Many of the provisions of the PATRIOT Act relevant here would, unless reenacted into law, sunset on December 31, 2005. Accordingly, prosecutors and agents are urged to inform the Computer Crime and Intellectual Property Section (CCIPS), at 202-514-1026, whenever use of the new authorities proves helpful in a criminal case. This information will help ensure that Congress is fully informed when deciding whether to reenact these provision.
Nathan Judish of CCIPS took primary responsibility for the revisions in this Manual, under the supervison of Martha Stansell-Gamm, Chief of the Computer Crime and Intellectual Property Section. Assistance in editing was provided by CCIPS attorneys (in alphabetical order): Richard Downing, Mark Eckenwiler, David Green, Patricia McGarry, Paul Ohm, Richard Salgado, Michael Sussmann, and summer interns Matthew Heintz, Andrew Ting, Arun Subramanian, and Amalie Weber.
Also providing helpful suggestions were Thos. Gregory Motta and Lynn Pierce of the Office of General Counsel of the Federal Bureau of Investigation, and "Computer and Telecommunication Coordinators (CTCs)" Arif Alikhan, Mark Califano, Scott Christie, and Steven Schroeder.
This edition owes a tremendous debt to Orin S. Kerr, principal author of the 2001 edition, who departed from the Department of Justice in 2001 to teach at the George Washington University Law School. The 2001 edition superseded the 1994 Federal Guidelines for Searching and Seizing Computers, and reflected an enormous expenditure of time and thought on the part of Mr. Kerr and a number of attorneys at CCIPS, AUSAs, and specialists at the Federal Bureau of Investigation and other federal agencies. The organization and analysis of the 2001 edition has been retained here - not because of inertia, but because they have proven to be sound and enduring.
As is true with most efforts of this kind, the Manual is intended to offer assistance, not authority. Its analysis and conclusions reflect current thinking on difficult areas of law, and do not represent the official position of the Department of Justice or any other agency. It has no regulatory effect, and confers no rights or remedies.
Electronic copies of this document are available from the Computer Crime and Intellectual Property Section's web site, www.cybercrime.gov. The electronic version will be periodically updated, and prosecutors and agents are advised to check the website's version for the latest developments. Inquiries, comments, and corrections should be directed to Nathan Judish at (202) 514-1026. Requests for paper copies or written correspondence will be honored only when made by law enforcement officials or by public institutions. Such requests should be sent to the following address:
Attn:
Search and Seizure Manual
Computer Crime and Intellectual Property Section
10th & Constitution Ave., NW
John C. Keeney Bldg., Suite 600
Washington, DC 20530
In the last decade, computers and the Internet have entered the mainstream of American life. Millions of Americans spend several hours every day in front of computers, where they send and receive e-mail, surf the Web, maintain databases, and participate in countless other activities.
Unfortunately, those who commit crime have not missed the computer revolution. An increasing number of criminals use pagers, cellular phones, laptop computers and network servers in the course of committing their crimes. In some cases, computers provide the means of committing crime. For example, the Internet can be used to deliver a death threat via e-mail; to launch hacker attacks against a vulnerable computer network; to disseminate computer viruses; or to transmit images of child pornography. In other cases, computers merely serve as convenient storage devices for evidence of crime. For example, a drug kingpin might keep a list of who owes him money in a file stored in his desktop computer at home, or a money laundering operation might retain false financial records in a file on a network server.
The dramatic increase in computer-related crime requires prosecutors and law enforcement agents to understand how to obtain electronic evidence stored in computers. Electronic records such as computer network logs, e-mails, word processing files, and ".jpg" picture files increasingly provide the government with important (and sometimes essential) evidence in criminal cases. The purpose of this publication is to provide Federal law enforcement agents and prosecutors with systematic guidance that can help them understand the legal issues that arise when they seek electronic evidence in criminal investigations.
The law governing electronic evidence in criminal investigations has two primary sources: the Fourth Amendment to the U.S. Constitution, and the statutory privacy laws codified at 18 U.S.C. §§ 2510-22, 18 U.S.C. §§ 2701-12, and 18 U.S.C. §§ 3121-27. Although constitutional and statutory issues overlap in some cases, most situations present either a constitutional issue under the Fourth Amendment or a statutory issue under these three statutes. This manual reflects that division: Chapters 1 and 2 address the Fourth Amendment law of search and seizure, and Chapters 3 and 4 focus on the statutory issues, which arise mostly in cases involving computer networks and the Internet.
Chapter 1 explains the restrictions that the Fourth Amendment places on the warrantless search and seizure of computers and computer data. The chapter begins by explaining how the courts apply the "reasonable expectation of privacy" test to computers; turns next to how the exceptions to the warrant requirement apply in cases involving computers; and concludes with a comprehensive discussion of the difficult Fourth Amendment issues raised by warrantless workplace searches of computers. Questions addressed in this chapter include: When does the government need a search warrant to search and seize a suspect's computer? Can an investigator search without a warrant through a suspect's pager found incident to arrest? Does the government need a warrant to search a government employee's desktop computer located in the employee's office?
Chapter 2 discusses the law that governs the search and seizure of computers pursuant to search warrants. The chapter begins by reviewing the steps that investigators should follow when planning and executing searches to seize computer hardware and computer data with a warrant. In particular, the chapter focuses on two issues: first, how investigators should plan to execute computer searches, and second, how they should draft the proposed search warrants and their accompanying affidavits. Finally, the chapter ends with a discussion of post-search issues. Questions addressed in the chapter include: When should investigators plan to search computers on the premises, and when should they remove the computer hardware and search it later off-site? How should investigators plan their searches to avoid civil liability under the Privacy Protection Act, 42 U.S.C. § 2000aa? How should prosecutors draft search warrant language so that it complies with the particularity requirement of the Fourth Amendment and Rule 41 of the Federal Rules of Criminal Procedure? What is the law governing when the government must search and return seized computers?
The focus of Chapter 3 is the stored communications portion of the Electronic Communications Privacy Act, 18 U.S.C. §§ 2701-12 ("ECPA"). ECPA governs how investigators can obtain stored account records and contents from network service providers, including Internet service providers (ISPs), telephone companies, cell phone service providers, and satellite services. ECPA issues arise often in cases involving the Internet: any time investigators seek stored information concerning Internet accounts from providers of Internet service, they must comply with the statute. This chapter includes amendments to ECPA specified by the USA PATRIOT Act of 2001, Pub. L. No. 107-56, 115 Stat. 272 (2001) (the "PATRIOT Act"). The PATRIOT Act clarified and updated ECPA in light of modern technologies, and in several respects it eased restrictions on law enforcement access to stored communications. Topics covered in this section include: How can the government obtain e-mails and network account logs from ISPs? When does the government need to obtain a search warrant, as opposed to 18 U.S.C. § 2703(d) order or a subpoena? When can providers disclose e-mails and records to the government voluntarily? What remedies will courts impose when ECPA has been violated?
Chapter 4 reviews the legal framework that governs electronic surveillance, with particular emphasis on how the statutes apply to surveillance on the communications networks. In particular, the chapter discusses Title III as modified by the Electronic Communications Privacy Act, 18 U.S.C. §§ 2510-22 (referred to here as "Title III"), (1) as well as the Pen Register and Trap and Trace Devices statute, 18 U.S.C. §§ 3121-27. This chapter also includes amendments to these statutes specified by the PATRIOT Act. These statutes govern when and how the government can conduct real-time surveillance, such as monitoring a computer hacker's activity as he breaks into a government computer network. Topics addressed in this chapter include: When can victims of computer crime monitor unauthorized intrusions into their networks and disclose that information to law enforcement? Can network "banners" generate implied consent to monitoring? How can the government obtain a pen register/trap and trace order that permits the government to collect packet header information from Internet communications? What remedies will courts impose when the electronic surveillance statutes have been violated?
Of course, the issues discussed in Chapters 1 through 4 can overlap in actual cases. An investigation into computer hacking may begin with obtaining stored records from an ISP according to Chapter 3, move next to an electronic surveillance phase implicating Chapter 4, and then conclude with a search of the suspect's residence and a seizure of his computers according to Chapters 1 and 2. In other cases, agents and prosecutors must understand issues raised in multiple chapters not just in the same case, but at the same time. For example, an investigation into workplace misconduct by a government employee may implicate all of Chapters 1 through 4. Investigators may want to obtain the employee's e-mails from the government network server (implicating ECPA, discussed in Chapter 3); may wish to monitor the employee's use of the telephone or Internet in real-time (raising surveillance issues from Chapter 4); and at the same time, may need to search the employee's desktop computer in his office for clues of the misconduct (raising search and seizure issues from Chapters 1 and 2). Because the constitutional and statutory regimes can overlap in certain cases, agents and prosecutors will need to understand not only all of the legal issues covered in Chapters 1 through 4, but will also need to understand the precise nature of the information to be gathered in their particular cases.
Chapters 1 through 4 are followed by a short Chapter 5, which discusses evidentiary issues that arise frequently in computer-related cases. The publication concludes with appendices that offer sample forms, language, and orders.
Computer crime investigations raise many novel issues, and the courts have only begun to interpret how the Fourth Amendment and federal statutory laws apply to computer-related cases. Agents and prosecutors who need more detailed advice can rely on several resources for further assistance. At the federal district level, every United States Attorney's Office has at least one Assistant U.S. Attorney who has been designated as a Computer and Telecommunications Coordinator ("CTC"). Every CTC receives extensive training in computer-related crime, and is primarily responsible for providing expertise relating to the topics covered in this manual within his or her district. CTCs may be reached in their district offices. Further, several sections within the Criminal Division of the United States Department of Justice in Washington, D.C., have expertise in computer-related fields. The Office of International Affairs ((202) 514-0000) provides expertise in the many computer crime investigations that raise international issues. The Office of Enforcement Operations ((202) 514-6809) provides expertise in the wiretapping laws and other privacy statutes discussed in Chapters 3 and 4. Also, the Child Exploitation and Obscenity Section ((202) 514-5780) provides expertise in computer-related cases involving child pornography and child exploitation.
Finally, agents and prosecutors
are always welcome to contact the Computer Crime and Intellectual Property Section
("CCIPS") directly both for general advice and specific case-related assistance.
During regular business hours, at least two CCIPS attorneys are on duty to answer
questions and provide assistance to agents and prosecutors on the topics covered
in this document, as well as other matters that arise in computer crime cases.
The main number for CCIPS is (202) 514-1026. After hours, CCIPS can be reached
through the Justice Command Center at (202) 514-5000.
The Fourth Amendment limits the ability of government agents to search for evidence without a warrant. This chapter explains the constitutional limits of warrantless searches in cases involving computers.
The Fourth Amendment states:
The right of the people to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no Warrants shall issue, but upon probable cause, supported by Oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized.
According to the Supreme
Court, a warrantless search does not violate the Fourth Amendment if one of
two conditions is satisfied. First, if the government's conduct does not violate
a person's "reasonable expectation of privacy," then formally it does not constitute
a Fourth Amendment "search" and no warrant is required. See
Illinois v. Andreas, 463 U.S.
765, 771 (1983). Second, a warrantless search that violates a person's reasonable
expectation of privacy will nonetheless be "reasonable" (and therefore constitutional)
if it falls within an established exception to the warrant requirement. See
Illinois v. Rodriguez, 497 U.S.
177, 185 (1990). Accordingly, investigators must consider two issues when asking
whether a government search of a computer requires a warrant. First, does the
search violate a reasonable expectation of privacy? And if so, is the search
nonetheless reasonable because it falls within an exception to the warrant requirement?
A search is constitutional if it does not violate a person's "reasonable" or "legitimate" expectation of privacy. Katz v. United States, 389 U.S. 347, 362 (1967) (Harlan, J., concurring). This inquiry embraces two discrete questions: first, whether the individual's conduct reflects "an actual (subjective) expectation of privacy," and second, whether the individual's subjective expectation of privacy is "one that society is prepared to recognize as 'reasonable.'" Id. at 361. In most cases, the difficulty of contesting a defendant's subjective expectation of privacy focuses the analysis on the objective aspect of the Katz test, i.e., whether the individual's expectation of privacy was reasonable.
No bright line rule indicates whether an expectation of privacy is constitutionally reasonable. See O'Connor v. Ortega, 480 U.S. 709, 715 (1987). For example, the Supreme Court has held that a person has a reasonable expectation of privacy in property located inside a person's home, see Payton v. New York, 445 U.S. 573, 589-90 (1980); in "the relative heat of various rooms in the home" revealed through the use of a thermal imager, see Kyllo v. United States, 533 U.S. 27 (2001); in conversations taking place in an enclosed phone booth, see Katz, 389 U.S. at 358; and in the contents of opaque containers, see United States v. Ross, 456 U.S. 798, 822-23 (1982). In contrast, a person does not have a reasonable expectation of privacy in activities conducted in open fields, see Oliver v. United States, 466 U.S. 170, 177 (1984); in garbage deposited at the outskirts of real property, see California v. Greenwood, 486 U.S. 35, 40-41 (1988); or in a stranger's house that the person has entered without the owner's consent in order to commit a theft, see Rakas v. Illinois, 439 U.S. 128, 143 n.12 (1978).
2. Reasonable Expectation of Privacy in Computers as Storage Devices
To determine whether an individual has a reasonable expectation of privacy in information stored in a computer, it helps to treat the computer like a closed container such as a briefcase or file cabinet. The Fourth Amendment generally prohibits law enforcement from accessing and viewing information stored in a computer without a warrant if it would be prohibited from opening a closed container and examining its contents in the same situation.
