but recorded instead the general disorder of the apartment, the bags of excrement, and rocks in the sinks and shower.7 Nor is there any evidence Ms. Taylor prepared and furnished to the court, as required by section 5156, a report describing the property she [1014]*1014secured and the steps she took to secure it. The inventory search cases further indicate that, to survive constitutional scrutiny, the agency conducting the inventory must be operating according to “standardized criteria.” (See Colorado v. Bertine, supra, 479 U.S. at p. 374, fn. 6 [93 L.Ed.2d at p. 747], and cases cited therein.) The department failed to introduce any evidence it has standardized criteria for securing a detainee’s property under section 5156 and, consequently, made no effort to demonstrate how the photos that were taken might have fallen within the scope of such criteria.
We are left with a record establishing that a government official entered a private home with neither statutory authorization nor a warrant, and in the absence of any demonstrable exigent circumstances, for the sole purpose of photographing the interior of the home to obtain evidence of the householder’s mental disability. We have stated that a “ ‘search’ is a governmental intrusion upon, or invasion of, a citizen’s personal security in an area in which he has a reasonable expectation of privacy.” (People v. Mayberry (1982) 31 Cal.3d 335, 341 [182 Cal.Rptr. 617, 644 P.2d 810].) Although the issue was not litigated below, under the facts presented we would have no difficulty concluding Bonnie Taylor’s entry into Susan T.’s home constituted a search under the Fourth Amendment.8
Assuming, therefore, without deciding, a search violating the Fourth Amendment occurred, we proceed to determine whether the exclusionary rule should be applied in a conservatorship proceeding under the act.
“In the complex and turbulent history of the [exclusionary] rule, the [United States Supreme] Court never has applied it to exclude evidence from a civil proceeding, federal or state.” (Janis, supra, 428 U.S. 433, 447 [49 L.Ed.2d 1046, 1057].) The court has applied the rule in a forfeiture action. (One 1958 Plymouth Sedan v. Pennsylvania (1965) 380 U.S. 693 [14 L.Ed.2d 170, 85 S.Ct. 1246].) It did so on the theory that a forfeiture, although technically a civil proceeding, is in substance and effect a criminal one and subject to the jurisprudence of the Fourth Amendment. “[A] forfeiture proceeding is quasi-criminal in character. Its object, like a criminal proceeding, is to penalize for the commission of an offense against the law.” (Id. at p. 700 [14 L.Ed.2d at p. 175].) This court had reached the same conclusion a year earlier in People v. One 1960 Cadillac Coupe (1964) 62 Cal.2d 92, 96-97 [41 Cal.Rptr. 290, 396 P.2d 706], under nearly the same reasoning: [1015]*1015“Whatever the label which may be attached to the proceeding, it is apparent that the purpose of the forfeiture is deterrent in nature and that there is a close identity to the aims and objectives of criminal law enforcement. On policy the same exclusionary rules should apply to improper state conduct whether the proceeding contemplates the deprivation of one’s liberty or [one’s] property.”
We find no similarity between the aims and objectives of the act and those of the criminal law. What we have said of commitment proceedings for the mentally retarded (§§ 6500-6513) is equally true of conservatorship proceedings under the act: “The commitment is not initiated in response, or necessarily related, to any criminal acts; it is of limited duration, expiring at the end of one year and any new petition is subject to the same procedures as an original commitment [citation]; the petitioner need not be a public prosecutor ... . The sole state interest, legislatively expressed, is the custodial care, diagnosis, treatment, and protection of persons who are unable to take care of themselves and who for their own well being and the safety of others cannot be left adrift in the community. The commitment may not reasonably be deemed punishment either in its design or purpose. It is not analogous to criminal proceedings.” (Cramer v. Tyars (1979) 23 Cal.3d 131, 137 [151 Cal.Rptr. 653, 588 P.2d 793]; see also Conservatorship of Baber (1984) 153 Cal.App.3d 542, 550 [200 Cal.Rptr. 262] [“[a] conservatorship proceeding is not a prosecution for a particular act, but an attempt to determine a condition which is subject to change”].)
