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U.S. v. Simpson

United States District Court, N.D. Texas, Dallas Division
Mar 21, 2011
Criminal No. 3:09-CR-249-D(06) (N.D. Tex. Mar. 21, 2011)

Opinion

Criminal No. 3:09-CR-249-D(06).

March 21, 2011


MEMORANDUM OPINION AND ORDER


In this memorandum opinion and order, the court addresses several pretrial motions filed by defendant Matthew Norman Simpson ("Simpson").

The court has separately addressed other motions filed by Simpson. His motions in limine will be addressed during or after the pretrial conference.

I Motion for Disclosure of Electronic Surveillance A

Simpson moves the court to require the government to affirm or deny the existence of electronic surveillance under 18 U.S.C. § 3504(a)(1). Simpson does not focus, for example, on government surveillance conducted under court order. Instead, he maintains that a cooperative and commercial relationship and mutual reliance exists between the government and complainant incumbent local exchange carriers ("ILECs") or traditional telecoms, that the ILECs have functioned as part of the law enforcement team, and that the ILECs have a unique capacity for and expertise regarding electronic interception and an essential role in the interception of electronic communications. He therefore contends that the government is obligated to affirm or deny the existence of unlawful surveillance by the ILECs or traditional telecoms identified in the indictment. Simpson posits that the government should inquire of these ILECs to ascertain any involvement by them, or their knowledge of, any electronic surveillance of Simpson.

The government responds that although a mere assertion of unlawful electronic surveillance is enough to trigger the government's obligation to affirm or deny pursuant to § 3504, the assertion, at a minimum, must be a positive statement that unlawful surveillance has taken place; a generalized motion based on the possibility of such surveillance is not a claim within the meaning of § 3504(a)(1). The government asserts that there are no facts or circumstances that would support Simpson's making a positive statement that unlawful surveillance has taken place.

Section 3504(a)(1) provides that "upon a claim by a party aggrieved that evidence is inadmissible because it is the primary product of an unlawful act or because it was obtained by the exploitation of an unlawful act, the opponent of the claim shall affirm or deny the occurrence of the alleged unlawful act[.]" Simpson cannot simply assert that it is possible that illegal surveillance has occurred; rather, he must make "at a minimum, a positive statement that unlawful surveillance has taken place." United States v. Tucker, 526 F.2d 279, 282 (5th Cir. 1976). In Tucker the court affirmed the district court's ruling that defendants failed to make a sufficient claim to trigger the obligations of § 3504(a)(1) when they alleged that the government may have conducted illegal electronic surveillance of them and their attorneys. Id. at 281-82. Moreover, although a mere assertion of unlawful surveillance is enough to trigger the government's obligation under § 3504(a)(1), Simpson, as the aggrieved party, must allege more than a mere "suspicion" of such surveillance, or that he has "reason to believe" that such surveillance occurred. See United States v. Robins, 978 F.2d 881, 886 (5th Cir. 1992). He must make a "positive statement that unlawful surveillance has taken place." Id. (summarizing and citing holding of Tucker, 526 F.2d at 281-82. And he must point to evidence to be used by the government in the prosecution that has a causal link to illegal monitoring. Id. at 887; see also In re Dellinger, 357 F. Supp. 949, 961 (N.D. Ill. 1973) (holding that, to trigger the obligation of § 3504(a)(1), defendant must make showing that specific item of evidence to be offered by the government would be inadmissible). "[T]he district court retains wide latitude to strike the necessary balance between due regard for a defendant's constitutional rights and the right of the United States to proceed with reasonable promptness in its investigations and prosecutions." Tucker, 526 F.2d at 282.

B

Assuming that Simpson has actually asserted that unlawful surveillance has occurred, cf. D. Mot. 3 (stating that Simpson "has asserted the existence of unlawful electronic surveillance"), he certainly has not made a positive statement that unlawful surveillance has taken place. Essentially, he asserts nothing more than that the ILECs and traditional telecoms have a unique capacity for and expertise regarding electronic interception and an essential role in the interception of electronic communications, and that they have been cooperating with the government in its prosecution of this case. In other words, he asserts that they can intercept communications and that they are cooperating with the government. But he does not make a positive statement that the government or private agents have in fact engaged in unlawful surveillance. Moreover, Simpson's motion does not point to evidence to be used by the government that is causally linked to illegal surveillance. See Robins, 978 F.2d at 887.