The most basic Fourth Amendment question in computer cases asks whether an individual enjoys a reasonable expectation of privacy in electronic information stored within computers (or other electronic storage devices) under the individual's control. For example, do individuals have a reasonable expectation of privacy in the contents of their laptop computers, floppy disks or pagers? If the answer is "yes," then the government ordinarily must obtain a warrant before it accesses the information stored inside.
When confronted with this issue, courts have analogized electronic storage devices to closed containers, and have reasoned that accessing the information stored within an electronic storage device is akin to opening a closed container. Because individuals generally retain a reasonable expectation of privacy in the contents of closed containers, see United States v. Ross, 456 U.S. 798, 822-23 (1982), they also generally retain a reasonable expectation of privacy in data held within electronic storage devices. Accordingly, accessing information stored in a computer ordinarily will implicate the owner's reasonable expectation of privacy in the information. See United States v. Barth, 26 F. Supp. 2d 929, 936-37 (W.D. Tex. 1998) (finding reasonable expectation of privacy in files stored on hard drive of personal computer); United States v. Reyes, 922 F. Supp. 818, 832-33 (S.D.N.Y. 1996) (finding reasonable expectation of privacy in data stored in a pager); United States v. Lynch, 908 F. Supp. 284, 287 (D.V.I. 1995) (same); United States v. Chan, 830 F. Supp. 531, 535 (N.D. Cal. 1993) (same); United States v. Blas, 1990 WL 265179, at *21 (E.D. Wis. Dec. 4, 1990) ("[A]n individual has the same expectation of privacy in a pager, computer, or other electronic data storage and retrieval device as in a closed container.").
Although courts have generally agreed that electronic storage devices can be analogized to closed containers, they have reached differing conclusions over whether each individual file stored on a computer or disk should be treated as a separate closed container. In two cases, the Fifth Circuit has determined that a computer disk containing multiple files is a single container for Fourth Amendment purposes. First, in United States v. Runyan, 275 F.3d 449, 464-65 (5th Cir. 2001), in which private parties had searched certain files and found child pornography, the Fifth Circuit held that the police did not exceed the scope of the private search when they examined additional files on any disk that had been, in part, privately searched. Analogizing a disk to a closed container, the court explained that "police do not exceed the private search when they examine more items within a closed container than did the private searchers." Id. at 464. Second, in United States v. Slanina, 283 F.3d 670, 680 (5th Cir. 2002), the court held that when a warrantless search of a portion of a computer and zip disk had been justified, the defendant no longer retained any reasonable expectation of privacy in the remaining contents of the computer and disk, and thus a comprehensive search by law enforcement personnel did not violate the Fourth Amendment.
In contrast to the Fifth Circuit's approach, the Tenth Circuit has refused to allow such exhaustive searches of a computer's hard in the absence of a warrant or some exception to the warrant requirement. See United States v. Carey, 172 F.3d 1268, 1273-75 (10th Cir. 1999) (ruling that agent exceeded the scope of a warrant to search for evidence of drug sales when he "abandoned that search" and instead searched for evidence of child pornography for five hours). In particular, the Tenth Circuit cautioned in a later case that "[b]ecause computers can hold so much information touching on many different areas of a person's life, there is greater potential for the 'intermingling' of documents and a consequent invasion of privacy when police execute a search for evidence on a computer." United States v. Walser, 275 F.3d 981, 986 (10th Cir. 2001).
Although individuals generally retain a reasonable expectation of privacy in computers under their control, special circumstances may eliminate that expectation. For example, an individual will not retain a reasonable expectation of privacy in information from a computer that the person has made openly available. In United States v. David, 756 F. Supp. 1385 (D. Nev. 1991), agents looking over the defendant's shoulder read the defendant's password from the screen as the defendant typed his password into a handheld computer. The court found no Fourth Amendment violation in obtaining the password, because the defendant did not enjoy a reasonable expectation of privacy "in the display that appeared on the screen." Id. at 1389. See also Katz v. United States, 389 U.S. 347, 351 (1967) ("What a person knowingly exposes to the public, even in his own home or office, is not a subject of Fourth Amendment protection."); United States v. Gorshkov, 2001 WL 1024026, at *2 (W.D. Wash. May 23, 2001) (holding that defendant did not have a reasonable expectation of privacy in use of a private computer network when undercover federal agents looked over his shoulder, when he did not own the computer he used, and when he knew that the system administrator could monitor his activities). Nor will individuals generally enjoy a reasonable expectation of privacy in the contents of computers they have stolen. See United States v. Lyons, 992 F.2d 1029, 1031-32 (10th Cir. 1993).
3. Reasonable Expectation of Privacy and Third-Party Possession
Individuals who retain a reasonable expectation of privacy in stored electronic information under their control may lose Fourth Amendment protections when they relinquish that control to third parties. For example, an individual may offer a container of electronic information to a third party by bringing a malfunctioning computer to a repair shop, or by shipping a floppy diskette in the mail to a friend. Alternatively, a user may transmit information to third parties electronically, such as by sending data across the Internet. When law enforcement agents learn of information possessed by third parties that may provide evidence of a crime, they may wish to inspect it. Whether the Fourth Amendment requires them to obtain a warrant before examining the information depends first upon whether the third-party possession has eliminated the individual's reasonable expectation of privacy.
To analyze third-party possession issues, it helps first to distinguish between possession by a carrier in the course of transmission to an intended recipient, and subsequent possession by the intended recipient. For example, if A hires B to carry a package to C, A's reasonable expectation of privacy in the contents of the package during the time that B carries the package on its way to C may be different than A's reasonable expectation of privacy after C has received the package. During transmission, contents generally retain Fourth Amendment protection. The government ordinarily may not examine the contents of a package in the course of transmission without a warrant. Government intrusion and examination of the contents ordinarily violates the reasonable expectation of privacy of both the sender and receiver. See United States v. Villarreal, 963 F.2d 770, 774 (5th Cir. 1992); but see United States v. Walker, 20 F. Supp. 2d 971, 973-74 (S.D.W. Va. 1998) (concluding that packages sent to an alias in furtherance of a criminal scheme do not support a reasonable expectation of privacy). This rule applies regardless of whether the carrier is owned by the government or a private company. Compare Ex Parte Jackson, 96 U.S. (6 Otto) 727, 733 (1877) (public carrier) with Walter v. United States, 447 U.S. 649, 651 (1980) (private carrier).
A government "search" of an intangible electronic signal in the course of transmission may also implicate the Fourth Amendment. See Berger v. New York, 388 U.S. 41, 58-60 (1967) (applying the Fourth Amendment to a wire communication in the context of a wiretap). The boundaries of the Fourth Amendment in such cases remain hazy, however, because Congress addressed the Fourth Amendment concerns identified in Berger by passing Title III of the Omnibus Crime Control and Safe Streets Act of 1968 ("Title III"), 18 U.S.C. §§ 2510-2522. Title III, which is discussed fully in Chapter 4, provides a comprehensive statutory framework that regulates real-time monitoring of wire and electronic communications. Its scope encompasses, and in many significant ways exceeds, the protection offered by the Fourth Amendment. See United States v. Torres, 751 F.2d 875, 884 (7th Cir. 1985); Chandler v. United States Army, 125 F.3d 1296, 1298 (9th Cir. 1997). As a practical matter, then, the monitoring of wire and electronic communications in the course of transmission generally raises many statutory questions, but few constitutional ones. See generally Chapter 4.
Individuals may lose Fourth Amendment protection in their computer files if they lose control of the files.
Once an item has been received by the intended recipient, the sender's reasonable expectation of privacy generally depends upon whether the sender can reasonably expect to retain control over the item and its contents. When a person leaves a package with a third party for temporary safekeeping, for example, he usually retains control of the package, and thus retains a reasonable expectation of privacy in its contents. See, e.g., United States v. Most, 876 F.2d 191, 197-98 (D.C. Cir. 1989) (finding reasonable expectation of privacy in contents of plastic bag left with grocery store clerk); United States v. Barry, 853 F.2d 1479, 1481-83 (8th Cir. 1988) (finding reasonable expectation of privacy in locked suitcase stored at airport baggage counter); United States v. Presler, 610 F.2d 1206, 1213-14 (4th Cir. 1979) (finding reasonable expectation of privacy in locked briefcases stored with defendant's friend for safekeeping). See also United States v. Barth, 26 F. Supp. 2d 929, 936-37 (W.D. Tex. 1998) (holding that defendant retains a reasonable expectation of privacy in computer files contained in hard drive left with computer technician for limited purpose of repairing computer).
If the sender cannot reasonably expect to retain control over the item in the third party's possession, however, the sender no longer retains a reasonable expectation of privacy in its contents. For example, in United States v. Horowitz, 806 F.2d 1222 (4th Cir. 1986), the defendant e-mailed confidential pricing information relating to his employer to his employer's competitor. After the FBI searched the competitor's computers and found the pricing information, the defendant claimed that the search violated his Fourth Amendment rights. The Fourth Circuit disagreed, holding that the defendant relinquished his interest in and control over the information by sending it to the competitor for the competitor's future use. See id. at 1225-26. See also United States v. Charbonneau, 979 F. Supp. 1177, 1184 (S.D. Ohio 1997) (holding that defendant does not retain reasonable expectation of privacy in contents of e-mail message sent to America Online chat room after the message has been received by chat room participants) (citing Hoffa v. United States, 385 U.S. 293, 302 (1966)). In some cases, the sender may initially retain a right to control the third party's possession, but may lose that right over time. The general rule is that the sender's Fourth Amendment rights dissipate as the sender's right to control the third party's possession diminishes. For example, in United States v. Poulsen, 41 F.3d 1330 (9th Cir. 1994), computer hacker Kevin Poulsen left computer tapes in a locker at a commercial storage facility but neglected to pay rent for the locker. Following a warrantless search of the facility, the government sought to use the tapes against Poulsen. The Ninth Circuit held that the search did not violate Poulsen's reasonable expectation of privacy because under state law Poulsen's failure to pay rent extinguished his right to access the tapes. See id. at 1337.
An important line of Supreme Court cases states that individuals generally cannot reasonably expect to retain control over mere information revealed to third parties, even if the senders have a subjective expectation that the third parties will keep the information confidential. For example, in United States v. Miller, 425 U.S. 435, 443 (1976), the Court held that the Fourth Amendment does not protect bank account information that account holders divulge to their banks. By placing information under the control of a third party, the Court stated, an account holder assumes the risk that the information will be conveyed to the government. Id. According to the Court, "the Fourth Amendment does not prohibit the obtaining of information revealed to a third party and conveyed by him to Government authorities, even if the information is revealed on the assumption that it will be used only for a limited purpose and the confidence placed in the third party will not be betrayed." Id. (citing Hoffa v. United States, 385 U.S. 293, 302 (1966)). See also Smith v. Maryland, 442 U.S. 735, 743-44 (1979) (finding no reasonable expectation of privacy in phone numbers dialed by owner of a telephone because act of dialing the number effectively tells the number to the phone company); Couch v. United States, 409 U.S. 322, 335 (1973) (holding that government may subpoena accountant for client information given to accountant by client, because client retains no reasonable expectation of privacy in information given to accountant).
Because computer data is "information," this line of cases suggests that individuals who send data over communications networks may lose Fourth Amendment protection in the data once it reaches the intended recipient. See United States v. Meriwether, 917 F.2d 955, 959 (6th Cir. 1990) (suggesting that an electronic message sent via a pager is "information" under the Smith/Miller line of cases); Charbonneau, 979 F. Supp. at 1184 ("[A]n e-mail message . . . cannot be afforded a reasonable expectation of privacy once that message is received."). But see C. Ryan Reetz, Note, Warrant Requirement for Searches of Computerized Information, 67 B.U. L. Rev. 179, 200-06 (1987) (arguing that certain kinds of remotely stored computer files should retain Fourth Amendment protection, and attempting to distinguish United States v. Miller and Smith v. Maryland). Of course, the absence of constitutional protections does not necessarily mean that the government can access the data without a warrant or court order. Statutory protections exist that generally protect the privacy of electronic communications stored remotely with service providers, and can protect the privacy of Internet users when the Fourth Amendment may not. See 18 U.S.C. §§ 2701-2712 (discussed in Chapter 3, infra).
Defendants will occasionally raise a Fourth Amendment challenge to the acquisition of account records and subscriber information held by Internet service providers using less process than a full search warrant. As discussed in a later chapter, the Electronic Communications Privacy Act permits the government to obtain transactional records with an "articulable facts" court order, and basic subscriber information with a subpoena. See 18 U.S.C. §§ 2701-2712 (discussed in Chapter 3, infra). These statutory procedures comply with the Fourth Amendment because customers of Internet service providers do not have a reasonable expectation of privacy in customer account records maintained by and for the provider's business. See United States v. Hambrick, 55 F. Supp. 2d 504, 508 (W.D. Va. 1999), aff'd, 225 F.3d 656 (4th Cir. 2000) (unpublished opinion) (finding no Fourth Amendment protection for network account holder's basic subscriber information obtained from Internet service provider); United States v. Kennedy, 81 F. Supp. 2d 1103, 1110) (D. Kan. 2000) (same). This rule accords with prior cases considering the scope of Fourth Amendment protection in customer account records. See, e.g., United States v. Fregoso, 60 F.3d 1314, 1321 (8th Cir. 1995) (holding that a telephone company customer has no reasonable expectation of privacy in account information disclosed to the telephone company); In re Grand Jury Proceedings, 827 F.2d 301, 302-03 (8th Cir. 1987) (holding that customer account records maintained and held by Western Union are not entitled to Fourth Amendment protection).
4. Private Searches
The Fourth Amendment does not apply to searches conducted by private parties who are not acting as agents of the government.
