Pursuant to an investigation into allegations of interstate
transportation of obscene materials, a federal grand jury sitting
in the Eastern District of Virginia issued subpoenas
duces
tecum to Model Magazine Distributors, Inc. (Model), and to
respondents R. Enterprises, Inc., and MFR Court Street Books, Inc.
(MFR), all of which were based in New York and wholly owned by the
same person. The subpoenas sought a variety of corporate books and
records and, in Model's case, copies of certain videotapes that it
had shipped to retailers in the Eastern District. The District
Court denied the companies' motions to quash the subpoenas and,
when the companies refused to comply with the subpoenas, found each
of them in contempt. The Court of Appeals,
inter alia,
quashed the subpoenas issued to respondents, ruling that the
subpoenas did not satisfy the relevancy prong of the test set out
in
United States v. Nixon, 418 U.
S. 683,
418 U. S.
699-700 -- which requires the Government to establish
relevancy, admissibility, and specificity in order to enforce a
subpoena in the trial context -- and that the subpoenas therefore
failed to meet the requirement that any document subpoenaed under
Federal Rule of Criminal Procedure 17(c) be admissible as evidence
at trial. The court did not consider respondents' contention that
enforcement of the subpoenas would likely infringe their First
Amendment rights.
Held:
1. The Court of Appeals did not apply the proper standard in
evaluating the subpoenas issued to respondents. Pp.
498 U. S.
297-303.
(a) The
Nixon standard does not apply in the context of
grand jury proceedings. The unique role of a grand jury makes its
subpoenas much different from subpoenas issued in the context of a
criminal trial. Thus, this Court has held that a grand jury may
compel the production of evidence or the testimony of witnesses as
it considers appropriate, and that its operation generally is
unrestrained by the technical procedural and evidentiary rules
governing the conduct of criminal trials.
Nixon's
multi-factor test would invite impermissible procedural delays and
detours while courts evaluate the relevancy and admissibility of
documents sought by a particular subpoena. Additionally, requiring
the Government to explain in too much detail the particular reasons
underlying a subpoena threatens to compromise the indispensable
secrecy of grand
Page 498 U. S. 293
jury proceedings. Broad disclosure also affords the targets of
investigation far more information about the grand jury's workings
than the Rules of Criminal Procedure appear to contemplate. Pp.
498 U. S.
297-299.
(b) The grand jury's investigatory powers are nevertheless
subject to the limit imposed by Rule 17(c), which provides that
"the court on motion made promptly may quash or modify the subpoena
if compliance would be unreasonable or oppressive"
(emphasis added). Since a grand jury subpoena issued through normal
channels is presumed to be reasonable, the burden of showing
unreasonableness, as the above language indicates, must be on the
recipient who seeks to avoid compliance, and the Court of Appeals
erred to the extent that it placed an initial burden on the
Government. Moreover, where, as here, a subpoena is challenged on
relevancy grounds, the motion to quash must be denied unless the
district court determines that there is no reasonable possibility
that the category of materials the Government seeks will produce
information relevant to the general subject of the grand jury's
investigation. Since respondents did not challenge the subpoenas as
being too indefinite or claim that compliance would be overly
burdensome, this Court does not consider these aspects of the
subpoenas. Pp.
498 U. S.
299-301.
(c) Because it seems unlikely that a challenging party who does
not know the general subject matter of the grand jury's
investigation will be able to make the necessary showing that
compliance with a subpoena would be unreasonable, a court may be
justified in requiring the Government to reveal the investigation's
general subject before requiring the challenger to carry its burden
of persuasion. However, this question need not be resolved here,
since there is no doubt that respondents knew the subject of the
particular investigation. Pp.
498 U. S.
301-302.
(d) Application of the above principles demonstrates that the
District Court correctly denied respondents' motions to quash.
Based on the undisputed facts that all three companies are owned by
the same person, that all do business in the same area, and that
Model has shipped sexually explicit materials into the Eastern
District of Virginia, the court could have concluded that there was
a reasonable possibility that respondents' business records would
produce information relevant to the grand jury's investigation,
notwithstanding respondents' self-serving denial of any connection
to Virginia. Pp.
498 U. S.
302-303.
2. This Court expresses no view on, and leaves to the Court of
Appeals to resolve, the issue whether, based on respondents'
contention that the records subpoenaed related to First Amendment
activities, the Government was required to demonstrate that they
were particularly relevant to the investigation. P.