Accordingly, Simpson's motion requiring the United States to affirm or deny the existence of electronic surveillance is denied.

II Motion for a Pretrial Daubert Hearing

Simpson moves the court to hold a pretrial Daubert hearing to determine the basis for various technical assertions in the indictment. He contends that he should not be compelled to stand trial on these accusations until the court determines that these technical assertions are sufficiently valid and reliable as a matter of telecommunications technology and law to permit their introduction as evidence, and until he has received notice concerning any technical or specialized knowledge on which these assertions are based. Citing Fed.R.Evid. 702 and Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579 (1993), he posits that the court must ascertain whether the indictment's assertions and definitions regarding this complex industry and certain of the laws which govern it are reliable. The government responds that the indictment comports with the requirements for a sufficient indictment and that Daubert pertains to the admissibility of scientific or expert testimony rather than the sufficiency of the indictment. It also posits that, if Simpson is challenging the competency or sufficiency of the evidence presented to the grand jury, the motion should also be denied because he has no right to a hearing in which to make such a challenge. In sum, the government maintains that Simpson is applying an evidentiary rule to a grand jury proceeding.

The court functions as a gatekeeper concerning the admissibility of expert testimony. See, e.g., Pipitone v. Biomatrix, Inc., 288 F.3d 239, 244 (5th Cir. 2002). "The court may admit proffered expert testimony only if the proponent, who bears the burden of proof, demonstrates that (1) the expert is qualified, (2) the evidence is relevant to the suit, and (3) the evidence is reliable." Nunn v. State Farm Mut. Auto. Ins. Co., 2010 WL 2540754, at *2 (N.D. Tex. June 22, 2010) (Fitzwater, C.J.) (citing Kumho Tire Co. v. Carmichael, 526 U.S. 137, 147 (1999)). Simpson has not identified what anticipated expert testimony he challenges; instead, he appears to challenge the allegations of the indictment itself. See D. Mot. 2 (asserting that he "should not be compelled to stand trial on these accusations unless and until this Court determines that these technical assertions are sufficiently valid and reliable"). To the extent he challenges the admissibility of expert evidence rather than the allegations in the indictment, see id. (referring to "introduction as evidence at trial"), he has not sufficiently identified the specific evidence that he challenges. It is unclear how the court could conduct a pretrial Daubert hearing that would be manageable or beneficial. Accordingly, the court in its discretion declines to convene a Daubert hearing and denies Simpson's motion. To the extent Simpson raises a Daubert challenge to specific expert testimony, the court can perform its gatekeeper role in response to a trial objection.

III Motion for Pretrial Notice under Rule 404(b)

Simpson moves under Rule 404(b) for pretrial notice and a general description of other crimes, wrongs, or acts by Simpson and the purpose for which such evidence will be offered. In its response, the government agrees to comply with its obligations under Rule 404(b).

The government must provide the notice required by Rule 404(b) no later than the date specified infra in § IX. To the extent the government has agreed to comply with its obligations under Rule 404(b), Simpson's motion is denied as moot; otherwise, the motion is denied as exceeding what Rule 404(b) requires.

IV Motion for a Pretrial Hearing

Simpson moves for a pretrial hearing to determine the admissibility of coconspirator statements and to compel pretrial government proffer. He requests that the court conduct a pretrial hearing to determine the admissibility of any coconspirator statements that the government intends to introduce under Rule 801(d)(2)(E). Simpson argues for several reasons that a James hearing should be conducted. He requests that the court order (1) that a pretrial hearing be held to determine the admissibility of all extrajudicial declarations the government intends to introduce under Rule 801(d)(2)(E); (2) that the government be required to prove at this hearing the existence of a conspiracy and Simpson's participation in it at the time the Rule 801(d)(2)(E) statement was allegedly made, prior to attempting to introduce the statement under Rule 801(d)(2)(E); (3) that the government be required to prove at this hearing the declarant's participation in the conspiracy at the time the Rule 801(d)(2)(E) statement was made; (4) that the government be required to prove that any such statement was made during the course of and in furtherance of the conspiracy; and (5) that the government proffer to Simpson, at least 14 days before the hearing, all such statements that the government intends to introduce under Rule 801(d)(2)(E). The government opposes the motion, maintaining that in this case a James hearing is neither required nor practical; the government has agreed to comply with its obligations under the Jencks Act, 18 U.S.C. § 3500, and the court's scheduling order; coconspirator statements are not discoverable under Fed.R.Crim.P. 16(a)(1)(A); and a hearing would unnecessarily prolong the trial proceedings and would essentially result in two trials.