The Fourth Amendment "is wholly inapplicable to a search or seizure, even an unreasonable one, effected by a private individual not acting as an agent of the Government or with the participation or knowledge of any governmental official." United States v. Jacobsen, 466 U.S. 109, 113 (1984) (internal quotation omitted). As a result, no violation of the Fourth Amendment occurs when a private individual acting on his own accord conducts a search and makes the results available to law enforcement. See id. For example, in United States v. Hall, 142 F.3d 988 (7th Cir. 1998), the defendant took his computer to a private computer specialist for repairs. In the course of evaluating the defendant's computer, the repairman observed that many files stored on the computer had filenames characteristic of child pornography. The repairman accessed the files, saw that they did in fact contain child pornography, and then contacted the state police. The tip led to a warrant, the defendant's arrest, and his conviction for child pornography offenses. On appeal, the Seventh Circuit rejected the defendant's claim that the repairman's warrantless search through the computer violated the Fourth Amendment. Because the repairman's search was conducted on his own, the court held, the Fourth Amendment did not apply to the search or his later description of the evidence to the state police. See id. at 993. See also United States v. Kennedy, 81 F. Supp. 2d 1103, 1112 (D. Kan. 2000) (concluding that searches of defendant's computer over the Internet by an anonymous caller and employees of a private ISP did not violate Fourth Amendment because there was no evidence that the government was involved in the search).
In United States v. Jacobsen, 466 U.S. 109 (1984), the Supreme Court presented the framework that should guide agents seeking to uncover evidence as a result of a private search. According to Jacobsen, agents who learn of evidence via a private search can reenact the original private search without violating any reasonable expectation of privacy. What the agents cannot do without a warrant is "exceed[] the scope of the private search." Id. at 115. See also United States v. Miller, 152 F.3d 813, 815-16 (8th Cir. 1998); United States v. Donnes, 947 F.2d 1430, 1434 (10th Cir. 1991). But see United States v. Allen, 106 F.3d 695, 699 (6th Cir. 1999) (dicta) (stating in dicta that Jacobsen does not permit law enforcement to reenact a private search of a private home or residence). This standard requires agents to limit their investigation to the scope of the private search when searching without a warrant after a private search has occurred. So long as the agents limit themselves to the scope of the private search, the agents' search will not violate the Fourth Amendment. However, as soon as agents exceed the scope of the private warrantless search, any evidence uncovered may be vulnerable to a motion to suppress.
In computer cases, law enforcement use of the private search doctrine will depend in part on whether law enforcement examination of files not examined during the private search is seen as exceeding the scope of the private warrantless search. See United States v. Runyan, 275 F.3d 449, 464-65 (5th Cir. 2001) (holding that police did not exceed the scope of a private search when they examined more files on privately searched disks than had the private searchers). Under the approach adopted by the Fifth Circuit in Runyan, a third-party search of a single file on a computer allows a warrantless search by law enforcement of the computer's entire contents. Other courts, however, may reject the Fifth Circuit's approach and rule that government searchers can view only those files whose contents were revealed in the private search. See United States v. Barth, 26 F. Supp. 2d 929, 937 (W.D. Tex. 1998) (holding, in a pre-Runyan case, that agents who viewed more files than private searcher exceeded the scope of the private search). Even if courts follow the more restrictive approach, the information gleaned from the private search will often be useful in providing the probable cause needed to obtain a warrant for a further search. (2)
Although most private search issues arise when private third parties intentionally examine property and offer evidence of a crime to law enforcement, the same framework applies when third parties inadvertently expose evidence of a crime to plain view. For example, in United States v. Procopio, 88 F.3d 21 (1st Cir. 1996), a defendant stored incriminating files in his brother's safe. Later, thieves stole the safe, opened it, and abandoned it in a public park. Police investigating the theft of the safe found the files scattered on the ground nearby, gathered them, and then used them against the defendant in an unrelated case. The First Circuit held that the use of the files did not violate the Fourth Amendment, because the files were made openly available by the thieves' private search. See id. at 26-27 (citing Jacobsen, 466 U.S. at 113).
Importantly, the fact that the person conducting a search is not a government employee does not always mean that the search is "private" for Fourth Amendment purposes. A search by a private party will be considered a Fourth Amendment government search "if the private party act[s] as an instrument or agent of the Government." Skinner v. Railway Labor Executives' Ass'n, 489 U.S. 602, 614 (1989). The Supreme Court has offered little guidance on when private conduct can be attributed to the government; the Court has merely stated that this question "necessarily turns on the degree of the Government's participation in the private party's activities, . . . a question that can only be resolved 'in light of all the circumstances.'" Id. at 614-15 (quoting Coolidge v. New Hampshire, 403 U.S. 443, 487 (1971)). In the absence of a more definitive standard, the various federal Courts of Appeals have adopted a range of approaches for distinguishing between private and government searches. About half of the circuits apply a "totality of the circumstances" approach that examines three factors: whether the government knows of or acquiesces in the intrusive conduct; whether the party performing the search intends to assist law enforcement efforts at the time of the search; and whether the government affirmatively encourages, initiates or instigates the private action. See, e.g., United States v. Pervaz, 118 F.3d 1, 6 (1st Cir. 1997); United States v. Smythe, 84 F.3d 1240, 1242-43 (10th Cir. 1996); United States v. McAllister, 18 F.3d 1412, 1417-18 (7th Cir. 1994); United States v. Malbrough, 922 F.2d 458, 462 (8th Cir. 1990). Other circuits have adopted more rule-like formulations that focus on only two of these factors. See, e.g., United States v. Miller, 688 F.2d 652, 657 (9th Cir. 1982) (holding that private action counts as government conduct if, at the time of the search, the government knew of or acquiesced in the intrusive conduct, and the party performing the search intended to assist law enforcement efforts); United States v. Paige, 136 F.3d 1012, 1017 (5th Cir. 1998) (same); United States v. Lambert, 771 F.2d 83, 89 (6th Cir. 1985) (holding that a private individual is a state actor for Fourth Amendment purposes if the police instigated, encouraged or participated in the search, and the individual engaged in the search with the intent of assisting the police in their investigative efforts).
5. Use of Technology to Obtain Information
The government's use of
innovative technology to obtain information about a target can implicate the
Fourth Amendment. See Kyllo
v. United States, 533 U.S. 27 (2001). In Kyllo,
the Supreme Court held that the warrantless use of a thermal imager to reveal
the relative amount of heat released from the various rooms of a suspect's home
was a search that violated the Fourth Amendment. In particular, the Court held
that where law enforcement "uses a device that is not in general public use,
to explore details of the home that would previously have been unknowable without
a physical intrusion, the surveillance is a 'search' and is presumptively unreasonable
without a warrant." Id. at 40.
Use by the government of innovative technology not in general public use to
obtain information stored on or transmitted through computers or networks may
implicate this rule from Kyllo
and thus may require a warrant. Whether a technology falls within the scope
of the Kyllo rule depends on
at least two factors. First, the use of technology should not implicate Kyllo
if the technology is in "general public use," see
id. at 34 & 39 n.6, although
courts have not yet defined the standard for determining whether a given technology
meets this requirement. Second, the Supreme Court restricted its holding in
Kyllo to the use of technology
to reveal information about "the interior of the home." See
id. at 40 ("We have said that
the Fourth Amendment draws a firm line at the entrance to the house." (internal
citation omitted)).
C. Exceptions to the Warrant Requirement in Cases Involving Computers
Warrantless searches that violate a reasonable expectation of privacy will comply with the Fourth Amendment if they fall within an established exception to the warrant requirement. Cases involving computers often raise questions relating to how these "established" exceptions apply to new technologies.
1. Consent
Agents may search a place or object without a warrant or even probable cause if a person with authority has voluntarily consented to the search. See Schneckloth v. Bustamonte, 412 U.S. 218, 219 (1973). This consent may be explicit or implicit. See United States v. Milian-Rodriguez, 759 F.2d 1558, 1563-64 (11th Cir. 1985). Whether consent was voluntarily given is a question of fact that the court must decide by considering the totality of the circumstances. While no single aspect controls the result, the Supreme Court has identified the following important factors: the age, education, intelligence, physical and mental condition of the person giving consent; whether the person was under arrest; and whether the person had been advised of his right to refuse consent. See Schneckloth, 412 U.S. at 226. The government carries the burden of proving that consent was voluntary. See United States v. Matlock, 415 U.S. 164, 177 (1974); United States v. Price, 599 F.2d 494, 503 (2d Cir. 1979).
In computer crime cases, two consent issues arise particularly often. First, when does a search exceed the scope of consent? For example, when a target consents to the search of a machine, to what extent does the consent authorize the retrieval of information stored in the machine? Second, who is the proper party to consent to a search? Do roommates, friends, and parents have the authority to consent to a search of another person's computer files? (3)
a) Scope of Consent
"The scope of a consent to search is generally defined by its expressed object, and is limited by the breadth of the consent given." United States v. Pena, 143 F.3d 1363, 1368 (10th Cir. 1998) (internal quotation omitted). The standard for measuring the scope of consent under the Fourth Amendment is objective reasonableness: "What would the typical reasonable person have understood by the exchange between the [agent] and the [person granting consent]?" Florida v. Jimeno, 500 U.S. 248, 251 (1991). This requires a fact-intensive inquiry into whether it was reasonable for the agent to believe that the scope of consent included the items searched. Id. Of course, when the limits of the consent are clearly given, either before or during the search, agents must respect these bounds. See Vaughn v. Baldwin, 950 F.2d 331, 333 (6th Cir. 1991).
The permitted scope of consent searches depends on the facts of each case.
Computer cases often raise the question of whether consent to search a location or item implicitly includes consent to access the memory of electronic storage devices encountered during the search. In such cases, courts look to whether the particular circumstances of the agents' request for consent implicitly or explicitly limited the scope of the search to a particular type, scope, or duration. Because this approach ultimately relies on fact-driven notions of common sense, results reached in published opinions have hinged upon subtle (if not entirely inscrutable) distinctions. Compare United States v. Reyes, 922 F. Supp. 818, 834 (S.D.N.Y. 1996) (holding that consent to "look inside" a car included consent to retrieve numbers stored inside pagers found in car's back seat) with United States v. Blas, 1990 WL 265179, at *20 (E.D. Wis. Dec. 4, 1990) (holding that consent to "look at" a pager did not include consent to activate pager and retrieve numbers, because looking at pager could be construed to mean "what the device is, or how small it is, or what brand of pager it may be"). See also United States v. Carey, 172 F.3d 1268, 1274 (10th Cir. 1999) (reading written consent form extremely narrowly, so that consent to seizure of "any property" under the defendant's control and to "a complete search of the premises and property" at the defendant's address merely permitted the agents to seize the defendant's computer from his apartment, not to search the computer off-site because it was no longer located at the defendant's address). Prosecutors can strengthen their argument that the scope of consent included consent to search electronic storage devices by relying on analogous cases involving closed containers. See, e.g., United States v. Galante, 1995 WL 507249, at *3 (S.D.N.Y. Aug. 25, 1995) (holding that general consent to search car included consent to have officer access memory of cellular telephone found in the car, relying on circuit precedent involving closed containers); Reyes, 922 F. Supp. at 834.
Agents should be especially careful about relying on consent as the basis for a search of a computer when they obtain consent for one reason but then wish to conduct a search for another reason. In two recent cases, the Courts of Appeals suppressed images of child pornography found on computers after agents procured the defendant's consent to search his property for other evidence. In United States v. Turner, 169 F.3d 84 (1st Cir. 1999), detectives searching for physical evidence of an attempted sexual assault obtained written consent from the victim's neighbor to search the neighbor's "premises" and "personal property." Before the neighbor signed the consent form, the detectives discovered a large knife and blood stains in his apartment, and explained to him that they were looking for more evidence of the assault that the suspect might have left behind. See id. at 86. While several agents searched for physical evidence, one detective searched the contents of the neighbor's personal computer and discovered stored images of child pornography. The neighbor was charged with possessing child pornography. On interlocutory appeal, the First Circuit held that the search of the computer exceeded the scope of consent and suppressed the evidence. According to the Court, the detectives' statements that they were looking for signs of the assault limited the scope of consent to the kind of physical evidence that an intruder might have left behind. See id. at 88. By transforming the search for physical evidence into a search for computer files, the detective had exceeded the scope of consent. See id. See also Carey, 172 F.3d at 1277 (Baldock, J., concurring) (concluding that agents exceeded scope of consent by searching computer after defendant signed broadly-worded written consent form, because agents told defendant that they were looking for drugs and drug-related items rather than computer files containing child pornography) (citing Turner).
It is a good practice for agents to use written consent forms that state explicitly that the scope of consent includes consent to search computers and other electronic storage devices.
Because the decisions evaluating the scope of consent to search computers have reached sometimes unpredictable results, investigators should indicate the scope of the search explicitly when obtaining a suspect's consent to search a computer.
b) Third-Party Consent
i) General Rules
It is common for several people to use or own the same computer equipment. If any one of those people gives permission to search for data, agents may generally rely on that consent, so long as the person has authority over the computer. In such cases, all users have assumed the risk that a co-user might discover everything in the computer, and might also permit law enforcement to search this "common area" as well.
The watershed case in this area is United States v. Matlock, 415 U.S. 164 (1974). In Matlock, the Supreme Court stated that one who has "common authority" over premises or effects may consent to a search even if an absent co-user objects. Id. at 171. According to the Court, the common authority that establishes the right of third-party consent requires
mutual use of the property by persons generally having joint access or control for most purposes, so that it is reasonable to recognize that any of the co-inhabitants has the right to permit the inspection in his own right and that the others have assumed the risk that one of their number might permit the common area to be searched.