The Supreme Court has considered the propriety of applying the exclusionary rule in civil proceedings in two subsequent cases, Janis, supra, 428 U.S. 433, and INS v. Lopez-Mendoza (1983) 468 U.S. 1032 [82 L.Ed.2d 778, 104 S.Ct. 3479] (Lopez-Mendoza). In both cases, the court shifted its focus from the nature of the proceeding and the extent to which it mirrored the aims and objectives of a criminal proceeding, to an inquiry that balanced the deterrent effect of the rule with its social cost. In both, it concluded the social cost of applying the rule outweighed its deterrent effect.
In Janis, supra, 428 U.S. 433, the court considered whether evidence seized by a state criminal law officer in good faith, but nonetheless in violation of the Fourth Amendment, was admissible in a counterclaim for an unpaid tax assessment brought on behalf of the Internal Revenue Service in response to a taxpayer’s suit for a refund. The court rejected the argument the deterrent puipose of the rule would be furthered by its application in this federal tax proceeding. Even assuming the rule’s deterrent effect on the state police officers who conducted the illegal search, the court nevertheless concluded “the additional marginal deterrence provided by forbidding a [1016]*1016different sovereign [the United States government] from using the evidence in a civil proceeding surely does not outweigh the cost to society of extending the rule to that situation.” (Id. at pp. 453-454 [49 L.Ed.2d at p. 1060].) That cost, quite clearly, is the suppression of “what concededly is relevant evidence.” (Id. at pp. 448-449 [49 L.Ed.2d at p. 1058].)
In Lopez-Mendoza, supra, 468 U.S. 1032, the court considered whether the exclusionary rule should be applied in deportation proceedings. It cited Janis, supra, 428 U.S. 433, as setting forth “a framework for deciding in what types of proceeding application of the exclusionary rule is appropriate. Imprecise as the exercise may be, the Court recognized in Janis that there is no choice but to weigh the likely social benefits of excluding unlawfully seized evidence against the likely costs. On the benefit side of the balance ‘the “prime purpose” of the [exclusionary] rule, if not the sole one, “is to deter future unlawful police conduct.” ’ [Citations.] On the cost side there is the loss of often probative evidence and all of the secondary costs that flow from the less accurate or more cumbersome adjudication that therefore occurs.” (Lopez-Mendoza, supra, 468 U.S. at p. 1041 [82 L.Ed.2d at p. 787], first brackets in original.) Applying this balancing test to deportation proceedings, the court concluded that, although the deterrent effect of applying the exclusionary rule would be greater in Lopez-Mendoza than it was in Janis, supra, 428 U.S. 433, because the agency that effected the unlawful arrest also brought the subsequent deportation action, the particular nature of a deportation proceeding made the social costs much greater as well.
Our decisions have tended to follow the same paradigm; we focused initially on the nature of the proceedings in which the rule was sought to be applied and, later, consistent with the decisions of the United States Supreme Court, shifted our inquiry to whether the deterrent effect of the rule outweighed its cost. Like the United States Supreme Court, we too have never extended the rule to exclude evidence from civil proceedings, but “only to proceedings so closely identified with the aims of criminal prosecution as to be deemed ‘quasi criminal.’ ” (In re Lance W. (1985) 37 Cal.3d 873, 892 [210 Cal.Rptr. 631, 694 P.2d 744].) Thus, as we noted above, we had little hesitation in applying the exclusionary rule to civil forfeiture proceedings, finding in those proceedings “a close identity to the aims and objectives of criminal law enforcement.” (People v. One 1960 Cadillac Coupe, supra, 62 Cal.2d 92 at p. 96.) We also applied the rule to narcotics addict commitments, finding in those proceedings as well a “close identity to the aims and objectives of criminal law enforcement.” (People v. Moore (1968) 69 Cal.2d 674, 682 [72 Cal.Rptr. 800, 446 P.2d 800], overruled on other grounds in People v. Thomas (1977) 19 Cal.3d 630 [139 Cal.Rptr. 594, 566 P.2d 228].)