In James the Fifth Circuit held that coconspirator statements are admissible as non-hearsay under Rule 801(d)(2)(E) only if substantial independent evidence of a conspiracy exists. United States v. James, 590 F.2d 575, 581 (5th Cir. 1979) (en banc). "A James hearing, conducted outside the presence of the jury, is one potential method by which the district court may ensure [that] the Government can satisfy the predicate facts needed to prove the conspiracy independent of the statements." United States v. Williams, 264 F.3d 561, 576 (5th Cir. 2001) (emphasis added). But deciding "[w]hether a James hearing is necessary in a particular case [is] within the discretion of the trial court." Id. " James has never required a hearing outside the presence of the jury." United States v. Fragoso, 978 F.2d 896, 899 (5th Cir. 1992) (emphasis added). And in this case, the court agrees with the government that convening such a hearing would be burdensome and effectively result in a mini-trial of potentially considerable length, given that one of Simpson's requests is that the government be required to prove at the hearing the existence of a conspiracy and of Simpson's participation in it at the time the statement was allegedly made. Presumably, Simpson would insist that the government make this showing through the witnesses whom the government intends to call to testify at trial. The government is not obligated in a conspiracy case involving Rule 801(d)(2)(E) evidence to participate in a form of elaborate pretrial discovery conducted under the guise of requiring that it satisfy the predicate facts needed to prove the admissibility of coconspirator statements. Accordingly, the court denies the motion.

The court recognizes that during the trial, it must "whenever reasonably practicable, require the showing of a conspiracy and of the connection of the defendant with it [pursuant to Rule 801(d)(2)(E)] before admitting declarations of a coconspirator." Fragoso, 978 F.2d at 900. In complying with Rule 801(d)(2)(E), the court must determine whether there is sufficient "`evidence that there was a conspiracy involving the declarant and the nonoffering party, and that the statement was made during the course and in furtherance of the conspiracy.'" Id. (quoting Bourjaily v. United States, 483 U.S. 171, 175 (1987)). The court will adhere to these requirements in trying this case.

V Motion to Compel Production of Coconspirator Statements

As a component of his motion for a pretrial hearing, Simpson moves to compel the government to produce the coconspirator statements that it intends to use at trial under Rule 801(d)(2)(E). He maintains that he is entitled to pretrial discovery of these statements because they are in essence his statements under Rule 801(d)(2)(E), and he is entitled to production of his statements under Rule 16; disclosure is necessary to establish the reliability or lack of reliability of coconspirator statements; and, without disclosure, the defense will be less able to assist the court in making factual determinations required under Rule 801(d)(2)(E). The government responds that pretrial disclosure of coconspirator statements is not required by Rule 16 and that Simpson relies on non-binding authority. The government also agrees to provide the defense a copy of any statements of testifying coconspirators pursuant to the Jencks Act.

"[S]everal courts have held that the fact that a coconspirator's statements are viewed as statements by the defendant under [Rule 801(d)(2)(E)] does not make them discoverable under Rule 16(a)(1)(A) or (B)." United States v. Hansen, 2005 WL 1206868, at *3 (N.D. Tex. May 18, 2005) (Fitzwater, J.) (citing United States v. Tarantino, 846 F.2d 1384, 1418 (D.C. Cir. 1988)). "The admissibility of such statements can be determined at trial and the statements may be considered in light of any other independent evidence." Id. (citing Bourjaily, 483 U.S. at 180). The court holds that Simpson is not entitled to production of coconspirator statements under Rule 16, and it denies his motion.