Id. at 171 n.7.
Under the Matlock approach, a private third party may consent to a search of property under the third party's joint access or control. Agents may view what the third party may see without violating any reasonable expectation of privacy so long as they limit the search to the zone of the consenting third party's common authority. See United States v. Jacobsen, 466 U.S. 109, 119 (1984) (noting that the Fourth Amendment is not violated when a private third party invites the government to view the contents of a package under the third party's control). This rule often requires agents to inquire into third parties's rights of access before conducting a consent search, and to draw lines between those areas that fall within the third party's common authority and those areas outside of the third party's control. See United States v. Block, 590 F.2d 535, 541 (4th Cir. 1978) (holding that a mother could consent to a general search of her 23-year-old son's room, but could not consent to a search of a locked footlocker found in the room). Because the joint access test does not require a unity of interests between the suspect and the third party, however, Matlock permits third-party consent even when the target of the search is present and refuses to consent to the search. See United States v. Sumlin, 567 F.2d 684, 687-88 (6th Cir. 1977) (holding that woman had authority to consent to search of apartment she shared with her boyfriend even though boyfriend refused consent).
Co-users of a computer will generally have the ability to consent to a search of its files under Matlock. See United States v. Smith, 27 F. Supp. 2d 1111, 1115-16 (C.D. Ill. 1998) (concluding that a woman could consent to a search of her boyfriend's computer located in their house, and noting that the boyfriend had not password-protected his files). However, when an individual protects her files with passwords and has not shared the passwords with others who also use the computer, the Fourth Circuit has held that the authority of those other users to consent to search of the computer will not extend to the password-protected files. See Trulock v. Freeh, 275 F.3d 391, 403-04 (4th Cir. 2001) (analogizing password-protected files to locked footlockers inside a bedroom, which the court had previously held to be outside the scope of common authority consent). Conversely, if the co-user has been given the password by the suspect, then she probably has the requisite common authority to consent to a search of the files under Matlock. See United States v. Murphy, 506 F.2d 529, 530 (9th Cir. 1974) (per curiam) (concluding that an employee could consent to a search of an employer's locked warehouse because the employee possessed the key, and finding "special significance" in the fact that the employer had himself delivered the key to the employee).
As a practical matter, agents may have little way of knowing the precise bounds of a third party's common authority when the agents obtain third-party consent to conduct a search. When queried, consenting third parties may falsely claim that they have common authority over property. In Illinois v. Rodriguez, 497 U.S. 177 (1990), the Supreme Court held that the Fourth Amendment does not automatically require suppression of evidence discovered during a consent search when it later comes to light that the third party who consented to the search lacked the authority to do so. See id. at 188-89. Instead, the Court held that agents can rely on a claim of authority to consent if based on "the facts available to the officer at the moment, . . . a man of reasonable caution . . . [would believe] that the consenting party had authority" to consent to a search of the premises. Id. (internal quotations omitted) (quoting Terry v. Ohio, 392 U.S. 1, 21-22 (1968)). When agents reasonably rely on apparent authority to consent, the resulting search does not violate the Fourth Amendment.
ii) Spouses and Domestic Partners
Most spousal consent searches are valid.
Absent an affirmative showing that the consenting spouse has no access to the property searched, the courts generally hold that either spouse may consent to search all of the couple's property. See, e.g., United States v. Duran, 957 F.2d 499, 504-05 (7th Cir. 1992) (concluding that wife could consent to search of barn she did not use because husband had not denied her the right to enter barn); United States v. Long, 524 F.2d 660, 661 (9th Cir. 1975) (holding that wife who had left her husband could consent to search of jointly-owned home even though husband had changed the locks). For example, in United States v. Smith, 27 F. Supp. 2d 1111 (C.D. Ill. 1998), a man named Smith was living with a woman named Ushman and her two daughters. When allegations of child molestation were raised against Smith, Ushman consented to the search of his computer, which was located in the house in an alcove connected to the master bedroom. Although Ushman used Smith's computer only rarely, the district court held that she could consent to the search of Smith's computer. Because Ushman was not prohibited from entering the alcove and Smith had not password-protected the computer, the court reasoned, she had authority to consent to the search. See id. at 1115-16. Even if she lacked actual authority to consent, the court added, she had apparent authority to consent. See id. at 1116 (citing Illinois v. Rodriguez).
iii) Parents
Parents can consent to searches of their children's rooms when the children are under 18 years old. If the children are 18 or older, the parents may or may not be able to consent, depending on the facts.
In some computer crime cases, the perpetrators are relatively young and reside with their parents. When the perpetrator is a minor, parental consent to search the perpetrator's property and living space will almost always be valid. See 3 W. LaFave,Search and Seizure: A Treatise on the Fourth Amendment § 8.4(b) at 283 (2d ed. 1987) (noting that courts have rejected "even rather extraordinary efforts by [minor] child[ren] to establish exclusive use.").
When the sons and daughters who reside with their parents are legal adults, however, the issue is more complicated. Under Matlock, it is clear that parents may consent to a search of common areas in the family home regardless of the perpetrator's age. See, e.g., United States v. Lavin, 1992 WL 373486, at *6 (S.D.N.Y. Nov. 30, 1992) (recognizing right of parents to consent to search of basement room where son kept his computer and files). When agents would like to search an adult child's room or other private areas, however, agents cannot assume that the adult's parents have authority to consent. Although courts have offered divergent approaches, they have paid particular attention to three factors: the suspect's age; whether the suspect pays rent; and whether the suspect has taken affirmative steps to deny his or her parents access to the suspect's room or private area. When suspects are older, pay rent, and/or deny access to parents, courts have generally held that parents may not consent. See United States v. Whitfield, 939 F.2d 1071, 1075 (D.C. Cir. 1991) (holding "cursory questioning" of suspect's mother insufficient to establish right to consent to search of 29-year-old son's room); United States v. Durham, 1998 WL 684241, at *4 (D. Kan. Sept. 11, 1998) (mother had neither apparent nor actual authority to consent to search of 24-year-old son's room, because son had changed the locks to the room without telling his mother, and son also paid rent for the room). In contrast, parents usually may consent if their adult children do not pay rent, are fairly young, and have taken no steps to deny their parents access to the space to be searched. See United States v. Rith, 164 F.3d 1323, 1331 (10th Cir. 1999) (suggesting that parents are presumed to have authority to consent to a search of their 18-year-old son's room because he did not pay rent); United States v. Block, 590 F.2d 535, 541 (4th Cir. 1978) (mother could consent to police search of 23-year-old son's room when son did not pay rent).
iv) System Administrators
Every computer network is managed by a "system administrator" or "system operator" whose job is to keep the network running smoothly, monitor security, and repair the network when problems arise. System operators have "root level" access to the systems they administer, which effectively grants them master keys to open any account and read any file on their systems. When investigators suspect that a network account contains relevant evidence, they may feel inclined to seek the system administrator's consent to search the contents of that account.
As a practical matter, the primary barrier to searching a network account pursuant to a system administrator's consent is statutory, not constitutional. System administrators typically serve as agents of "provider[s] of electronic communication service" under the Electronic Communications Privacy Act ("ECPA"), 18 U.S.C. §§ 2701-2712. ECPA regulates law enforcement efforts to obtain the consent of a system administrator to search an individual's account. See 18 U.S.C. § 2702-2703. Accordingly, any attempt to obtain a system administrator's consent to search an account must comply with ECPA. Seegenerally Chapter 3, "The Electronic Communications Privacy Act," infra.
To the extent that ECPA authorizes system administrators to consent to searches, the resulting consent searches will in most cases comply with the Fourth Amendment. Most fundamentally, it may be that individuals retain no reasonable expectation of privacy in the remotely stored files and records that their network accounts contain. See generally Chapter I.B.3, supra. If an individual does not retain a constitutionally reasonable expectation of privacy in his remotely stored files, it will not matter whether the system administrator has the necessary joint control over the account needed to satisfy the Matlock test because a subsequent search will not violate the Fourth Amendment.
In the event that a court holds that an individual does possess a reasonable expectation of privacy in remotely stored account files, whether a system administrator's consent would satisfy Matlock would depend on the circumstances. Clearly, the system administrator's access to all network files does not by itself provide the common authority that triggers authority to consent. In the pre-Matlock case of Stoner v. California, 376 U.S. 483 (1964), the Supreme Court held that a hotel clerk lacked the authority to consent to the search of a hotel room. Although the clerk was permitted to enter the room to perform his duties, and the guest had left his room key with the clerk, the Court concluded that the clerk could not consent to the search. If the hotel guest's protection from unreasonable searches and seizures "were left to depend on the unfettered discretion of an employee of the hotel," Justice Stewart reasoned, it would "disappear." Id. at 490. See also Chapman v. United States, 365 U.S. 610 (1961) (holding that a landlord lacks authority to consent to search of premises used by tenant); United States v. Most, 876 F.2d 191, 199-200 (D.C. Cir. 1989) (holding that store clerk lacks authority to consent to search of packages left with clerk for safekeeping). To the extent that the access of a system operator to a network account is analogous to the access of a hotel clerk to a hotel room, the claim that a system operator may consent to a search of Fourth Amendment-protected files is weak. Cf. Barth, 26 F. Supp. 2d at 938 (holding that computer repairman's right to access files for limited purpose of repairing computer did not create authority to consent to government search through files).
Of course, the hotel clerk analogy may be inadequate in some circumstances. For example, an employee generally does not have the same relationship with the system administrator of his company's network as a customer of a private ISP such as AOL might have with the ISP's system administrator. The company may grant the system administrator of the company network full rights to access employee accounts for any work-related reason, and the employees may know that the system administrator has such access. In circumstances such as this, the system administrator would likely have sufficient common authority over the accounts to be able to consent to a search. See generally Note, Keeping Secrets in Cyberspace: Establishing Fourth Amendment Protection for Internet Communication, 110 Harv. L. Rev. 1591, 1602-03 (1997). See also United States v. Clarke, 2 F.3d 81, 85 (4th Cir. 1993) (holding that a drug courier hired to transport the defendant's locked toolbox containing drugs had common authority under Matlock to consent to a search of the toolbox stored in the courier's trunk). Further, in the case of a government network, the Fourth Amendment rules would likely differ dramatically from the rules that apply to private networks. See generally O'Connor v. Ortega, 480 U.S. 709 (1987) (explaining how the Fourth Amendment applies within government workplaces) (discussed infra).
Individuals often enter into agreements with the government in which they waive some of their Fourth Amendment rights. For example, prison guards may agree to be searched for drugs as a condition of employment, and visitors to government buildings may agree to a limited search of their person and property as a condition of entrance. Similarly, users of computer systems may waive their rights to privacy as a condition of using the systems. When individuals who have waived their rights are then searched and challenge the searches on Fourth Amendment grounds, courts typically focus on whether the waiver eliminated the individual's reasonable expectation of privacy against the search. See, e.g., American Postal Workers Union, Columbus Area Local AFL-CIO v. United States Postal Service, 871 F.2d 556, 56-61 (6th Cir. 1989) (holding that postal employees retained no reasonable expectation of privacy in government lockers after signing waivers).
A few courts have approached the same problem from a slightly different direction and have asked whether the waiver established implied consent to the search. According to the doctrine of implied consent, consent to a search may be inferred from an individual's conduct. For example, in United States v. Ellis, 547 F.2d 863 (5th Cir. 1977), a civilian visiting a naval air station agreed to post a visitor's pass on the windshield of his car as a condition of bringing the car on the base. The pass stated that "[a]cceptance of this pass gives your consent to search this vehicle while entering, aboard, or leaving this station." Id. at 865 n.1. During the visitor's stay on the base, a station investigator who suspected that the visitor had stored marijuana in the car approached the visitor and asked him if he had read the pass. After the visitor admitted that he had, the investigator searched the car and found 20 plastic bags containing marijuana. The Fifth Circuit ruled that the warrantless search of the car was permissible, because the visitor had impliedly consented to the search when he knowingly and voluntarily entered the base with full knowledge of the terms of the visitor's pass. See id. at 866-67.
Ellis notwithstanding, it must be noted that several circuits have been critical of the implied consent doctrine in the Fourth Amendment context. Despite the Fifth Circuit's broad construction, other courts have proven reluctant to apply the doctrine absent evidence that the suspect actually knew of the search and voluntarily consented to it at the time the search occurred. See McGann v. Northeast Illinois Regional Commuter R.R. Corp., 8 F.3d 1174, 1180 (7th Cir. 1993) ("Courts confronted with claims of implied consent have been reluctant to uphold a warrantless search based simply on actions taken in the light of a posted notice."); Securities and Law Enforcement Employees, District Council 82 v. Carey, 737 F.2d 187, 202 n.23 (2d Cir. 1984) (rejecting argument that prison guards impliedly consented to search by accepting employment at prison where consent to search was a condition of employment). Absent such evidence, these courts have preferred to examine general waivers of Fourth Amendment rights solely under the reasonable-expectation-of-privacy test. See id.
2. Exigent Circumstances
Under the "exigent circumstances" exception to the warrant requirement, agents can search without a warrant if the circumstances "would cause a reasonable person to believe that entry . . . was necessary to prevent physical harm to the officers or other persons, the destruction of relevant evidence, the escape of the suspect, or some other consequence improperly frustrating legitimate law enforcement efforts." See United States v. McConney, 728 F.2d 1195, 1199 (9th Cir. 1984) (en banc). In determining whether exigent circumstances exist, agents should consider: (1) the degree of urgency involved, (2) the amount of time necessary to obtain a warrant, (3) whether the evidence is about to be removed or destroyed, (4) the possibility of danger at the site, (5) information indicating the possessors of the contraband know the police are on their trail, and (6) the ready destructibility of the contraband. See United States v. Reed, 935 F.2d 641, 642 (4th Cir. 1991).