[1017]*1017Although commitment under the narcotics addict scheme is broadly analogous to involuntary civil commitment for mental disability, the aims and objectives of the two types of proceedings are quite dissimilar. The narcotics addict commitment is essentially in lieu of criminal prosecution for narcotics possession: “The legislation establishing a program of civil commitment of narcotics addicts . . . provide[s] two distinct commitment procedures, ostensibly differentiating between ‘Persons Charged with a Crime’ . . . and ‘Persons not Charged with a Crime’[; however] it appears that in practice the distinction actually observed is between persons who have been brought to trial and ‘convicted’ . . . and those who have not.” (People v. Victor (1965) 62 Cal.2d 280, 289 [42 Cal.Rptr. 199, 398 P.2d 391], fn. omitted, italics in original.) As we explained in a footnote, “in numerous instances the addict has come to the attention of the authorities by being arrested and charged with a crime (e.g., illegal possession of narcotics), but the charge has subsequently been dropped and commitment proceedings have been instituted under [the ‘Persons not Charged with a Crime’] article . . . .” (Id. at p. 289, fn. 3.) Imposition of a conservatorship under the act, by contrast, is not dependent on either a charged or uncharged criminal act.
More recently, in both In re Martinez (1970) 1 Cal.3d 641 [83 Cal.Rptr. 382, 463 P.2d 734], certiorari denied 400 U.S. 851 [27 L.Ed.2d 88, 91 S.Ct. 71], (concluding rule should not be applied in parole revocation proceedings) disapproved on other grounds in In re Tyrell J. (1994) 8 Cal.4th 68 [32 Cal.Rptr.2d 33, 876 P.2d 519], and Emslie v. State Bar ((1974) 11 Cal.3d 210 [113 Cal.Rptr. 175, 520 P.2d 991] (concluding rule inapplicable in State Bar attorney disciplinary proceedings), we focused not on whether the proceedings in which the rule was sought to be applied had a close identity with the aims and objectives of law enforcement, but whether the deterrent effect of the rule outweighed its social cost. In neither case did we find the deterrent effect of the rule outweighed its social cost.9
We turn, then, to the question presented by this case: should we apply the exclusionary rule to conservatorship proceedings under the act? Following [1018]*1018the lead of the decisions of the Supreme Court, we consider first the extent to which application of the rule would deter the type of misconduct alleged in this case—a mental health worker’s unauthorized entry into the residence of a person detained under section 5150. We have recognized that, at least as a theoretical matter, the deterrent effect of the rule is at its greatest when, as is true here, the government agency that effected the search is the same agency (as a practical matter) that seeks to introduce the fruits of its search at trial. (See Lopez-Mendoza, supra, 468 U.S. 1032; Emslie v. State Bar, supra, 11 Cal.3d 210.) There is, however, substantial reason to doubt the actual deterrent effect is, in cases such as this, anything more than theoretical.
The deterrent value of the rule is at its greatest when the fruits of the search will be required in evidence at a proceeding to which the rule applies. Hence, the police officer, engaged in the task of investigating criminal activity, knows the fruits of his or her labor will be used, if at all, in a criminal prosecution in which the exclusionary rule will be applied. When, however, use of the fruits of the search in a proceeding to which the rule applies is less certain, the deterrent effect of the rule is proportionately weaker. Certainly not every detention under section 5150 leads to a conservatorship proceeding; indeed, the act itself is designed to ensure that conservatorship proceedings are brought as a last resort, when voluntary treatment has been refused and the temporary involuntary treatment provisions of [1019]*1019the act have been exhausted. Each level of treatment provided decreases the likelihood a conservatorship proceeding will be necessary. In such circumstances, the mental health worker is unlikely to shape his or her conduct in anticipation of the exclusion of evidence at such a proceeding. (Cf. Lopez-Mendoza, supra, 468 U.S. at p. 1044 [82 L.Ed.2d at p. 789] [noting that few arrests of undocumented aliens lead to formal deportation proceedings].)10
Moreover, the longer the detainee remains in treatment under the interim involuntary commitment provisions of the act, the less need has the department to rely on evidence extrinsic to the detainee’s commitment to demonstrate grave disability under the act; the most relevant evidence of that disability will be derived primarily from the patient. The exclusion of earlier seized evidence would therefore have little effect on the outcome of the proceeding, and the deterrent effect of the rule would be proportionately weaker.