498 U. S.
303.
884 F.2d 772 (CA4 1989), reversed in part and remanded.
Page 498 U. S. 294
O'CONNOR, J., delivered the opinion for a unanimous Court with
respect to Parts I and II, the opinion of the Court with respect to
Parts III-A and IV, in which REHNQUIST, C.J., and WHITE, SCALIA,
KENNEDY, and SOUTER, JJ., joined, and the opinion of the Court with
respect to Part III-B, in which REHNQUIST, C.J., and WHITE,
KENNEDY, and SOUTER, JJ., joined. STEVENS, J., filed an opinion
concurring in part and concurring in the judgment, in which
MARSHALL and BLACKMUN, JJ., joined.
Justice O'CONNOR delivered the opinion of the Court.
*
This case requires the Court to decide what standards apply when
a party seeks to avoid compliance with a subpoena
duces
tecum issued in connection with a grand jury
investigation.
I
Since 1986, a federal grand jury sitting in the Eastern District
of Virginia has been investigating allegations of interstate
transportation of obscene materials. In early 1988, the grand jury
issued a series of subpoenas to three companies -- Model Magazine
Distributors, Inc. (Model), R. Enterprises, Inc., and MFR Court
Street Books, Inc. (MFR). Model is a New York distributor of
sexually oriented paperback books, magazines, and videotapes. R.
Enterprises, which distributes adult materials, and MFR, which
sells books, magazines, and videotapes, are also based in New York.
All three companies are wholly owned by Martin Rothstein. The grand
jury subpoenas sought a variety of corporate
Page 498 U. S. 295
books and records and, in Model's case, copies of 193 videotapes
that Model had shipped to retailers in the Eastern District of
Virginia. All three companies moved to quash the subpoenas, arguing
that the subpoenas called for production of materials irrelevant to
the grand jury's investigation and that the enforcement of the
subpoenas would likely infringe their First Amendment rights.
The District Court, after extensive hearings, denied the motions
to quash. As to Model, the court found that the subpoenas for
business records were sufficiently specific and that production of
the videotapes would not constitute a prior restraint. App. to Pet.
for Cert. 57a-58a. As to R. Enterprises, the court found a
"sufficient connection with Virginia for further investigation by
the grand jury."
Id. at 60a. The court relied in large
part on the statement, attributed to Rothstein, that the three
companies were "all the same thing, I'm president of all three."
Ibid. Additionally, the court explained, in denying MFR's
motion to quash, that it was "inclined to agree" with "the majority
of the jurisdictions," which do not require the Government to make
a "threshold showing" before a grand jury subpoena will be
enforced.
Id. at 63a. Even assuming that a preliminary
showing of relevance was required, the court determined that the
Government had made such a showing. It found sufficient evidence
that the companies were "related entities," at least one of which
"certainly did ship sexually explicit material into the
Commonwealth of Virginia."
Ibid. The court concluded that
the subpoenas in this case were "fairly standard business
subpoenas" and "ought to be complied with."
Id. at 65a.
Notwithstanding these findings, the companies refused to comply
with the subpoenas. The District Court found each in contempt and
fined them $500 per day, but stayed imposition of the fine pending
appeal.
Id. at 64a.
The Court of Appeals for the Fourth Circuit upheld the business
records subpoenas issued to Model, but remanded the motion to quash
the subpoena for Model's videotapes.
Page 498 U. S. 296
In re Grand Jury 87-3 Subpoena Duces Tecum, 884 F.2d
772 (1989). Of particular relevance here, the Court of Appeals
quashed the business records subpoenas issued to R. Enterprises and
MFR. In doing so, it applied the standards set out by this Court in
United States v. Nixon, 418 U. S. 683,
418 U. S.
699-700 (1974). The court recognized that
Nixon
dealt with a trial subpoena, not a grand jury subpoena, but
determined that the rule was "equally applicable" in the grand jury
context. 884 F.2d at 776, n. 2. Accordingly, it required the
Government to clear the three hurdles that
Nixon
established in the trial context -- relevancy, admissibility, and
specificity -- in order to enforce the grand jury subpoenas.
Id. at 776. The court concluded that the challenged
subpoenas did not satisfy the
Nixon standards, finding no
evidence in the record that either company had ever shipped
materials into, or otherwise conducted business in, the Eastern
District of Virginia.