Exigent circumstances often arise in computer cases because electronic data is perishable. Computer commands can destroy data in a matter of seconds, as can humidity, temperature, physical mutilation, or magnetic fields created, for example, by passing a strong magnet over a disk. For example, in United States v. David, 756 F. Supp. 1385 (D. Nev. 1991), agents saw the defendant deleting files on his computer memo book, and seized the computer immediately. The district court held that the agents did not need a warrant to seize the memo book because the defendant's acts had created exigent circumstances. See id. at 1392. Similarly, in United States v. Romero-Garcia, 991 F. Supp. 1223, 1225 (D. Or. 1997), aff'd on other grounds 168 F.3d 502 (9th Cir. 1999), a district court held that agents had properly accessed the information in an electronic pager in their possession because they had reasonably believed that it was necessary to prevent the destruction of evidence. The information stored in pagers is readily destroyed, the court noted: incoming messages can delete stored information, and batteries can die, erasing the information. Accordingly, the agents were justified in accessing the pager without first acquiring a warrant. See also United States v. Gorshkov, 2001 WL 1024026, at *4 (W.D. Wash. May 23, 2001) (concluding that circumstances justified download without a warrant of data from computer in Russia where probable cause existed that Russian computer contained evidence of crime, where good reason existed to fear that delay could lead to destruction of or loss of access to evidence, and where agent merely copied data and subsequently obtained search warrant); United States v. Ortiz, 84 F.3d 977, 984 (7th Cir. 1996) (in conducting search incident to arrest, agents were justified in retrieving numbers from pager because pager information is easily destroyed).
Of course, in computer cases, as in all others, the existence of exigent circumstances is absolutely tied to the facts. Compare Romero-Garcia, 911 F. Supp. at 1225 with David, 756 F. Supp at 1392 n.2 (dismissing as "lame" the government's argument that exigent circumstances supported search of a battery-operated computer because the agent did not know how much longer the computer's batteries would live) and United States v. Reyes, 922 F. Supp. 818, 835-36 (S.D.N.Y. 1996) (concluding that exigent circumstances could not justify search of a pager because the government agent unlawfully created the exigency by turning on the pager).
Importantly, the existence of exigent circumstances does not permit agents to search or seize beyond what is necessary to prevent the destruction of the evidence. When the exigency ends, the right to conduct warrantless searches does as well: the need to take certain steps to prevent the destruction of evidence does not authorize agents to take further steps without a warrant. See United States v. Doe, 61 F.3d 107, 110-11 (1st Cir. 1995). Accordingly, the seizure of computer hardware to prevent the destruction of information it contains will not ordinarily support a subsequent search of that information without a warrant. See David, 756 F. Supp. at 1392.
3. Plain View
Evidence of a crime may be seized without a warrant under the plain view exception to the warrant requirement. To rely on this exception, the agent must be in a lawful position to observe and access the evidence, and its incriminating character must be immediately apparent. See Horton v. California, 496 U.S. 128 (1990). For example, if an agent conducts a valid search of a hard drive and comes across evidence of an unrelated crime while conducting the search, the agent may seize the evidence under the plain view doctrine.
The plain view doctrine does not authorize agents to open and view the contents of a computer file that they are not otherwise authorized to open and review.
Importantly, the plain view exception cannot justify violations of an individual's reasonable expectation of privacy. The exception merely permits the seizure of evidence that an agent is already authorized to view in accordance with the Fourth Amendment. In computer cases, this means that the government cannot rely on the plain view exception to justify opening a closed computer file it is not otherwise authorized to view. (4) The contents of such a file that must be opened to be viewed are not in "plain view." See United States v. Maxwell, 45 M.J. 406, 422 (C.A.A.F. 1996). This rule accords with decisions applying the plain view exception to closed containers. See, e.g., United States v. Villarreal, 963 F.2d 770, 776 (5th Cir. 1992) (concluding that labels fixed to opaque 55-gallon drums do not expose the contents of the drums to plain view) ("[A] label on a container is not an invitation to search it. If the government seeks to learn more than the label reveals by opening the container, it generally must obtain a search warrant.").
As discussed above, see Chapter I.B.2., courts have reached differing conclusions over whether each individual file stored on a computer should be treated as a separate closed container, and this distinction has important ramifications for the scope of the plain view exception. United States v. Carey, 172 F.3d 1268, 1273 (10th Cir. 1999), provides a cautionary example of the restrictive approach. In Carey, a police detective searching a hard drive with a warrant for drug trafficking evidence opened a "jpg" file and instead discovered child pornography. At that point, the detective spent five hours accessing and downloading several hundred "jpg" files in a search not for evidence of the narcotics trafficking that he was authorized to seek and gather pursuant to the original warrant, but for more child pornography. When the defendant moved to exclude the child pornography files on the ground that they were seized beyond the scope of the warrant, the government argued that the detective had seized the "jpg" files properly because the contents of the contraband files were in plain view. The Tenth Circuit rejected this argument with respect to all of the files except for the first "jpg" file the detective discovered. See id. at 1273, 1273 n.4. As best as can be discerned, the rule in Carey seems to be that the detective could seize the first "jpg" file that came into plain view when the detective was executing the search warrant, but could not rely on the plain view exception to justify the search solely for additional "jpg" files containing child pornography on the defendant's computers, evidence beyond the scope of the warrant. Cf. United States v.Walser, 275 F.3d 981, 986-87 (10th Cir. 2001) (finding no Fourth Amendment violation when officer with warrant to search for electronic records of drug transactions opened single computer file containing child pornography, suspended search, and then returned to magistrate for second warrant to search for child pornography).
In contrast to the Tenth Circuit's approach in Carey, the doctrine set forth by the Fifth Circuit in United States v. Runyan, 275 F.3d 449, 464-65 (5th Cir. 2001), and United States v. Slanina, 283 F.3d 670, 680 (5th Cir. 2002), suggests that plain view of a single file on a computer or storage device could provide a basis for a more extensive search. In those two cases, the court held that when a warrantless search of a portion of a computer or storage device had been proper, the defendant no longer retained any reasonable expectation of privacy in the remaining contents of the computer or storage device. See Slanina, 283 F.3d at 680; Runyan, 275 F.3d at 464-65. Thus, a more extensive search of the computer or storage device by law enforcement did not violate the Fourth Amendment. This rationale may also apply when a file has been placed in plain view.
4. Search Incident to a Lawful Arrest
Pursuant to a lawful arrest, agents may conduct a "full search" of the arrested person, and a more limited search of his surrounding area, without a warrant. See United States v. Robinson, 414 U.S. 218, 235 (1973); Chimel v. California, 395 U.S. 752, 762-63 (1969). For example, in Robinson, a police officer conducting a patdown search incident to an arrest for a traffic offense discovered a crumpled cigarette package in the suspect's left breast pocket. Not knowing what the package contained, the officer opened the package and discovered fourteen capsules of heroin. The Supreme Court held that the search of the package was permissible, even though the officer had no articulable reason to open the package. See id. at 234-35. In light of the general need to preserve evidence and prevent harm to the arresting officer, the Court reasoned, it was per se reasonable for an officer to conduct a "full search of the person" pursuant to a lawful arrest. Id. at 235.
Due to the increasing use of handheld and portable computers and other electronic storage devices, agents often encounter computers when conducting searches incident to lawful arrests. Suspects may be carrying pagers, cellular telephones, Personal Digital assistants (such as Palm Pilots), or even laptop computers when they are arrested. Does the search-incident-to-arrest exception permit an agent to access the memory of an electronic storage device found on the arrestee's person during a warrantless search incident to arrest? In the case of electronic pagers, the answer clearly is "yes." Relying on Robinson, courts have uniformly permitted agents to access electronic pagers carried by the arrested person at the time of arrest. See United States v. Reyes, 922 F. Supp. 818, 833 (S.D.N.Y. 1996) (holding that accessing numbers in a pager found in bag attached to defendant's wheelchair within twenty minutes of arrest falls within search-incident-to-arrest exception); United States v. Chan, 830 F. Supp. 531, 535 (N.D. Cal. 1993); United States v. Lynch, 908 F. Supp. 284, 287 (D.V.I. 1995); Yu v. United States, 1997 WL 423070, at *2 (S.D.N.Y. Jul. 29, 1997); United States v. Thomas, 114 F.3d 403, 404 n.2 (3d Cir. 1997) (dicta). See also United States v. Ortiz, 84 F.3d 977, 984 (7th Cir. 1996) (same holding, but relying on an exigency theory).
Courts have not yet addressed whether Robinson will permit warrantless searches of electronic storage devices that contain more information than pagers. In the paper world, certainly, cases have allowed extensive searches of written materials discovered incident to lawful arrests. For example, courts have uniformly held that agents may inspect the entire contents of a suspect's wallet found on his person. See, e.g., United States v. Castro, 596 F.2d 674, 676 (5th Cir. 1979); United States v. Molinaro, 877 F.2d 1341, 1347 (7th Cir. 1989) (citing cases). Similarly, one court has held that agents could photocopy the entire contents of an address book found on the defendant's person during the arrest, see United States v. Rodriguez, 995 F.2d 776, 778 (7th Cir. 1993), and others have permitted the search of a defendant's briefcase that was at his side at the time of arrest. See, e.g., United States v. Johnson, 846 F.2d 279, 283-84 (5th Cir. 1988); United States v. Lam Muk Chiu, 522 F.2d 330, 332 (2d Cir. 1975). If agents can examine the contents of wallets, address books, and briefcases without a warrant, it could be argued that they should be able to search their electronic counterparts (such as electronic organizers, floppy disks, and Palm Pilots) as well. Cf. United v. Tank, 200 F.3d 627, 632 (9th Cir. 2000) (holding that agents searching a car incident to a valid arrest properly seized a Zip disk found in the car, but failing to discuss whether the agents obtained a warrant before searching the disk for images of child pornography).
The limit on this argument
is that any search incident to an arrest must be reasonable. See
Swain v. Spinney, 117 F.3d 1,
6 (1st Cir. 1997). While a search of physical items found on the arrestee's
person may always be reasonable, more invasive searches in different circumstances
may violate the Fourth Amendment. See,
e.g. Mary Beth G. v. City of
Chicago, 723 F.2d 1263, 1269-71 (7th Cir. 1983) (holding that Robinson
does not permit strip searches incident to arrest because such searches are
not reasonable in context). For example, the increasing storage capacity of
handheld computers suggests that Robinson's
bright line rule may not always apply in the case of electronic searches. When
in doubt, agents should consider whether to obtain a search warrant before examining
the contents of electronic storage devices that might contain large amounts
of information.
5. Inventory Searches
Law enforcement officers
routinely inventory the items they have seized. Such "inventory searches" are
reasonable -- and therefore fall under an exception to the warrant requirement
-- when two conditions are met. First, the search must serve a legitimate, non-investigatory
purpose (e.g., to protect an owner's property while in custody; to insure against
claims of lost, stolen, or vandalized property; or to guard the police from
danger) that outweighs the intrusion on the individual's Fourth Amendment rights.
See Illinois
v. Lafayette, 462 U.S. 640, 644 (1983); South
Dakota v. Opperman, 428 U.S. 364, 369-70 (1976). Second, the search must
follow standardized procedures. See
Colorado v. Bertine, 479 U.S.
367, 374 n.6 (1987); Florida v. Wells,
495 U.S. 1, 4-5 (1990).
It is unlikely that the inventory-search exception to the warrant requirement would support a search through seized computer files. See United States v. O'Razvi, 1998 WL 405048, at *6-7 (S.D.N.Y. July 17, 1998) (noting the difficulties of applying the inventory-search requirements to computer disks); see also United States v. Flores, 122 F. Supp. 2d 491, 493-95 (S.D.N.Y. 2000) (finding search of cellular telephone "purely investigatory" and thus not lawful inventory search). Even assuming that standard procedures authorized such a search, the legitimate purposes served by inventory searches in the physical world do not translate well into the intangible realm. Information does not generally need to be reviewed to be protected, and does not pose a risk of physical danger. Although an owner could claim that his computer files were altered or deleted while in police custody, examining the contents of the files would offer little protection from tampering. Accordingly, agents will generally need to obtain a search warrant in order to examine seized computer files held in custody.
6. Border Searches
In order to protect the government's ability to monitor contraband and other property that may enter or exit the United States illegally, the Supreme Court has recognized a special exception to the warrant requirement for searches that occur at the border of the United States. According to the Court, "routine searches" at the border or its functional equivalent do not require a warrant, probable cause, or even reasonable suspicion that the search may uncover contraband or evidence. United States v. Montoya De Hernandez, 473 U.S. 531, 538 (1985). Searches that are especially intrusive, however, require at least reasonable suspicion. See id. at 541. These rules apply to people and property both entering and exiting the United States. See United States v. Oriakhi, 57 F.3d 1290, 1297 (4th Cir. 1995).
In at least one case, courts have addressed whether the border search exception permits a warrantless search of a computer disk for contraband computer files. In United States v. Roberts, 86 F. Supp. 2d 678 (S.D. Tex. 2000), aff'd on other grounds, 274 F.3d 1007 (5th Cir. 2001), United States Customs Agents learned that William Roberts, a suspect believed to be carrying computerized images of child pornography, was scheduled to fly from Houston, Texas to Paris, France on a particular day. On the day of the flight, the agents set up an inspection area in the jetway at the Houston airport with the sole purpose of searching Roberts. Roberts arrived at the inspection area and was told by the agents that they were searching for "currency" and "high technology or other data" that could not be exported legally. Id. at 681. After the agents searched Roberts' property and found a laptop computer and six Zip diskettes, Roberts agreed to sign a consent form permitting the agents to search his property. A subsequent search revealed several thousand images of child pornography. See id. at 682.