VI Motion for Production and Inspection

Simpson moves for production and inspection of favorable material or information that may lead to favorable evidence. The government opposes the motion to the extent Simpson seeks discovery beyond that to which he is legally entitled. It agrees to comply fully with its discovery obligations under Rules 12(b)(4), 16, and 26.2, the Jencks Act, Brady v. Maryland, 373 U.S. 83 (1963), and its progeny, and Giglio v. United States, 405 U.S. 150 (1972), and its progeny, and all orders of the court. To the extent that Simpson's requests are overbroad, vague, ambiguous, or place a greater burden on the government than the law provides, the government objects to Simpson's requests.

A Request for Favorable Evidence from Complainants

As a preliminary matter, Simpson argues that the government's disclosure obligations similarly apply to non-government persons who functioned in a law enforcement capacity or as part of the prosecution or investigation team. For example, Simpson argues that fraud investigators for AT T and Verizon (the "principal complainants") are part of the prosecution team. The government opposes this request and argues that the prosecution team consists of members of the Federal Bureau of Investigation, the North Texas Regional Computer Forensics Lab, and the United States Attorney's Office. The government maintains that victims like AT T and Verizon are not part of the prosecution and that at no time were AT T, Verizon, or their fraud investigators government agents.

" Brady obligations extend to all persons `acting on the government's behalf[.]'" United States v. Stewart, 433 F.3d 273, 298 (2d Cir. 2006) (quoting Kyles v. Whitley, 514 U.S. 419, 437 (1995)). In some circumstances, the government is deemed to have the knowledge of persons who are not prosecutors in the case. The government must disclose any Brady evidence that is known by the prosecutorial team, which includes investigative and prosecutorial personnel. See United States v. Antone, 603 F.2d 566, 569 (5th Cir. 1979). For example, if a state government works with the federal government on a case, the federal government is attributed the knowledge of the state government for purposes of Brady if the two governments "pooled their investigative energies to a considerable extent." Id. The question whether a non-prosecutor is part of the prosecutorial team for Brady purposes turns not on the person's status but on what the person did. Stewart, 433 F.3d at 298. For example, in United States v. Morell, 524 F.2d 550 (2d Cir. 1975), the court imputed a law enforcement agent's knowledge to the prosecution where the agent supervised a witness, participated actively in the investigation, and frequently sat at counsel table throughout the trial. Morell, 524 F.2d at 555.

Simpson has cited no authority, however, that holds that knowledge of facts by a private company is imputed to the government for Brady purposes where "there is no claim that the government was willfully blind to exculpatory evidence that it should well have known was available." United States v. Josleyn, 206 F.3d 144, 153 n. 8 (1st Cir. 2000). In fact, "[w]hile prosecutors may be held accountable for information known to police investigators, we are loath to extend the analogy from police investigators to cooperating private parties who have their own set of interests." Id. at 154 (citation omitted). Therefore, the court holds that the government is only imputed with the knowledge that the government actually had and is not otherwise imputed with the knowledge of private companies or their fraud investigators for Brady purposes. Id.

B Simpson's Requests for Disclosure Nos. 1, 2, 4, and 5

In request No. 1, Simpson asks that the government disclose any information that Simpson did not knowingly participate in any conspiracy to defraud, as alleged in the indictment, or that there is reason to doubt whether he participated in any unlawful conduct alleged in the indictment, either as a whole or in any of the particular instances alleged in the indictment. Specifically, Simpson requests any written or recorded statements favorable to and made by him to any non-law-enforcement person, including but not limited to, emails, instant messages, text messages, and/or recordings, including cassette recordings or any other non-digital recording or tape recording. In request No. 2, Simpson asks that the government disclose information that he has been involved in any business enterprises (including businesses named in the indictment) that have been successful, and during the course of which bills for products and services were incurred and paid. In request No. 4, Simpson moves the government to disclose information that Simpson's travels to Mexico and South America have been for legitimate business purposes, and that these travels put his businesses in competition, or advancing such competition, with any complainant in the case. And in request No. 5, Simpson requests disclosure of information that any payment made by him to any other person named in the indictment was for a lawful purpose, including information that the government believes would demonstrate a lawful purpose and information that would support the argument that any such payments were for a valid purpose.

The government responds that Simpson's requests are overbroad and vague; his requests appear to include material covered by the Jencks Act, which the government is not required to disclose until trial; and the government has already provided Simpson with some documents, digital evidence, financial records, and audio recordings. The government also agrees to provide records to Simpson as they become available to the government and are generated in a searchable format.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require.

