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Matched Legal Cases: ['§ 1623', '§ 6002', '§ 844', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 1621', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 1623', '§ 6002', '§ 6002', '§ 1623', '§ 3503', '§ 1623', '§ 1623', '§ 1623', '§ 3503', '§ 3503']

DUNN V. UNITED STATES, 442 U. S. 100 - Volume 442 - 1979 - Full Text - US Supreme Court Center - USSC Cases - Nolo
US Supreme Court Center > Volume 442 > DUNN V. UNITED STATES, 442 U. S. 100 (1979) > Full Text
his September 30 statement, rather than on the latter statement itself, the offense was not so defined, and appellate courts are not free to revise the basis on which a defendant is convicted simply because the same result would likely obtain on retrial. Pp. 442 U. S. 105-107.
Title IV of the Organized Crime Control Act of 1970, 18 U.S.C. § 1623 (1976 ed., Supp. 1), prohibits false declarations made under oath "in any proceeding before or ancillary to any court or grand jury of the United States." [Footnote 1] This case turns
On June 16, 1976, petitioner Robert Dunn testified before a federal grand jury under a grant of immunity pursuant to 18 U.S.C. § 6002. [Footnote 2] The grand jury was investigating illicit
The District Court held an evidentiary hearing on Musgrave's motion to dismiss on October 21, 1976. At that hearing, petitioner, who was then represented by counsel, adopted the statement he had given in Canges' office and testified that only a small part of what he had told the grand jury was in fact true. App. 46. As a result of petitioner's testimony, the Government reduced the charges against Musgrave to misdemeanor possession of methamphetamine. See 21 U.S.C.§ 844.
App. 5-6. [Footnote 3] In response to petitioner's motion for a bill of particulars, the Government indicated that it would rely on the "inconsistent declarations" method of proof authorized by § 1623(c). Under that subsection, the Government must establish the materiality and inconsistency of declarations made in proceedings before or ancillary to a court or grand jury, but need not prove which of the declarations is false. See n 1, supra.
as the ancillary proceeding, the Court of Appeals construed this discrepancy as a nonprejudicial variance between the indictment and proof at trial. Id.at 123-124. The court also upheld the use of petitioner's immunized grand jury testimony to prove a § 1623 violation. In so ruling, the court stated that immunized testimony generally may not be used to establish an inconsistent declaration without a prior independent showing that the testimony is false. But, in the court's view, petitioner's unequivocal concession at the October hearing that he had testified falsely before the grand jury justified the Government's reliance on that testimony. 577 F.2d at 125-126.
A variance arises when the evidence adduced at trial establishes facts different from those alleged in an indictment. Berger v. United States, 295 U. S. 78 (1935). In the instant case, since the indictment specified the September 30 interview, rather than the October 21 hearing, as the ancillary proceeding, the Court of Appeals identified a variance between the pleadings and the Government's proof at trial. However, reasoning that petitioner's October 21 testimony was "inextricably related" to his September 30 declaration, the court concluded that petitioner could have anticipated that the prosecution would introduce the October testimony. 577 F.2d at 123. The court therefore determined that the variance was not fatal to the Government's case. See Kotteakos v. United States, 328 U. S. 750, 328 U. S. 757 (1946).
between what was alleged in the indictment and what was proved at trial. For we discern no such variance. The indictment charged inconsistency between petitioner's statements in the September 30 interview and his grand jury testimony. That was also the theory on which the case was tried and submitted to the jury. [Footnote 4] Indeed, the October 21 testimony was introduced by the Government only in rebuttal to dispel any inference that petitioner's grand jury testimony was true. See Tr. 82-83. But while there was no variance between the indictment and proof at trial, there was a discrepancy between the basis on which the jury rendered its verdict and that on which the Court of Appeals sustained petitioner's conviction. Whereas the jury was instructed to rest its decision on Dunn's September statement, the Tenth Circuit predicated its affirmance on petitioner's October testimony. The Government concedes that this ruling was erroneous. Brief for United States 15, 35; Tr. of Oral Arg. 25. We agree.
To uphold a conviction on a charge that was neither alleged in an indictment nor presented to a jury at trial offends the most basic notions of due process. Few constitutional principles are more firmly established than a defendant's right to be heard on the specific charges of which he is accused. See Eaton v. Tulsa, 415 U. S. 697, 415 U. S. 698-699 (1974) (per curiam); Garner v. Louisiana, 368 U. S. 157, 368 U. S. 163-164 (1961); Cole v. Arkansas, 333 U. S. 196, 333 U. S. 201 (1948); De Jonge v.