The district court rejected the defendant's motion to suppress the computer files, holding that the search of Roberts' luggage had been a "routine search" for which no suspicion was required, even though the justification for the search offered by the agents merely had been a pretext. See id. at 686, 688 (citing Whren v. United States, 517 U.S. 806 (1996)). The court also concluded that Roberts' consent justified the search of the laptop and diskettes, and indicated that even if Roberts had not consented to the search, "[t]he search of the defendant's computer and diskettes would have been a routine export search, valid under the Fourth Amendment." See Roberts, 98 F. Supp. 2d at 688. On appeal, the Fifth Circuit affirmed the district court's refusal to suppress the evidence on the grounds that the initial jetway search of Roberts was justified by reasonable suspicion that Roberts possessed child pornography, and that the subsequent search and seizure of computer equipment was justified by probable cause. See id. at 1017. The court did not reach the issue of whether the seizure of Roberts' computer equipment could be considered routine.
Importantly, agents and prosecutors should not interpret Roberts as permitting the interception of data transmitted electronically to and from the United States. Any real-time interception of electronically transmitted data in the United States must comply strictly with the requirements of Title III, 18 U.S.C. §§ 2510-2522, or the Pen/Trap statute, 18 U.S.C. §§ 3121-3127. See generally Chapter 4. Further, once electronically transferred data from outside the United States arrives at its destination within the United States, the government ordinarily cannot rely on the border search exception to search for and seize the data because the data is no longer at the border or its functional equivalent. Cf. Almeida-Sanchez v. United States, 413 U.S. 266, 273-74 (1973) (concluding that a search that occurred 25 miles from the United States border did not qualify for the border search exception, even though the search occurred on a highway known as a common route for illegal aliens, because it did not occur at the border or its functional equivalent).
7. International Issues
Increasingly, electronic evidence necessary to prevent, investigate, or prosecute a crime may be located outside the borders of the United States. This can occur for several reasons. Criminals can use the Internet to commit or facilitate crimes remotely, e.g., when Russian hackers steal money from a bank in New York, or when the kidnappers of an American deliver demands by e-mail for release of their captive. Communications also can be "laundered" through third countries, such as when a criminal in Brooklyn uses the Internet to pass a communication through Tokyo, Tel Aviv, and Johannesburg, before it reaches its intended recipient in Manhattan - much the way monies can be laundered through banks in different countries in order to hide their source. In addition, provider architecture may route or store communications in the country where the provider is based, regardless of the location of its users.
When United States authorities investigating a crime believe electronic evidence is stored by an Internet service provider or on a computer located abroad (in "Country A"), U.S. law enforcement usually must seek assistance from law enforcement authorities in Country A. Since, in general, law enforcement officers exercise their functions in the territory of another country with the consent of that country, U.S. law enforcement should only make direct contact with an ISP located in Country A with (1) prior permission of the foreign government; (2) approval of DOJ's Office of International Affairs ("OIA") (which would know of particular sensitivities and/or accepted practices); or (3) other clear indicia that such practice would not be objectionable in Country A. (There is general agreement that access to publicly available materials in Country A, such as those posted to a public Web site, and access to materials in Country A with the consent of the owner/custodian of those materials, are permissible without prior consultations.)
Under certain circumstances, foreign law enforcement authorities may be able to share evidence informally with U.S. counterparts. However, finding the appropriate official in Country A with which to explore such cooperation is an inexact science, at best. Possible avenues for entree to foreign law enforcement are: (1) the designated expert who participates in the G8's network of international high-tech crime points of contact (discussed below); (2) law enforcement contacts maintained by OIA; (3) representatives of U.S. law enforcement agencies who are stationed at the relevant American Embassy (e.g., FBI Legal Attaches, or "LegAtts," and agents from the U.S. Secret Service and U.S. Customs Service); and (4) the Regional Security Officer (from the Diplomatic Security Service) at the American Embassy (who may have good in-country law enforcement contacts). OIA can be reached at 202-514-0000.
Where Country A cannot otherwise provide informal assistance, requests for evidence usually will be made under existing Mutual Legal Assistance Treaties (MLATs) or Mutual Legal Assistance Agreements, or through the Letters Rogatory process. See 28 U.S.C. § 1781-1782. These official requests for assistance are made by OIA to the designated "Central Authority" of Country A or, in the absence of an MLAT, to other appropriate authorities. (Central Authorities are usually located within the Justice Ministry, or other Ministry or office in Country A that has law enforcement authority.) OIA has attorneys responsible for every country and region of the world. Since official requests of this nature require specified documents and procedures, and can take some time to produce results, law enforcement should contact OIA as soon as a request for international legal assistance becomes a possibility.
When U.S. law enforcement has reason to believe that electronic evidence exists on a computer or computer network located abroad, and expects a delay before that evidence is secured in Country A, a request to foreign law enforcement for preservation of the evidence should be made as soon as possible. Such request, similar to a request under 18 U.S.C. § 2703(f) to a U.S. provider (see Chapter 3.G.1, p. 101), will have varying degrees of success based on several factors, most notably whether Country A has a data preservation law, and whether the U.S. has sufficient law enforcement contacts in Country A to ensure prompt execution of the request. The Council of Europe Cybercrime Convention, completed in 2001, obligates all signatories to have the ability to affect cross-border preservation requests, and the availability of this critical form of assistance therefore is expected to increase greatly in the near future.
To secure preservation, or in emergencies when immediate international assistance is required, the international Network of 24-hour Points of Contact established by the High-tech Crime Subgroup of the G8 countries can provide assistance. This network, created in 1997, is comprised of approximately twenty-eight member countries, and continues to grow every year. (5) Participating countries have a dedicated computer crime expert and a means to contact that office or person twenty-four hours a day. See generally Michael A. Sussmann, The Critical Challenges from International High-Tech and Computer-Related Crime at the Millennium, 9 Duke J. Comp. & Int'l L. 451, 484 (1999). CCIPS is the point of contact for the United States and can be contacted at 202-514-1026 during regular business hours or at other times through the Department of Justice Command Center at 202-514-5000. The Council of Europe's Cybercrime Convention obligates all signatory countries to have a 24-hour point of contact for cybercrime cases, and international 24-hour response capabilities are therefore expected to continue to increase. In addition, CCIPS has high-tech law enforcement contacts in many countries that are not a part of the G8's network or the Council of Europe; agents and prosecutors should call CCIPS for assistance.
In the event that United States law enforcement inadvertently accesses a computer located in another country, CCIPS, OIA, or another appropriate authority should be consulted immediately, as issues such as sovereignty and comity may be implicated. Likewise, if exigencies such as terrorist threats raise the possibility of direct access of a computer located abroad by United States law enforcement, appropriate U.S. authorities should be consulted immediately.
Searching, seizing,
or otherwise obtaining electronic evidence located outside of the United States
can raise difficult questions of both law and policy. For example, the Fourth
Amendment may apply under certain circumstances, but not under others. See
generally, United
States v. Verdugo-Urquidez, 494 U.S. 259 (1990) (considering the extent
to which the Fourth Amendment applies to searches outside of the United States).
This manual does not attempt to provide detailed guidance on how to resolve
difficult international issues that may arise in cases involving electronic
evidence located beyond our borders. Investigators and prosecutors should contact
CCIPS or OIA for assistance in particular cases.
D. Special Case: Workplace Searches
Warrantless workplace searches occur often in computer cases and raise unusually complicated legal issues. The starting place for such analysis is the Supreme Court's complex decision in O'Connor v. Ortega, 480 U.S. 709 (1987). Under O'Connor, the legality of warrantless workplace searches depends on often-subtle factual distinctions such as whether the workplace is public sector or private sector, whether employment policies exist that authorize a search, and whether the search is work-related.
Every warrantless workplace search must be evaluated carefully on its facts. In general, however, law enforcement officers can conduct a warrantless search of private (i.e., non-government) workplaces only if the officers obtain the consent of either the employer or another employee with common authority over the area searched. In public (i.e., government) workplaces, officers cannot rely on an employer's consent, but can conduct searches if written employment policies or office practices establish that the government employees targeted by the search cannot reasonably expect privacy in their workspace. Further, government employers and supervisors can conduct reasonable work-related searches of employee workspaces without a warrant even if the searches violate employees' reasonable expectation of privacy.
One cautionary note is in order here. This discussion evaluates the legality of warrantless workplace searches of computers under the Fourth Amendment. In many cases, however, workplace searches will implicate federal privacy statutes in addition to the Fourth Amendment. For example, efforts to obtain an employee's files and e-mail from the employer's network server raise issues under the Electronic Communications Privacy Act, 18 U.S.C. §§ 2701-2712 (discussed in Chapter 3), and workplace monitoring of an employee's Internet use implicates Title III, 18 U.S.C. §§ 2510-2522 (discussed in Chapter 4). Before conducting a workplace search, investigators must make sure that their search will not violate either the Fourth Amendment or relevant federal privacy statutes. Investigators should contact CCIPS at (202) 514-1026 or the CTC in their district (see Introduction, p. ix) for further assistance.
1. Private Sector Workplace Searches
The rules for conducting warrantless searches and seizures in private-sector workplaces generally mirror the rules for conducting warrantless searches in homes and other personal residences. Private company employees generally retain a reasonable expectation of privacy in their workplaces. As a result, searches by law enforcement of a private workplace will usually require a warrant unless the agents can obtain the consent of an employer or a co-worker with common authority.
a) Reasonable Expectation of Privacy in Private-Sector Workplaces
Private-sector employees will usually retain a reasonable expectation of privacy in their office space. In Mancusi v. DeForte, 392 U.S. 364 (1968), police officers conducted a warrantless search of an office at a local union headquarters that defendant Frank DeForte shared with several other union officials. In response to DeForte's claim that the search violated his Fourth Amendment rights, the police officers argued that the joint use of the space by DeForte's co-workers made his expectation of privacy unreasonable. The Court disagreed, stating that DeForte "still could reasonably have expected that only [his officemates] and their personal or business guests would enter the office, and that records would not be touched except with their permission or that of union higher-ups." Id. at 369. Because only a specific group of people actually enjoyed joint access and use of DeForte's office, the officers' presence violated DeForte's reasonable expectation of privacy. See id. See also United States v. Most, 876 F.2d 191, 198 (D.C. Cir. 1989) ("[A]n individual need not shut himself off from the world in order to retain his fourth amendment rights. He may invite his friends into his home but exclude the police; he may share his office with co-workers without consenting to an official search."); United States v. Lyons, 706 F.2d 321, 325 (D.C. Cir. 1983) ("One may freely admit guests of one's choosing -- or be legally obligated to admit specific persons -- without sacrificing one's right to expect that a space will remain secure against all others."). As a practical matter, then, private employees will generally retain an expectation of privacy in their work space unless that space is "open to the world at large." Id. at 326.
b) Consent in Private Sector-Workplaces
Although most non-government workplaces will support a reasonable expectation of privacy from a law enforcement search, agents can defeat this expectation by obtaining the consent of a party who exercises common authority over the area searched. See Matlock, 415 U.S. at 171. In practice, this means that agents can often overcome the warrant requirement by obtaining the consent of the target's employer or supervisor. Depending on the facts, a co-worker's consent may suffice as well.
Private-sector employers and supervisors generally enjoy a broad authority to consent to searches in the workplace. For example, in United States v. Gargiso, 456 F.2d 584 (2d Cir. 1972), a pre-Matlock case, agents conducting a criminal investigation of an employee of a private company sought access to a locked, wired-off area in the employer's basement. The agents explained their needs to the company's vice-president, who took the agents to the basement and opened the basement with his key. When the employee attempted to suppress the evidence that the agents discovered in the basement, the court held that the vice-president's consent was effective. Because the vice-president shared supervisory power over the basement with the employee, the court reasoned, he could consent to the agents' search of that area. See id. at 586-87. See also United States v. Bilanzich, 771 F.2d 292, 296-97 (7th Cir. 1985) (holding that the owner of a hotel could consent to search of locked room used by hotel employee to store records, even though owner did not carry a key, because employee worked at owner's bidding); J.L. Foti Constr. Co. v. Donovan, 786 F.2d 714, 716-17 (6th Cir. 1986) (per curiam) (holding that a general contractor's superintendent could consent to an inspection of an entire construction site, including subcontractor's work area). In a close case, an employment policy or computer network banner that establishes the employer's right to consent to a workplace search can help establish the employer's common authority to consent under Matlock. See Appendix A.
Agents should be careful about relying on a co-worker's consent to conduct a workplace search. While employers generally retain the right to access their employees' work spaces, co-workers may or may not, depending on the facts. When co-workers do exercise common authority over a workspace, however, investigators can rely on a co-worker's consent to search that space. For example, in United States v. Buettner-Janusch, 646 F.2d 759 (2d Cir. 1981), a professor and an undergraduate research assistant at New York University consented to a search of an NYU laboratory managed by a second professor suspected of using his laboratory to manufacture LSD and other drugs. Although the search involved opening vials and several other closed containers, the Second Circuit held that Matlock authorized the search because both consenting co-workers had been authorized to make full use of the lab for their research. See id. at 765-66. See also United States v. Jenkins, 46 F.3d 447, 455-58 (5th Cir. 1995) (allowing an employee to consent to a search of the employer's property); United States v. Murphy, 506 F.2d 529, 530 (9th Cir. 1974) (per curiam) (same); United States v. Longo, 70 F. Supp. 2d 225, 256 (W.D.N.Y. 1999) (allowing secretary to consent to search of employer's computer). But see United States v. Buitrago Pelaez, 961 F. Supp. 64, 67-68 (S.D.N.Y. 1997) (holding that a receptionist could consent to a general search of the office, but not of a locked safe to which receptionist did not know the combination).
c) Employer Searches in Private-Sector Workplaces
Warrantless workplace searches by private employers rarely violate the Fourth Amendment. So long as the employer is not acting as an instrument or agent of the Government at the time of the search, the search is a private search and the Fourth Amendment does not apply. See Skinner v. Railway Labor Executives' Ass'n, 489 U.S. 602, 614 (1989).