C Simpson's Request for Disclosure No. 3

In request No. 3, Simpson asks that the government disclose information that the informants upon whom the government or principal complainants have relied during the investigation are unreliable or that could be used to support an assertion that any such informant is unreliable. The government responds that Simpson's request is overbroad, vague, and ambiguous; the victim companies are not agents of the government, and Simpson can subpoena and interview respondents of the principal complainants; and, to the extent Simpson requests Jencks Act material, the government will produce that material when appropriate.

As explained above, see supra § VI(A), the court agrees that Simpson has not shown that the principal complainants are government agents. To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the court denies the motion as exceeding what these authorities require. The government is not obligated to disclose Jencks Act materials except as specified infra in § IX.

If the government is required to disclose the identity of an informant who will not be used as a trial witness and whose identity it does not wish to disclose, it must advise the court by in camera submission no later than the date specified infra in § IX. The court will then conduct an in camera review and apply the three-prong test followed in this circuit to determine the applicability of the informant's privilege. See United States v. De Los Santos, 810 F.2d 1326, 1331 (5th Cir. 1987).

D Simpson's Requests for Disclosure Nos. 6, 8, and 9

In request No. 6, Simpson maintains that the government is aware of numerous factors (including its substantial commercial relationship with the companies) that constitute a basis on which he could claim that the government is biased in its representation of the principal complainants in this case, and the government should therefore be required to disclose any grounds and all supporting evidence that demonstrates this relationship. In request No. 8, Simpson posits that the government is aware of numerous instances in which the complainants have been accused of fraud, deceptive conduct, and similar misconduct, including, but not limited to, accusations made by state and federal government agencies. He maintains that, like a person's criminal history, information concerning the corporate complainants should be disclosed, and that the government should be required to disclose all instances of alleged misconduct known, or that by exercise of due diligence would be known, to the government, or known to the ILECs. In request No. 9, Simpson asks that the government be required to disclose all accusations of anti-competitive conduct made against the ILECs.

The government responds that Simpson's request is overbroad, vague, and ambiguous; whether the government has conducted business with a victim company does not create a bias toward those companies or exculpate Simpson; and Simpson has access to the same public databases as the government, and the government has no duty to disclose evidence available to Simpson from other sources.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require.

E Simpson's Request for Disclosure No. 7

In request No. 7, Simpson asks that the government disclose the numerous grounds (and supporting evidence) on which a legitimate challenge regarding reliability can be made to the unpaid "invoices" produced by the complainants in this case, including allegations of overcharging, gouging, and misrepresentation made by any customers, any consumer protection group, and by any state (or any subdivision), federal, or municipal regulatory authority. The government has not responded directly to this request.

To the extent Simpson requests discovery that the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is granted. To the extent his requests exceed what is required by these authorities, the motion is denied.

F Simpson's Requests for Disclosure Nos. 10 and 11

In request No. 10, Simpson asks that the government disclose information tending to indicate that Simpson did not have the intent not to pay for products and services at the time they were acquired, the requisite knowledge or intent to be guilty of any offense charged, or the specific intent to violate the law with regard to any matter or transaction that is the subject of the indictment. In request No. 11, Simpson asks that the government disclose information indicating that any codefendant was not aware of any unlawful conduct on the part of Simpson, irrespective of whether the government rejected such information as inaccurate or of whether the person subsequently changed the statement.

The government responds that it is aware of its obligation under Brady and Giglio and that it has already turned over records in its possession. The government objects at this time to Simpson's requests insofar as he seeks information governed by the Jencks Act.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require.

G Simpson's Request for Disclosure No. 12

In request No. 12, Simpson asks that the government disclose 18 subcategories of information that could be helpful or useful to the defense in detracting from the probative force of the government's evidence, including impeachment evidence and evidence of consideration held out to a witness, prospective witness, complainant, or codefendant, and evidence that arguably could lead to such information. The government responds that several of Simpson's requests are overbroad and ambiguous and that it will comply with its obligations under Rules 12(b)(4), 16, and 26.2, the Rules pertaining to witnesses who testify, and the Jencks Act.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. The court also expects the government to comply with its obligations under Brady, and Giglio. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require.