Oregon, 299 U. S. 353, 299 U. S. 362 (1937). There is, to be sure, no glaring distinction between the Government's theory at trial and the Tenth Circuit's analysis on appeal. The jury might well have reached the same verdict had the prosecution built its case on petitioner's October 21 testimony adopting his September 30 statement, rather than on the September statement itself. But the offense was not so defined, and appellate courts are not free to revise the basis on which a defendant is convicted simply because the same result would likely obtain on retrial. As we recognized in Cole v. Arkansas, supra at 333 U. S. 201,
Congress enacted § 1623 as part of the 1970 Organized Crime Control Act, Pub.L. 91-452, 84 Stat. 922, to facilitate perjury prosecutions and thereby enhance the reliability of testimony before federal courts and grand juries. S.Rep. No. 91-617, pp. 58-59 (1969). Invoking this broad congressional purpose, the Government argues for an expansive construction of the term ancillary proceeding. Under the Government's analysis, false swearing in an affidavit poses the same threat to the factfinding process as false testimony in open court. Brief for United States 21. Thus, the Government contends that any statements made under oath for submission to a court, whether given in an attorney's office or in a local bar and grill, fall within the ambit of § 1623. See Tr. of Oral Arg. 31. In our judgment, the term "proceeding," which carries a somewhat more formal connotation, suggests that Congress had a narrower end in view when enacting § 1623. And the legislative history of the Organized Crime Control Act confirms that conclusion.
Section 1623 was a response to perceived evidentiary problems in demonstrating perjury under the existing federal statute, 18 U.S.C. § 1621. [Footnote 5] As Congress noted, the strict common law requirements for establishing falsity which had been engrafted onto the federal perjury statute often made prosecution for false statements exceptionally difficult. [Footnote 6] By relieving the Government of the burden of proving which of two or more inconsistent declarations was false, see § 1623(c), Congress sought to afford "greater assurance that testimony obtained in grand jury and court proceedings will aid the cause of truth." S.Rep. No. 91-617, p. 59 (1969). But nothing in the language or legislative history of the statute suggests that Congress contemplated a relaxation of the Government's burden of proof with respect to all inconsistent statements given under oath. Had Congress intended such a result, it presumably would have drafted § 1623 to encompass all sworn declarations irrespective of whether they were made in proceedings
before or ancillary to a court or grand jury. Particularly since Congress was aware that statements under oath were embraced by the federal perjury statute without regard to where they were given, [Footnote 7] the choice of less comprehensive language in § 1623 does not appear inadvertent.
That Congress intended § 1623 to sweep less broadly than the perjury statute is also apparent from the origin of the term ancillary proceeding. As initially introduced in Congress, the Organized Crime Control Act contained a version of § 1623 which encompassed only inconsistent statements made in any "trial, hearing, or proceeding before any court or grand jury." [Footnote 8] When asked to comment on the proposed statute, the Department of Justice noted that the scope of the inconsistent declarations provision was "not as inclusive" as the perjury statute. See Hearings on S. 30 et al. before the Subcommittee on Criminal Laws and Procedures of the Senate Committee on the Judiciary, 91st Cong., 1st Sess., 372 (1969) (hereinafter S. 30 Hearings). Significantly, the Justice Department did not suggest that the provision be made coextensive with the perjury statute. However, in subsequent Senate Subcommittee hearings, Assistant Attorney General Wilson indicated, without elaboration, that the Department advocated "including [under § 1623] other testimony, preliminary testimony and other statements, in the perjury field." Id. at 389.
Id. at 409. [Footnote 9] The Government attaches great significance to the qualification, "for example," in Senator McClellan's letter. Because pretrial depositions were mentioned as illustrative, the Government interprets the term ancillary proceeding to subsume affidavits and certifications as well. But that is not the inference the Department of Justice originally drew from the Senator's letter. Responding to the proposed modification of § 1623, Assistant Attorney General Wilson did not advert to affidavits or certifications, but stated only that
Finally, to construe the term ancillary proceeding in § 1623 as excluding statements given in less formal contexts than depositions would comport with Congress' use of the phrase in a related provision of the Organized Crime Control Act. Title II of the Act, 18 U.S.C. § 6002, authorizes extension of immunity to any witness who claims his privilege against self-incrimination "in a proceeding . . . ancillary to" a court, grand jury, or agency of the United States, or before Congress or one of its committees. See n 2, supra. Although neither the House nor Senate Report defines the precise scope of § 6002, they both specify pretrial depositions as the sole example of what would constitute an ancillary proceeding under that provision. H.R.Rep. No. 91-1549, p. 42 (1970); S.Rep. No. 91-617, p. 145 (1969).