2. Public-Sector Workplace Searches
Although warrantless computer searches in private-sector workplaces follow familiar Fourth Amendment rules, the application of the Fourth Amendment to public-sector workplace searches of computers presents a different matter. In O'Connor v. Ortega, 480 U.S. 709 (1987), the Supreme Court introduced a distinct framework for evaluating warrantless searches in government workplaces, a framework that applies to computer searches. According to O'Connor, a government employee can enjoy a reasonable expectation of privacy in his workplace. See id. at 717 (O'Connor, J., plurality opinion); id. at 721 (Scalia, J., concurring). However, an expectation of privacy becomes unreasonable if "actual office practices and procedures, or . . . legitimate regulation" permit the employee's supervisor, co-workers, or the public to enter the employee's workspace. Id. at 717 (O'Connor, J., plurality opinion). Further, employers can conduct "reasonable" warrantless searches even if the searches violate an employee's reasonable expectation of privacy. Such searches include work-related, noninvestigatory intrusions (e.g., entering an employee's locked office to retrieve a file) and reasonable investigations into work-related misconduct. See id. at 725-26 (O'Connor, J., plurality opinion); id. at 732 (Scalia, J., concurring).
a) Reasonable Expectation of Privacy in Public Workplaces
The reasonable expectation of privacy test formulated by the O'Connor plurality asks whether a government employee's workspace is "so open to fellow employees or to the public that no expectation of privacy is reasonable." O'Connor, 480 U.S. at 718 (plurality opinion). This standard differs significantly from the standard analysis applied in private workplaces. Whereas private-sector employees enjoy a reasonable expectation of privacy in their workspace unless the space is "open to the world at large," Lyons, 706 F.2d at 326, government employees retain a reasonable expectation of privacy in the workplace only if a case-by-case inquiry into "actual office practices and procedures" shows that it is reasonable for employees to expect that others will not enter their space. See O'Connor, 480 U.S. at 717 (plurality opinion); Rossi v. Town of Pelham, 35 F. Supp. 2d. 58, 63-64 (D.N.H. 1997). See also O'Connor, 480 U.S. at 730-31 (Scalia, J., concurring) (noting the difference between the expectation-of-privacy analysis offered by the O'Connor plurality and that traditionally applied in private workplace searches). From a practical standpoint, then, public employees are less likely to retain a reasonable expectation of privacy against government searches at work than are private employees.
Courts evaluating public employees' reasonable expectation of privacy in the wake of O'Connor have considered the following factors: whether the work area in question is assigned solely to the employee; whether others have access to the space; whether the nature of the employment requires a close working relationship with others; whether office regulations place employees on notice that certain areas are subject to search; and whether the property searched is public or private. See Vega-Rodriguez v. Puerto Rico Tel. Co., 110 F.3d 174, 179-80 (1st Cir. 1997) (summarizing cases); United States v. Mancini, 8 F.3d 104, 109 (1st Cir. 1993). In general, the courts have rejected claims of an expectation of privacy in an office when the employee knew or should have known that others could access the employee's workspace. See, e.g., Sheppard v. Beerman, 18 F.3d 147, 152 (2d Cir. 1994) (holding that judge's search through his law clerk's desk and file cabinets did not violate the clerk's reasonable expectation of privacy because of the clerk's close working relationship with the judge); Schowengerdt v. United States, 944 F.2d 483, 488 (9th Cir. 1991) (holding that civilian engineer employed by the Navy who worked with classified documents at an ordinance plant had no reasonable expectation of privacy in his office because investigators were known to search employees' offices for evidence of misconduct on a regular basis). But see United States v. Taketa, 923 F.2d 665, 673 (9th Cir. 1991) (concluding in dicta that public employee retained expectation of privacy in office shared with several co-workers). In contrast, the courts have found that a search violates a public employee's reasonable expectation of privacy when the employee had no reason to expect that others would access the space searched. See O'Connor, 480 U.S. at 718-19 (plurality) (holding that physician at state hospital retained expectation of privacy in his desk and file cabinets where there was no evidence that other employees could enter his office and access its contents); Rossi, 35 F. Supp. 2d at 64 (holding that town clerk enjoyed reasonable expectation of privacy in 8' x 8' office that the public could not access and other town employees did not enter).
While agents must evaluate whether a public employee retains a reasonable expectation of privacy in the workplace on a case-by-case basis, official written employment policies can simplify the task dramatically. See O'Connor, 480 U.S. at 717 (plurality) (noting that "legitimate regulation" of the work place can reduce public employees' Fourth Amendment protections). Courts have uniformly deferred to public employers' official policies that expressly authorize access to the employee's workspace, and have relied on such policies when ruling that the employee cannot retain a reasonable expectation of privacy in the workplace. See American Postal Workers Union, Columbus Area Local AFL-CIO v. United States Postal Serv., 871 F.2d 556, 59-61 (6th Cir. 1989) (holding that postal employees retained no reasonable expectation of privacy in contents of government lockers after signing waivers stating that lockers were subject to inspection at any time, even though lockers contained personal items); United States v. Bunkers, 521 F.2d 1217, 1219-1221 (9th Cir. 1975) (same, noting language in postal manual stating that locker is "subject to search by supervisors and postal inspectors"). Of course, whether a specific policy eliminates a reasonable expectation of privacy is a factual question. Employment policies that do not explicitly address employee privacy may prove insufficient to eliminate Fourth Amendment protection. See, e.g., Taketa, 923 F.2d at 672-73 (concluding that regulation requiring DEA employees to "maintain clean desks" did not defeat workplace expectation of privacy of non-DEA employee assigned to DEA office).
When planning to search a government computer in a government workplace, agents should look for official employment policies or "banners" that can eliminate a reasonable expectation of privacy in the computer.
Written employment policies and "banners" are particularly important in cases that consider whether government employees enjoy a reasonable expectation of privacy in government computers. Banners are written notices that greet users before they log on to a computer or computer network, and can inform users of the privacy rights that they do or do not retain in their use of the computer or network. See generally Appendix A.
In general, government employees who are notified that their employer has retained rights to access or inspect information stored on the employer's computers can have no reasonable expectation of privacy in the information stored there. For example, in United States v. Simons, 206 F.3d 392 (4th Cir. 2000), computer specialists at a division of the Central Intelligence Agency learned that an employee named Mark Simons had been using his desktop computer at work to obtain pornography available on the Internet, in violation of CIA policy. The computer specialists accessed Simons' computer remotely without a warrant, and obtained copies of over a thousands picture files that Simons had stored on his hard drive. Many of these picture files contained child pornography, which were turned over to law enforcement. When Simons filed a motion to suppress the fruits of the remote search of his hard drive, the Fourth Circuit held that the CIA division's official Internet usage policy eliminated any reasonable expectation of privacy that Simons might otherwise have in the copied files. See id. at 398. The policy stated that the CIA division would "periodically audit, inspect, and/or monitor [each] user's Internet access as deemed appropriate," and that such auditing would be implemented "to support identification, termination, and prosecution of unauthorized activity." Id. at 395-96. Simons did not deny that he was aware of the policy. See id. at 398 n.8. In light of the policy, the Fourth Circuit held, Simons did not retain a reasonable expectation of privacy "with regard to the record or fruits of his Internet use," including the files he had downloaded. Id. at 398.
Other courts have agreed with the approach articulated in Simons and have held that banners and policies generally eliminate a reasonable expectation of privacy in contents stored in a government employee's network account. See United States v. Angevine, 281 F.3d 1130, 1134-35 (10th Cir. 2002) (holding that banner and computer policy eliminated a public employee's reasonable expectation of privacy in data downloaded from Internet); Wasson v. Sonoma County Junior College, 4 F. Supp. 2d 893, 905-06 (N.D. Cal. 1997) (holding that public employer's computer policy giving the employer "the right to access all information stored on [the employer's] computers" defeats an employee's reasonable expectation of privacy in files stored on employer's computers); Bohach v. City of Reno, 932 F. Supp. 1232, 1235 (D. Nev. 1996) (holding that police officers did not retain a reasonable expectation of privacy in their use of a pager system, in part because the Chief of Police had issued an order announcing that all messages would be logged); United States v. Monroe, 52 M.J. 326, 330 (C.A.A.F. 2000) (holding that Air Force sergeant did not have a reasonable expectation of privacy in his government e-mail account because e-mail use was reserved for official business and network banner informed each user upon logging on to the network that use was subject to monitoring). But see DeMaine v. Samuels, 2000 WL 1658586, at *7 (D. Conn. Sept. 25, 2000) (suggesting that the existence of an employment manual explicitly authorizing searches "weighs heavily" in the determination of whether a government employee retained a reasonable expectation of privacy at work, but "does not, on its own, dispose of the question"). Conversely, a court may note the absence of a banner or computer policy in finding that an employee has a reasonable expectation of privacy in the use of his computer. See United States v. Slanina, 283 F.3d 670, 676-77 (5th Cir. 2002).
Of course, whether a specific policy eliminates a reasonable expectation of privacy is a factual question. Agents and prosecutors must consider whether a given policy is broad enough to reasonably contemplate the search to be conducted. If the policy is narrow, it may not waive the government employee's reasonable expectation of privacy against the search that the government plans to execute. For example, in Simons, the Fourth Circuit concluded that although the CIA division's Internet usage policy eliminated Simons' reasonable expectation of privacy in the fruits of his Internet use, it did not eliminate his reasonable expectation of privacy in the physical confines of his office. See Simons, 206 F.3d at 399 n.10. Accordingly, the policy by itself was insufficient to justify a physical entry into Simons' office. See id. at 399. See also Taketa, 923 F.2d at 672-73 (concluding that regulation requiring DEA employees to "maintain clean desks" did not defeat workplace expectation of privacy of non-DEA employee assigned to DEA office). Sample banners appear in Appendix A.
b) "Reasonable" Workplace Searches Under O'Connor v. Ortega
Government employers and their agents can conduct "reasonable" work-related searches even if those searches violate an employee's reasonable expectation of privacy.
In most circumstances, a warrant must be obtained before a government actor can conduct a search that violates an individual's reasonable expectation of privacy. In the context of government employment, however, the government's role as an employer (as opposed to its role as a law-enforcer) presents a special case. In O'Connor, the Supreme Court held that a public employer or the employer's agent can conduct a workplace search that violates a public employee's reasonable expectation of privacy so long as the search is "reasonable." See O'Connor, 480 U.S. at 722-23 (plurality); Id. at 732 (Scalia, J., concurring). The Court's decision adds public workplace searches by employers to the list of "special needs" exceptions to the warrant requirement. The "special needs" exceptions permit the government to dispense with the usual warrant requirement when its officials infringe upon protected privacy rights in the course of acting in a non-law enforcement capacity. See, e.g., New Jersey v. T.L.O., 469 U.S. 325, 351 (1985) (Blackmun, J., concurring) (applying the "special needs" exception to permit public school officials to search student property without a warrant in an effort to maintain discipline and order in public schools); National Treasury Employees Union v. Von Raab, 489 U.S. 656, 677 (1989) (applying the "special needs" exception to permit warrantless drug testing of Customs employees who seek promotions to positions where they would handle sensitive information). In these cases, the Court has held that the need for government officials to pursue legitimate non-law-enforcement aims justifies a relaxing of the warrant requirement because "the burden of obtaining a warrant is likely to frustrate the [non-law-enforcement] governmental purpose behind the search." O'Connor, 480 U.S. at 720 (quoting Camara v. Municipal Court, 387 U.S. 523, 533 (1967)).
According to O'Connor, a warrantless search must satisfy two requirements to qualify as "reasonable." First, the employer or his agents must participate in the search for a work-related reason, rather than merely to obtain evidence for use in criminal proceedings. Second, the search must be justified at its inception and permissible in its scope.
i) The Search Must Be Work-Related
The first element of O'Connor's reasonableness test requires that the employer or his agents must participate in the search for a work-related reason, rather than merely to obtain evidence for use in criminal proceedings. See O'Connor, 480 U.S. at 721. This element limits the O'Connor exception to circumstances in which the government actors who conduct the search act in their capacity as employers, rather than law enforcers. The O'Connor Court specified two such circumstances. First, the Court concluded that public employers can conduct reasonable work-related noninvestigatory intrusions, such as entering an employee's office to retrieve a file or report while the employee is out. See id. at 721-22 (plurality); Id. at 732 (Scalia, J., concurring). Second, the Court concluded that employers can conduct reasonable investigations into an employee's work-related misconduct, such as entering an employee's office to investigate employee misfeasance that threatens the efficient and proper operation of the office. See id. at 724 (plurality); Id. at 732 (Scalia, J., concurring).
The line between a legitimate work-related search and an illegitimate search for criminal evidence is clear in theory, but often blurry in fact. Public employers who learn of misconduct at work may investigate it with dual motives: they may seek evidence both to root out "inefficiency, incompetence, mismanagement, or other work-related misfeasance," id. at 724, and also to collect evidence for a criminal prosecution. Indeed, the two categories may merge altogether. For example, government officials who have criminal investigators under their command may respond to allegations of work-related misconduct by directing the investigators to search employee offices for evidence of a crime.