H Manner of the Government's Disclosure

Simpson argues that the government's disclosures must include a searchable database and a comprehensible index. He posits that the government has an obligation to provide evidence favorable to him in a manner that will be of value. According to Simpson, the government's production of 200 terabytes of digital data does not satisfy its obligation; rather, the government must immediately disclose the specific location of the potentially-exculpatory information — 50 gigabytes identified by the government — and provide him with this evidence in a usable and searchable format. Simpson also argues that the government must disclose particular items or categories of evidence favorable to him even if it discloses the 50 gigabytes. The government responds that it has provided searchable copies of certain documents and has met individually with counsel for the defendants to recommend where counsel focus their review efforts. For example, the government has suggested which hard drive or drives counsel should search. Defense attorneys have also been provided copies of the electronic storage devices.

Simpson cites United States v. Skilling, 554 F.3d 529 (5th Cir. 2009), vacated in part on other grounds, ___ U.S. ___, 130 S.Ct. 2896 (2010), to establish that the government must do more than open its file to him to satisfy its disclosure obligations. "As a general rule, the government is under no duty to direct a defendant to exculpatory evidence within a larger mass of disclosed evidence." Id. at 576 (citations omitted). A Brady violation will not be found where potentially exculpatory information is available to the defendant through an exercise of due diligence. Id. In Skilling the defendant argued that "the voluminosity of the government's open file prevented him from effectively reviewing the government's disclosure" and that "no amount of diligence, much less reasonable diligence, could have accomplished this task." Id. The panel noted that "[t]here is little case law on whether a voluminous open file can itself violate Brady, and the outcomes of these cases seem to turn on what the government does in addition to allowing access to a voluminous open file." Id. at 577. It also stated that it was not holding "that the use of a voluminous open file can never violate Brady." Id. But the panel found no Brady violation where the government "did much more than drop several hundred million pages on [the defendant's] doorstep." Id. The government's open file was electronic and searchable; the government produced a set of "hot documents" that it thought were important to its case or were potentially relevant to the defendant's defense; the government created indices to these and other documents; and it provided the defendant with access to various databases concerning prior litigation involving his company. Id. The panel noted that "there is no evidence that the government found something exculpatory but hid it in the open file with the hope that [the defendant] would never find it." Id.

[C]onsidering the additional steps the government took beyond merely providing [the defendant] with the open file, the equal access that [the defendant] and the government had to the open file, the complexity of [the defendant's] case, and the absence of evidence that the government used the open file to hide potentially exculpatory evidence or otherwise acted in bad faith, . . . the government's use of the open file did not violate Brady.
Id. In Simpson's case, the government has acknowledged its obligations to comply with Brady and Giglio, and it has taken additional steps, described above, some of which are of the type cited with approval in Skilling, to facilitate Simpson's review of the evidence. The court concludes that Simpson is entitled to no greater relief.

For instance, the panel stated in dicta:

evidence that the government `padded' an open file with pointless or superfluous information to frustrate a defendant's review of the file might raise serious Brady issues. Creating a voluminous file that is unduly onerous to access might raise similar concerns. And it should go without saying that the government may not hide Brady material of which it is actuallyaware in a huge open file in the hope that the defendant will never find it. These scenarios would indicate that the government was acting in bad faith in performing its obligations under Brady.
Skilling, 554 F.3d at 577.

Simpson also argues that the government sometimes responds to Brady requests in a manner that evades joinder of the issue, such as by saying that the government understands its duties under Brady and will comply with these duties. He maintains that, if the government believes that production of a requested item or category of items is not required, it should say so, and the court should enter an order that rules on Simpson's specific requests. If Simpson has a basis to challenge a particular item or category of items, he may make this request of the court; otherwise, the motion is denied as unsupported by the requirements of Brady.

VII Request for Notice under Rule 12(b)(4)

Simpson moves for notice of the government's intent to use evidence pursuant to Rule 12(b)(4) and the source from which the evidence was obtained. In response, the government agrees to comply with the court's scheduling order and Rule 12(d)(2) by filing an exhibit list that identifies all items that the government intends to use in its case-in-chief.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. The government must provide discovery under Rule 12(b)(4) no later than March 31, 2011 at noon. The motion is denied to the extent Simpson seeks discovery of information in excess of what is required by Rule 12(b)(4).