Ibid. The Court of Appeals
specifically criticized the District Court for drawing an inference
that, because Rothstein owned all three businesses and one of them
had undoubtedly shipped sexually explicit materials into the
Eastern District of Virginia, there might be some link between the
Eastern District of Virginia and R. Enterprises or MFR.
Id. at 777. It then noted that
"any evidence concerning Mr. Rothstein's alleged business
activities outside of Virginia, or his ownership of companies which
distribute allegedly obscene materials outside of Virginia, would
most likely be inadmissible on relevancy grounds at any trial that
might occur,"
and that the subpoenas therefore failed
"to meet the requirements [
sic] that any documents
subpoenaed under [Federal] Rule [of Criminal Procedure] 17(c) must
be admissible as evidence at trial."
Ibid., citing
Nixon, supra, at
418 U. S. 700.
The Court of Appeals did not consider whether enforcement of the
subpoenas
duces tecum issued to respondents implicated the
First Amendment.
We granted certiorari to determine whether the Court of Appeals
applied the proper standard in evaluating the
Page 498 U. S. 297
grand jury subpoenas issued to respondents. 496 U.S. 924 (1990).
We now reverse.
II
The grand jury occupies a unique role in our criminal justice
system. It is an investigatory body charged with the responsibility
of determining whether or not a crime has been committed. Unlike
this Court, whose jurisdiction is predicated on a specific case or
controversy, the grand jury "can investigate merely on suspicion
that the law is being violated, or even just because it wants
assurance that it is not."
United States v. Morton Salt
Co., 338 U. S. 632,
338 U. S.
642-643 (1950). The function of the grand jury is to
inquire into all information that might possibly bear on its
investigation until it has identified an offense or has satisfied
itself that none has occurred. As a necessary consequence of its
investigatory function, the grand jury paints with a broad
brush.
"A grand jury investigation 'is not fully carried out until
every available clue has been run down and all witnesses examined
in every proper way to find if a crime has been committed.'"
Branzburg v. Hayes, 408 U. S. 665,
408 U. S. 701
(1972), quoting
United States v. Stone, 429 F.2d 138, 140
(CA2 1970).
A grand jury subpoena is thus much different from a subpoena
issued in the context of a prospective criminal trial, where a
specific offense has been identified and a particular defendant
charged.
"[T]he identity of the offender, and the precise nature of the
offense, if there be one, normally are developed at the conclusion
of the grand jury's labors, not at the beginning."
Blair v. United States, 250 U.
S. 273,
250 U. S. 282
(1919). In short, the Government cannot be required to justify the
issuance of a grand jury subpoena by presenting evidence sufficient
to establish probable cause, because the very purpose of requesting
the information is to ascertain whether probable cause exists.
See Hale v. Henkel, 201 U. S. 43,
201 U. S. 65
(1906).
Page 498 U. S. 298
This Court has emphasized on numerous occasions that many of the
rules and restrictions that apply at a trial do not apply in grand
jury proceedings. This is especially true of evidentiary
restrictions. The same rules that, in an adversary hearing on the
merits, may increase the likelihood of accurate determinations of
guilt or innocence do not necessarily advance the mission of a
grand jury, whose task is to conduct an
ex parte
investigation to determine whether or not there is probable cause
to prosecute a particular defendant. In
Costello v. United
States, 350 U. S. 359
(1956), this Court declined to apply the rule against hearsay to
grand jury proceedings. Strict observance of trial rules in the
context of a grand jury's preliminary investigation "would result
in interminable delay but add nothing to the assurance of a fair
trial."
Id. at
350 U. S. 364.
In
United States v. Calandra, 414 U.
S. 338 (1974), we held that the Fourth Amendment
exclusionary rule does not apply to grand jury proceedings.
Permitting witnesses to invoke the exclusionary rule would "delay
and disrupt grand jury proceedings" by requiring adversarial
hearings on peripheral matters,
id. at 349, and would
effectively transform such proceedings into preliminary trials on
the merits,
id. at
414 U. S.
349-350. The teaching of the Court's decisions is clear:
A grand jury
"may compel the production of evidence or the testimony of
witnesses as it considers appropriate, and its operation generally
is unrestrained by the technical procedural and evidentiary rules
governing the conduct of criminal trials,"
id. at
414 U. S.
343.