Finally, we have been asked to consider only whether the exclusionary rule should be applied in conservatorship proceedings; we have not been asked, and hence have no occasion to consider, whether we would apply the rule in the act’s earlier and interim proceedings, i.e., the 14-day and 30-day certifications for intensive treatment. (§§ 5250, 5270.15.) We note, however, the Legislature has expressly provided that in both types of certification hearings, “[a]ll evidence which is relevant to establishing that the person certified is or is not as a result of a mental disorder . . . gravely disabled . . . shall be admitted at the hearing and considered by the hearing officer.” (§§ 5256.4, subd. (d), 5270.15.) We have interpreted a similarly phrased constitutional provision relating to criminal proceedings as evidencing an intent to eliminate the exclusionary rule. (In re Lance W., supra, 37 Cal.3d 873, 886-890.) An exclusionary rule precluding the use of evidence in a conservatorship proceeding would have little or no deterrent effect on a mental health worker whose first concern most likely is securing for a gravely disabled person immediate or interim treatment under the 14-day or 30-day certifications, in which no exclusionary rule applies.
Removed from the realm of the theoretical, the deterrent effect of applying the rule in conservatorship cases is marginal at best. Against this marginal deterrent effect, we balance the social cost of applying the exclusionary rule to conservatorship proceedings. As previously noted, among the [1020]*1020primary purposes of conservatorship proceedings are the prompt evaluation and treatment of persons who are gravely disabled, the provision for such persons of individualized treatment, supervision and placement services, and the guarantee and protection of public safety. (§§5001, subds. (b), (c), 5352.6.) These goals are frustrated if the best and most complete evidence concerning the detainee’s mental condition is withheld from the trier of fact. As recognized in the dissenting opinion below, “[t]he exclusion of relevant evidence, even if gathered in violation of the proposed conservatee’s privacy rights, could seriously inhibit the ability of the trier of fact to come to any rational conclusion about the conservatee’s actual mental condition, with potentially severe consequences.” Application of the exclusionary rule to conservatorship proceedings, unlike its application to criminal cases, would require the courts, to the potential detriment of both the public and the disabled detainee alike, to ignore the existence not of a single act, but of a continuing state of grave disability that our Legislature has determined should not be ignored. (Cf. Lopez-Mendoza, supra, 468 U.S. at p. 1047 [82 L.Ed.2d at p. 791] [noting effect of rule in deportation proceedings would require courts to ignore continuing presence of undocumented aliens].)
We cannot countenance this social cost for a deterrent effect that exists only in theory. Moreover, because the official conduct associated with the search was not so egregious as to offend the “ ‘traditions and [collective] conscience of our people’ ” (Griswold v. Connecticut (1965) 381 U.S. 479, 493 [14 L.Ed.2d 510, 520, 85 S.Ct. 1678] (conc. opn. of Goldberg, J.), quoting Snyder v. Massachusetts (1934) 291 U.S. 97, 105 [78 L.Ed. 674, 677-678, 54 S.Ct. 330, 90 A.L.R. 575]) or to “shock the conscience” (Rochin v. California (1952) 342 U.S. 165, 172 [96 L.Ed. 183, 190, 72 S.Ct. 205, 25 A.L.R.2d 1396]), admission of the disputed evidence in this case does not implicate due process concerns. (Cf. In re Martinez, supra, 1 Cal.3d at pp. 650-651.) Under these circumstances we decline to extend the exclusionary rule to conservatorship proceedings under the act.
IV. Disposition
Although the Court of Appeal concluded the exclusionary rule applied to conservatorship proceedings under the act, it found the introduction of the illegally seized evidence had no adverse impact on the jury’s verdict and affirmed the judgment of the trial court finding Susan T. to be gravely disabled within the meaning of the act. We conclude the evidence was properly admitted and, on that basis, affirm the judgment of the Court of Appeal.
Lucas, C. J., Kennard, J., Arabian, J., Baxter, J., and George, J., concurred.