No later than April 8, 2011 at noon, Simpson may file — without leave of court — a motion to suppress that he could not reasonably have filed until he received the government's disclosure under Rule 12(b)(4).

VIII Motion for Discovery and Inspection

Simpson moves for discovery and inspection of six categories of material. The government agrees to comply with the applicable rules and cases and objects to Simpson's motion to the extent it exceeds what is required by Rule 16, Brady, and Giglio.

A Simpson's Requests for Disclosure Nos. 1 and 2

In request No. 1, Simpson requests that the government disclose FBI Form 302s for each oral statement that the government disclosed to Simpson. According to Simpson, an FBI 302 report would reflect when and where an interview occurred, by whom it was conducted, the persons present, when the report was dictated, and when it was transcribed. Simpson concedes that the government has provided his oral statements but argues that he is entitled to Form 302 reports for any interviews with him. In request No. 2, Simpson asks that the government disclose his written or recorded statements, as required by Rule 16(a)(1)(B). Simpson acknowledges that the government has produced some statements.

The government maintains that Rule 16 requires that it provide Simpson's written or recorded statements and the substance of his oral statements made in response to interrogation by a person he knew was a government agent. The government also contends that Form 302 reports are not materials covered by the Jencks Act unless they are specifically approved or adopted by a non-agent witness.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require. Specifically, the court rejects Simpson's request to the extent it presumes that an FBI Form 302 is always a statement as defined by Rule 26.2(f) or the Jencks Act.

B Simpson's Request for Disclosure No. 3

In request No. 3, Simpson asks that the government disclose any scientific or technical reports, photographs, or examinations, as required by Rule 16(a)(1)(F). The government agrees to comply with Rule 16(a)(1)(F). To the extent Simpson's motion exceeds the scope of that Rule, the government objects.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. The court also expects the government to comply with its obligations under Brady and Giglio. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require.

C Simpson's Request for Disclosure No. 4

In request No. 4, Simpson asks that the government provide a written summary pursuant to Rule 16(a)(1)(G) of the evidence it intends to offer under Rules 702, 703, or 704 during its case-in-chief.

To the extent the government has agreed to the production Simpson seeks, the court denies the motion as moot. The court also expects the government to comply with its obligations under Brady and Giglio. To the extent Simpson requests discovery of more than the government is required to disclose under Rules 12(b)(4), 16, and 26.2, Brady, Giglio, and/or the Jencks Act, the motion is denied as exceeding what these authorities require.

D Simpson's Request for Disclosure No. 5

In request No. 5, Simpson asks that the government disclose the application and supporting documents submitted to the court with the government's September 9, 2009 motion for post-indictment restraining order. The court unsealed the application and supporting documents on October 28, 2010. Simpson's motion is therefore denied in this respect as moot.

E Simpson's Request for Disclosure No. 6

In request No. 6, Simpson requests discovery of documents with Bates stamps beginning with 792, 793, and 795. The government avers that it has complied with Simpson's request. Simpson's motion is denied in this respect as moot.

IX

Except to the extent that the Jencks Act and Rule 26.2(a) permit later disclosure, or the court has set an earlier deadline for disclosure under Rule 12(b)(4), the government must comply no later than April 25, 2011 at noon with its disclosure and discovery obligations imposed by this memorandum opinion and order and by the government's agreement to produce what Simpson has requested. Concerning material covered by the Jencks Act or Rule 26.2, in accordance with the custom in this district, the government must disclose such statements no later than the end of the business day that precedes the date on which Simpson will begin his cross-examination of a witness.

SO ORDERED.


Summaries of

U.S. v. Simpson

United States District Court, N.D. Texas, Dallas Division
Mar 21, 2011
Criminal No. 3:09-CR-249-D(06) (N.D. Tex. Mar. 21, 2011)
Case details for

U.S. v. Simpson

Case Details

Full title:UNITED STATES OF AMERICA, Plaintiff, v. MATTHEW NORMAN SIMPSON, Defendant

Court:United States District Court, N.D. Texas, Dallas Division

Date published: Mar 21, 2011

Citations

Criminal No. 3:09-CR-249-D(06) (N.D. Tex. Mar. 21, 2011)