This guiding principle renders suspect the Court of Appeals'
holding that the standards announced in
Nixon as to
subpoenas issued in anticipation of trial apply equally in the
grand jury context. The multi-factor test announced in
Nixon would invite procedural delays and detours while
courts evaluate the relevancy and admissibility of documents sought
by a particular subpoena. We have expressly stated that grand jury
proceedings should be free of such delays.
"Any holding that would saddle a grand jury with minitrials
Page 498 U. S. 299
and preliminary showings would assuredly impede its
investigation and frustrate the public's interest in the fair and
expeditious administration of the criminal laws."
United States v. Dionisio, 410 U. S.
1,
410 U. S. 17
(1973).
Accord, Calandra, supra, 414 U.S. at
414 U. S. 350.
Additionally, application of the
Nixon test in this
context ignores that grand jury proceedings are subject to strict
secrecy requirements.
See Fed.Rule Crim.Proc. 6(e).
Requiring the Government to explain in too much detail the
particular reasons underlying a subpoena threatens to compromise
"the indispensable secrecy of grand jury proceedings."
United
States v. Johnson, 319 U. S. 503,
319 U. S. 513
(1943). Broad disclosure also affords the targets of investigation
far more information about the grand jury's internal workings than
the Federal Rules of Criminal Procedure appear to contemplate.
III
A
The investigatory powers of the grand jury are nevertheless not
unlimited.
See Branzburg, supra, 408 U.S. at
408 U. S. 688;
Calandra, supra, 414 U.S. at
414 U. S. 346,
and n. 4. Grand juries are not licensed to engage in arbitrary
fishing expeditions, nor may they select targets of investigation
out of malice or an intent to harass. In this case, the focus of
our inquiry is the limit imposed on a grand jury by Federal Rule of
Criminal Procedure 17(c), which governs the issuance of subpoenas
duces tecum in federal criminal proceedings. The Rule
provides that "the court on motion made promptly may quash or
modify the subpoena if compliance would be unreasonable or
oppressive."
This standard is not self-explanatory. As we have observed,
"what is reasonable depends on the context."
New Jersey v. T.L.
0., 469 U. S. 325,
469 U. S. 337
(1985). In
Nixon, this Court defined what is reasonable in
the context of a jury trial. We determined that, in order to
require production of information prior to trial, a party must make
a reasonably specific request for information that would be both
relevant and admissible at trial. 418 U.S. at
418 U. S. 700.
But, for the
Page 498 U. S. 300
reasons we have explained above, the
Nixon standard
does not apply in the context of grand jury proceedings. In the
grand jury context, the decision as to what offense will be charged
is routinely not made until after the grand jury has concluded its
investigation. One simply cannot know in advance whether
information sought during the investigation will be relevant and
admissible in a prosecution for a particular offense.
To the extent that Rule 17(c) imposes some reasonableness
limitation on grand jury subpoenas, however, our task is to define
it. In doing so, we recognize that a party to whom a grand jury
subpoena is issued faces a difficult situation. As a rule, grand
juries do not announce publicly the subjects of their
investigations.
See supra at
418 U. S. 727.
A party who desires to challenge a grand jury subpoena thus may
have no conception of the Government's purpose in seeking
production of the requested information. Indeed, the party will
often not know whether he or she is a primary target of the
investigation or merely a peripheral witness. Absent even minimal
information, the subpoena recipient is likely to find it
exceedingly difficult to persuade a court that "compliance would be
unreasonable." As one pair of commentators has summarized it, the
challenging party's
"unenviable task is to seek to persuade the court that the
subpoena that has been served on [him or her] could not possibly
serve any investigative purpose that the grand jury could
legitimately be pursuing."
S. Beale & W. Bryson, Grand Jury Law and Practice § 6:28
(1986).
Our task is to fashion an appropriate standard of
reasonableness, one that gives due weight to the difficult position
of subpoena recipients but does not impair the strong governmental
interests in affording grand juries wide latitude, avoiding
minitrials on peripheral matters, and preserving a necessary level
of secrecy. We begin by reiterating that the law presumes, absent a
strong showing to the contrary, that a grand jury acts within the
legitimate scope of its authority.
Page 498 U. S. 301
See United States v. Mechanik, 475 U. S.
66,
475 U. S. 75
(1986) (O'CONNOR, J., concurring in judgment) ("The grand jury
proceeding is accorded a presumption of regularity, which generally
may be dispelled only upon particularized proof of irregularities
in the grand jury process").