Thus, both the language and history of the Act support the Court of Appeals' conclusion that petitioner's September 30 interview "lack[ed] the degree of formality" required by § 1623. 577 F.2d at 123. [Footnote 10] For the Government does not, and could not seriously, maintain that the interview in Canges' office constituted a deposition. See Tr. of Oral Arg.
25. Musgrave's counsel made no attempt to comply with the procedural safeguards for depositions set forth in Fed.Rule Crim.Proc. 15 and 18 U.S.C. § 3503. A court order authorizing the deposition was never obtained. [Footnote 11] Nor did petitioner receive formal notice of the proceeding or of his right to have counsel present. [Footnote 12] Indeed, petitioner did not even certify the transcript of the interview as accurate. [Footnote 13]
To characterize such an interview as an ancillary proceeding would not only take liberties with the language and legislative history of § 1623, it would also contravene this Court's long-established practice of resolving questions concerning the ambit of a criminal statute in favor of lenity. Huddleston v. United States, 415 U. S. 814, 415 U. S. 831 (1974); Rewis v. United States, 401 U. S. 808, 401 U. S. 812 (1971); Bell v. United States, 349 U. S. 81, 349 U. S. 83 (1955). This practice reflects not merely a convenient maxim of statutory construction. Rather, it is rooted in fundamental principles of due process which mandate that no individual be forced to speculate, at peril of indictment, whether his conduct is prohibited. Grayned v. City of Rockford, 408 U. S. 104, 408 U. S. 108 (1972); United States v. Harriss, 347 U. S. 612, 347 U. S. 617 (1954); Lanzetta v. New Jersey, 306 U. S. 451, 306 U. S. 453 (1939); McBoyle v. United States, 283 U. S. 25, 283 U. S. 27 (1931). Thus, to ensure that a legislature speaks with special clarity when marking the boundaries of criminal conduct, courts must decline to impose punishment for actions
that are not "plainly and unmistakably'" proscribed. United States v. Gradwell, 243 U. S. 476, 243 U. S. 485 (1917).
We cannot conclude here that Congress in fact intended or clearly expressed an intent that § 1623 should encompass statements made in contexts less formal than a deposition. Accordingly, we hold that petitioner's September 30 declarations were not given in a proceeding ancillary to a court or grand jury within the meaning of the statute. [Footnote 14]
The District Court instructed the jury that in order to convict petitioner, it had to determine beyond a reasonable doubt that petitioner "while under oath, made irreconcilably contradictory declarations . . . in any proceeding before or ancillary to a court or grand jury." Tr. 179. The court did not define the term ancillary proceeding, but admonished the jury to render its verdict on the charges alleged in the indictment, which specified June 16, 1976, and September 30, 1976, as the proceedings at which inconsistent statements were given. Id. at 175-176; App. 3-11. Moreover, both the Assistant United States Attorney and defense counsel focused their summations on the September 30 statement. See Tr. 151, 167.
In particular, Congress focused on the two-witness rule, under which "the uncorroborated oath of one witness is not enough to establish the falsity of the testimony of the accused." Hammer v. United States, 271 U. S. 620, 271 U. S. 626 (1926); accord, Weiler v. United States, 323 U. S. 606, 323 U. S. 608-610 (1945). See S.Rep. No. 91-617, pp. 57-59 (1969).
See id. at 110-111; n. 5, supra.
In arguing that petitioner's September 30 interview was an ancillary proceeding, the Government relies on United States v. Stassi, 583 F.2d 122 (CA3 1978), and United States v. Krogh, 366 F.Supp. 1255, 1256 (DC 1973). The defendant in Stassi was convicted under § 1623 of making statements in a Fed.Rule Crim.Proc. 11 guilty plea hearing that were irreconcilable with his declarations in an affidavit supporting a motion to vacate sentence. Without adverting to any legislative history, the Court of Appeals affirmed on the theory that a false affidavit "offends the administration of criminal justice as much as [other] false material declaration[s]." 583 F.2d at 127. Insofar as Stassi's analysis is inconsistent with our decision here, we decline to follow it. And Krogh affords no support for the Government's position in this case, since the court there held only that a sworn deposition taken in the office of an Assistant United States Attorney General was a proceeding ancillary to a grand jury investigation.
See 18 U.S.C. §§ 3503(b),(c); Fed.Rule Crim.Proc. 15(b).
See App. 46; 18 U.S.C. § 3503(d); Fed.Rule Crim Proc. 15(d).
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