See also Hamling v. United
States, 418 U. S. 87,
418 U. S. 139,
n. 23 (1974);
United States v. Johnson, supra, 319 U.S. at
319 U. S.
512-513. Consequently, a grand jury subpoena issued
through normal channels is presumed to be reasonable, and the
burden of showing unreasonableness must be on the recipient who
seeks to avoid compliance. Indeed, this result is indicated by the
language of Rule 17(c), which permits a subpoena to be quashed only
"on motion" and "if
compliance would be unreasonable"
(emphasis added). To the extent that the Court of Appeals placed an
initial burden on the Government, it committed error. Drawing on
the principles articulated above, we conclude that where, as here,
a subpoena is challenged on relevancy grounds, the motion to quash
must be denied unless the district court determines that there is
no reasonable possibility that the category of materials the
Government seeks will produce information relevant to the general
subject of the grand jury's investigation. Respondents did not
challenge the subpoenas as being too indefinite, nor did they claim
that compliance would be overly burdensome.
See App. in
In re Grand Jury 87-3 Subpoena Duces Tecum, 884 F.2d 772
(CA4), pp. A-333, A-494. The Court of Appeals accordingly did not
consider these aspects of the subpoenas, nor do we.
B
It seems unlikely, of course, that a challenging party who does
not know the general subject matter of the grand jury's
investigation, no matter how valid that party's claim, will be able
to make the necessary showing that compliance would be
unreasonable. After all, a subpoena recipient "cannot put his whole
life before the court in order to show that there is no crime to be
investigated,"
Marston's, Inc. v. Strand, 114
Page 498 U. S. 302
Ariz. 260, 270,
560 P.2d 778,
788 (1977) (Gordon, J., specially concurring in part and dissenting
in part). Consequently, a court may be justified in a case where
unreasonableness is alleged in requiring the Government to reveal
the general subject of the grand jury's investigation before
requiring the challenging party to carry its burden of persuasion.
We need not resolve this question in the present case, however, as
there is no doubt that respondents knew the subject of the grand
jury investigation pursuant to which the business records subpoenas
were issued. In cases where the recipient of the subpoena does not
know the nature of the investigation, we are confident that
district courts will be able to craft appropriate procedures that
balance the interests of the subpoena recipient against the strong
governmental interests in maintaining secrecy, preserving
investigatory flexibility, and avoiding procedural delays. For
example, to ensure that subpoenas are not routinely challenged as a
form of discovery, a district court may require that the Government
reveal the subject of the investigation to the trial court
in
camera, so that the court may determine whether the motion to
quash has a reasonable prospect for success before it discloses the
subject matter to the challenging party.
IV
Applying these principles in this case demonstrates that the
District Court correctly denied respondents' motions to quash. It
is undisputed that all three companies -- Model, R. Enterprises,
and MFR -- are owned by the same person, that all do business in
the same area, and that one of the three, Model, has shipped
sexually explicit materials into the Eastern District of Virginia.
The District Court could have concluded from these facts that there
was a reasonable possibility that the business records of R.
Enterprises and MFR would produce information relevant to the grand
jury's investigation into the interstate transportation of obscene
materials. Respondents' blanket denial of any connection to
Page 498 U. S. 303
Virginia did not suffice to render the District Court's
conclusion invalid. A grand jury need not accept on faith the
self-serving assertions of those who may have committed criminal
acts. Rather, it is entitled to determine for itself whether a
crime has been committed.
See Morton Salt Co., 338 U.S. at
338 U. S.
642-643.
Both in the District Court and in the Court of Appeals,
respondents contended that these subpoenas sought records relating
to First Amendment activities, and that this required the
Government to demonstrate that the records were particularly
relevant to its investigation. The Court of Appeals determined that
the subpoenas did not satisfy Rule 17(c), and thus did not pass on
the First Amendment issue. We express no view on this issue, and
leave it to be resolved by the Court of Appeals.
The judgment is reversed insofar as the Court of Appeals quashed
the subpoenas issued to R. Enterprises and MFR, and the case is
remanded for further proceedings consistent with this opinion.
It is so ordered.
Justice STEVENS, with whom Justices MARSHALL and BLACKMUN join,
concurring in part and concurring in the judgment.
Federal Rule of Criminal Procedure 17(c) authorizes a Federal
District Court to quash or modify a grand jury subpoena
duces
tecum "if compliance would be unreasonable or oppressive."
See United States v. Calandra, 414 U.
S. 338,
414 U. S. 346,
n. 4 (1974). This rule requires the district court to balance the
burden of compliance, on the one hand, against the governmental
interest in obtaining the documents on the other. [
Footnote 1]
Page 498 U. S. 304
A more burdensome subpoena should be justified by a somewhat
higher degree of probable relevance than a subpoena that imposes a
minimal or nonexistent burden. [
Footnote 2] Against the procedural history of this case,
the Court has attempted to define the term "reasonable" in the
abstract, looking only at the relevance side of the balance.
See ante at
498 U. S. 300,
498 U. S. 301.
[
Footnote 3]
Page 498 U. S. 305
Because I believe that this truncated approach to the Rule will
neither provide adequate guidance to the district court nor place
any meaningful constraint on the overzealous prosecutor, I add
these comments.
The burden of establishing that compliance would be unreasonable
or oppressive rests, of course, on the subpoenaed witness. This
result accords not only with the presumption of regularity that
attaches to grand jury proceedings, as the Court notes,
see
ante at
498 U. S.
300-301, but also with the general rule that the burden
of proof lies on "the party asserting the affirmative of a
proposition."
See, e.g., Mashpee Tribe v. New Seabury
Corp., 592 F.2d 575, 589 (CA1),
cert. denied, 444
U.S. 866 (1979).
The moving party has the initial task of demonstrating to the
Court that he has some valid objection to compliance. This showing
might be made in various ways. Depending on the volume and location
of the requested materials, the mere cost in terms of time, money,
and effort of responding to a dragnet subpoena could satisfy the
initial hurdle. Similarly, if a witness showed that compliance with
the subpoena would intrude significantly on his privacy interests,
or call for the disclosure of trade secrets or other confidential
information, further inquiry would be required. Or, as in this
case, the movant might demonstrate that compliance would have First
Amendment implications.
The trial court need inquire into the relevance of subpoenaed
materials only after the moving party has made this initial
showing. And, as is true in the parallel context of pretrial civil
discovery, a matter also committed to the sound discretion of the
trial judge, the degree of need sufficient to justify denial of the
motion to quash will vary to some extent with the burden of
producing the requested information. [
Footnote 4]
Page 498 U. S. 306
For the reasons stated by the Court, in the grand jury context
the law enforcement interest will almost always prevail, and the
documents must be produced. I stress, however, that the Court's
opinion should not be read to suggest that the deferential
relevance standard the Court has formulated will govern decision in
every case, no matter how intrusive or burdensome the request.
See ante at
498 U. S. 301
("The Court of Appeals accordingly did not consider these aspects
of the subpoenas, nor do we").
I agree with the Court that what is "unreasonable or oppressive"
in the context of a trial subpoena is not necessarily unreasonable
or oppressive in the grand jury context. Although the same language
of Rule 17(c) governs both situations, the teaching of
United
States v. Nixon, 418 U. S. 683
(1974), is not directly applicable to the very different grand jury
context. Thus, I join in Parts I and II of the Court's opinion, and
I am in accord with its decision to send the case back to the Court
of Appeals. I also agree that the possible First Amendment
implications of compliance should be considered
Page 498 U. S. 307
by that court. I would only add that further inquiry into the
possible unreasonable or oppressive character of this subpoena
should also take into account the entire history of this grand jury
investigation, including the series of subpoenas that have been
issued to the same corporations and their affiliates during the
past several years,
see In re Grand Jury 87-3 Subpoena Duces
Tecum, 884 F.2d 772, 774-775 (CA4 1989).
* Justice SCALIA joins in all but Part III-B of this
opinion.
[
Footnote 1]
See, e.g., In re Grand Jury Subpoena: Subpoena Duces
Tecum, 829 F.2d 1291, 1298 (CA4 1987);
In re Grand Jury
Subpoena Served upon Doe, 781 F.2d 238, 250 (CA2) (en banc),
cert. denied sub nom. Roe v. United States, 475 U.S. 1108
(1986);
In re Grand Jury Matters, 751 F.2d 13, 19 (CA1
1984);
In re Special April 1977 Grand Jury, 581 F.2d 589,
595 (CA7),
cert. denied sub nom. Scott v. United States,
439 U.S. 1046 (1978).
Cf. Hale v. Henkel, 201 U. S.
43,
201 U. S. 76-77
(1906) (applying similar balancing test to determine the
"reasonableness" of a subpoena under the Fourth Amendment);
In
re Grand Jury Impaneled January 21, 1975, 541 F.2d 373,
382-383 (CA3 1976) (balancing "public's interest in law enforcement
and in ensuring effective grand jury proceedings" and state-created
"reports privilege" in deciding whether to quash subpoena).
[
Footnote 2]
See, e g., In re Grand Jury Subpoena, 829 F.2d at
1296-1301 (applying heightened scrutiny in Rule 17(c) balance
because of First Amendment concerns);
In re Grand Jury
Matters, 751 F.2d at 18 (requiring government to show need
"with some particularity" because timing of subpoena posed "such
potential for harm" to defendants and their right to counsel);
In re Grand Jury Proceedings, 707
F. Supp. 1207, 1219 (D.Haw. 1989) (quashing subpoena because
"the government has failed to proffer sufficient evidence of fraud
permeating the works of the celebrity artists to justify the great
magnitude of the subpoena requests");
In re Grand Jury
Proceedings Witness Bardier, 486
F. Supp. 1203,
1214
(D.Nev. 1980) (quashing subpoena because demand was "so onerous in
its burden as to be out of proportion to the end sought");
In
re Grand Jury Investigation, 459
F. Supp. 1335, 1343 (ED Pa.1978) (refusing to quash subpoena
because "[court] cannot say that the documentation requested in
this instance is excessive relative to the scope of the
investigation").
[
Footnote 3]
The Fourth Circuit, like the Court, conducted the relevancy
inquiry without regard to the burden of compliance. Respondents,
however, in their affidavits in support of their motions to quash,
framed their relevancy arguments in the broader context of the
burden imposed by the subpoenas. Respondents noted that the
subpoenas required production of virtually all their corporate
records.
See App. in
In re Grand Jury 87-3 Subpoena
Duces Tecum, 884 F.2d 772 (CA4 1989), p. A-343, � 18;
id. at A-497 to A-498, � 8 (hereinafter App.). Respondents
argued that compliance with the subpoenas would violate their
rights to privacy and their rights under the First and Fourth
Amendments.
See id. at A3-42 to A-349, �� 17, 19-31;
id. at A-497, �� 7, 14-20. And, as the Court recognizes,
ante at
498 U. S. 303,
respondents expressly contended that the First Amendment
implications of the subpoenas required a heightened level of
relevance. App. A-345, � 22;
id. at A-502, � 18.
[
Footnote 4]
See, e g., Northrop Corp. v. McDonnell Douglas Corp.,
243 U.S.App.D.C. 19, 31, 751 F.2d 395, 407 (1984) ("The need of the
party seeking the documents is a relevant factor in considering a
claim of oppressiveness, and a case may arise where the need is
great enough to overcome a claim [of burdensomeness] such as [the
State Department raises] here") (citation omitted);
In re
Multi-Piece Rim Products Liability Litigation, 209
U.S.App.D.C. 416, 424-425, 653 F.2d 671, 679-680 (1981) ("relevance
of discovery requests" must be weighed against "oppressiveness" "in
deciding whether discovery should be compelled");
United States
v. Balistrieri, 606 F.2d 216, 221 (CA7 1979) ("The district
court's decision to quash Balistrieri's discovery requests was
within its discretion under the rule, especially in light of the
breadth of the discovery requests in relation to the rather narrow
ground of illegal surveillance upon which [his action] was based"
),
cert. denied, 446 U.S. 917 (1980);
Marshall v.
Westinghouse Electric Corp., 576 F.2d 588, 592 (CA5 1978)
(plaintiff seeking broad range of documents "must show a more
particularized need and relevance");
Litton Industries, Inc. v.
Chesapeake & Ohio R. Co., 129 F.R.D. 528, 530 (ED
Wis.1990) ("
I
f it is established that confidential information is being
sought,the burden is on the party seeking discovery to establish
that the information is sufficiently relevant and necessary to his
case to outweigh the harm disclosure would cause'") (citation
omitted);
Lloyd v. Cessna Aircraft Co., 430 F. Supp.
25,
26 (ED
Tenn.1976) (requiring "special need" to justify deposition in view
of short notice afforded deposed party).