The courts have adopted fairly generous interpretations of O'Connor when confronted with mixed-motive searches. In general, the presence and involvement of law enforcement officers will not invalidate the search so long as the employer or his agent participates in the search for legitimate work-related reasons. See, e.g., United States v. Slanina, 283 F.3d 670, 678 (5th Cir. 2002) (approving search by official in charge of fire and police departments and stating that "O'Connor's goal of ensuring an efficient workplace should not be frustrated simply because the same misconduct that violates a government employer's policy also happens to be illegal"); Gossmeyer v. McDonald, 128 F.3d 481, 492 (7th Cir. 1997) (concluding that presence of law enforcement officers in a search team looking for evidence of work-related misconduct does not transform search into an illegitimate law enforcement search); Taketa, 923 F.2d at 674 (concluding that search of DEA office space by DEA agents investigating allegations of illegal wiretapping "was an internal investigation directed at uncovering work-related employee misconduct."). Shields v. Burge, 874 F.2d 1201, 1202-05 (7th Cir. 1989) (applying the O'Connor exception to an internal affairs investigation of a police sergeant that paralleled a criminal investigation); Ross v. Hinton, 740 F. Supp. 451, 458 (S.D. Ohio 1990) (concluding that a public employer's discussions with law enforcement officer concerning employee's alleged criminal misconduct, culminating in officer's advice to "secure" the employee's files, did not transform employer's subsequent search of employee's office into a law enforcement search).
Although the presence of law enforcement officers ordinarily will not invalidate a work-related search, a few courts have indicated that whether O'Connor applies depends as much on the identity of the personnel who conduct the search as whether the purpose of the search is work-related. For example, in United States v. Simons, 206 F.3d 392, 400 (4th Cir. 2000), the Fourth Circuit concluded that O'Connor authorized the search of a government employee's office by his supervisor even though the dominant purpose of the search was to uncover evidence of a crime. Because the search was conducted by the employee's supervisor, the Court indicated, it fell within the scope of O'Connor. See id. ("[The employer] did not lose its special need for the efficient and proper operation of the workplace merely because the evidence obtained was evidence of a crime.") (internal quotations and citations omitted). Conversely, one district court has held that the O'Connor exception did not apply when a government employer sent a uniformed police officer to an employee's office, even though the purpose of the police officer's presence was entirely work-related. See Rossi v. Town of Pelham, 35 F. Supp. 2d 58, 65-66 (D.N.H. 1997) (civil action pursuant to 42 U.S.C. § 1983) (concluding that O'Connor exception did not apply when town officials sent a single police officer to town clerk's office to ensure that clerk did not remove public records from her office before a scheduled audit could occur; the resulting search was a "police intrusion" rather than an "employer intrusion").
Of course, courts will invalidate warrantless workplace searches when the facts establish that law enforcement provided the true impetus for the search, and the search violated an employee's reasonable expectation of privacy. See United States v. Hagarty, 388 F.2d 713, 717 (7th Cir. 1968) (holding that surveillance installed by criminal investigators violated the Fourth Amendment where purpose of surveillance was "to detect criminal activity" rather than "to supervise and investigate" a government employee); United States v. Kahan, 350 F. Supp. 784, 791 (S.D.N.Y. 1972) (invalidating warrantless search of INS employee's wastebasket by INS criminal investigator who searched the employee's wastebasket for evidence of a crime every day after work with the employer's consent), rev'd in part on other grounds, 479 F.2d 290 (2d Cir. 1973), rev'd with directions to reinstate the district court judgment, 415 U.S. 239 (1974).
ii) The Search Must Be Justified At Its Inception And Permissible In Its Scope
To be "reasonable" under the Fourth Amendment, a work-related employer search of the type endorsed in O'Connor must also be both "justified at its inception," and "permissible in its scope." O'Connor, 480 U.S. at 726 (plurality). A search will be justified at its inception "when there are reasonable grounds for suspecting that the search will turn up evidence that the employee is guilty of work-related misconduct, or that the search is necessary for a noninvestigatory work-related purpose." Id. See, e.g., Simons, 206 F.3d at 401 (holding that entrance into employee's office to seize his computer was justified at its inception because employer knew that employee had used the computer to download child pornography); Gossmeyer, 128 F.3d at 491 (holding that co-worker's specific allegations of serious misconduct made Sheriff's search of Child Protective Investigator's locked desk and file cabinets justified at its inception); Taketa, 923 F.2d at 674 (concluding that report of misconduct justified initial search of employee's office); Shields, 874 F.2d at 1204 (suggesting in dicta that search of police officer's desk for narcotics pursuant to internal affairs investigation might be reasonable following an anonymous tip); DeMaine v. Samuels, 2000 WL 1658586, at * 10 (D. Conn. Sept. 25, 2000) (holding that search of police officer's day planner was justified by information from two reliable sources that the officer kept detailed attendance notes relevant to overtime investigation involving other officers); Williams v. Philadelphia Housing Auth., 826 F. Supp. 952, 954 (E.D. Pa. 1993) (concluding that employee's search for a computer disk in employee's office was justified at its inception because employer needed contents of disk for official purposes). Compare Ortega v. O'Connor, 146 F.3d 1149, 1162 (9th Cir. 1998) (concluding that vague, uncorroborated and stale complaints of misconduct do not justify a decision to search an employee's office).
A search will be "permissible in its scope" when "the measures adopted are reasonably related to the objectives of the search and [are] not excessively intrusive in light of the nature of the misconduct." O'Connor, 480 U.S. at 726 (plurality) (internal quotations omitted). This standard requires employers and their agents to tailor work-related searches to the alleged misfeasance. See, e.g., Leventhal v. Knapek, 266 F.3d 64, 75-77 (2d Cir. 2001) (holding that search for the presence of non-agency-approved software on employee's computer was not excessively intrusive because officials searched only file names at first and then searched only suspicious directories on subsequent visits); Simons, 206 F.3d at 401 (holding that search for child pornography believed to be stored in employee's computer was permissible in scope because individual who conducted the search "simply crossed the floor of [the defendant's] office, switched hard drives, and exited"); Gossmeyer, 128 F.3d at 491 (concluding that workplace search for images of child pornography was permissible in scope because it was limited to places where such images would likely be stored); Samuels, 2000 WL 1658586, at *10 (holding that search through police officer's day planner was reasonable because Internal Affairs investigators had reason to believe day planner contained information relevant to investigation of overtime abuse). If employers conduct a search that unreasonably exceeds the scope necessary to pursue the employer's legitimate work-related objectives, the search will be "unreasonable" and will violate the Fourth Amendment. See O'Connor, 146 F.3d at 1163 (concluding that "a general and unbounded" search of an employee's desk, cabinets, and personal papers was impermissible in scope where the search team did not attempt to limit their investigation to evidence of alleged misconduct).
c) Consent in Public-Sector Workplaces
Although public employers
may search employees' workplaces without a warrant for work-related reasons,
public workplaces offer a more restrictive milieu in one respect. In government
workplaces, employers acting in their official capacity generally cannot consent
to a law enforcement search of their employees' offices. See
United States v. Blok, 188 F.2d
1019, 1021 (D.C. Cir. 1951) (concluding that a government supervisor cannot
consent to a law enforcement search of a government employee's desk); Taketa,
923 F.2d at 673; Kahan, 350
F. Supp. at 791. The rationale for this result is that the Fourth Amendment
cannot permit one government official to consent to a search by another. See
Blok, 188 F.2d at 1021 ("Operation
of a government agency and enforcement of criminal law do not amalgamate to
give a right of search beyond the scope of either."). Accordingly, law enforcement
searches conducted pursuant to a public employer's consent must be evaluated
under O'Connor rather than the
third-party consent rules of Matlock.
The question in such cases is not whether the public employer had common authority
to consent to the search, but rather whether the combined law enforcement and
employer search satisfied the Fourth Amendment standards of O'Connor
v. Ortega.
II. SEARCHING AND SEIZING COMPUTERS WITH A WARRANT
A. Introduction
The legal framework for searching and seizing computers with a warrant largely mirrors the legal framework for other searches and seizures. As with any kind of search pursuant to a warrant, law enforcement must establish "probable cause, supported by Oath or affirmation," and must "particularly describ[e] the place to be searched, and the persons or things to be seized." U.S. Const. Amend. 4.
Despite the common legal framework, computer searches differ from other searches because computer technologies frequently force agents to execute computer searches in nontraditional ways. Consider the traditional case of a warrant to seize a stolen car from a private parking lot. Agents generally can assume that the lot will still exist in its prior location when the agents execute the search, and can assume they will be able to identify the stolen car quickly based on the car's model, make, license plate, or Vehicle Identification Number. As a result, the process of drafting the warrant and executing the search is relatively simple. After the agents establish probable cause and describe the car and lot to the magistrate judge, the magistrate judge can issue the warrant authorizing the agents to go to the lot and retrieve the car.
Searches for computer files tend to be more complicated. Because computer files consist of electrical impulses that can be stored on the head of a pin and moved around the world in an instant, agents may not know where computer files are stored, or in what form. Files may be stored on a floppy diskette, on a hidden directory in a suspect's laptop, or on a remote server located thousands of miles away. The files may be encrypted, misleadingly titled, stored in unusual file formats, or commingled with millions of unrelated, innocuous, and even statutorily protected files. As a result of these uncertainties, agents cannot simply establish probable cause, describe the files they need, and then "go" and "retrieve" the data. Instead, they must understand the technical limits of different search techniques, plan the search carefully, and then draft the warrant in a manner that authorizes the agents to take necessary steps to obtain the evidence they need.
Searching and seizing computers with a warrant is as much an art as a science. In general, however, agents and prosecutors have found that they can maximize the likelihood of a successful search and seizure by following these four steps:
1) Assemble a team consisting of the case agent, the prosecutor, and a technical expert as far in advance of the search as possible.
Although the lead investigating agent is the central figure in most searches, computer searches generally require a team with three important players: the agent, the prosecutor, and a technical specialist with expertise in computers and computer forensics. In most computer searches, the case agent organizes and directs the search, learns as much as possible about the computers to be searched, and writes the affidavit establishing probable cause. The technical specialist explains the technical limitations that govern the search to the case agent and prosecutor, creates the plan for executing the search, and in many cases takes the lead role in executing the search itself. Finally, the prosecutor reviews the affidavit and warrant and makes sure that the entire process complies with the Fourth Amendment and Rule 41 of the Federal Rules of Criminal Procedure. Of course, each member of the team should collaborate with the others to help ensure an effective search.
There are many sources of technical expertise in the federal government. Most agencies that have law enforcement investigators also have technical specialists trained in computer forensics. For example, the FBI has Computer Analysis Response Team (CART) examiners, the Internal Revenue Service has Seized Computer Evidence Recovery (SCER) specialists, and the Secret Service has the Electronic Crime Special Agent Program (ECSAP). Investigating agents should contact the technical experts within their own agency. Further, some agencies offer case agents sufficient technical training that they may also be able to act as technical specialists. In such cases, the case agents normally do not need to consult with technical experts and can serve as technical specialists and case agents simultaneously.
2) Learn as much as possible about the computer system that will be searched before devising a search strategy or drafting the warrant.
After assembling the team, the case agent should begin acquiring as much information as possible about the computer system targeted by the search. It is difficult to overstate the importance of this step. For the most part, the need for detailed and accurate information about the targeted computer results from practical considerations. Until the agent has learned what kinds of computers and operating systems the target uses, it is impossible to know how the information the system contains can be retrieved, or even where the information may be located. Every computer and computer network is different, and subtle differences in hardware, software, operating systems, and system configuration can alter the search plan dramatically. For example, a particular search strategy may work well if a targeted network runs the Linux operating system, but might not work if the network runs Windows NT instead.
These concerns are particularly important when searches involve complicated computer networks (as opposed to stand-alone PCs). For example, the mere fact that a business uses computers in its offices does not mean that the devices found there actually contain any useful information. Businesses may contract with network service providers that store the business's information on remote network servers located miles (possibly thousands of miles) away. As a result of these considerations, a technical specialist cannot advise the case agent on the practical aspects of different search strategies without knowing the nature of the computer system to be searched. Agents need to learn as much as possible about the targeted computer before drafting the warrant, including (if possible) the hardware, the software, the operating system, and the configuration of the network.
Obtaining detailed and accurate information about the targeted computer also has important legal implications. For example, the incidental seizure of First Amendment materials such as drafts of newsletters or web pages may implicate the Privacy Protection Act ("PPA"), 42 U.S.C. § 2000aa, and the incidental seizure and subsequent search through network accounts may raise issues under the Electronic Communications Privacy Act ("ECPA"), 18 U.S.C. §§ 2701-2712 (see generally Parts B.2 and B.3, infra). To minimize liability under these statutes, agents should conduct a careful investigation into whether and where First Amendment materials and network accounts may be stored on the computer system targeted by the search. At least one court has suggested that a failure to conduct such an investigation can deprive the government of a good faith defense against liability under these statutes. See Steve Jackson Games, Inc. v. United States Secret Service, 816 F. Supp. 432 (W.D. Tex. 1993), aff'd, 36 F.3d 457 (5th Cir. 1994).
On a practical level, agents may take various approaches to learning about a targeted computer network. In some cases, agents can interview the system administrator of the targeted network (sometimes in an undercover capacity), and obtain all or most of the information the technical specialist needs to plan and execute the search. When this is impossible or dangerous, more piecemeal strategies may prove effective. For example, agents sometimes conduct on-site visits (often undercover) that at least reveal some elements of the hardware involved. A useful source of information for networks connected to the Internet is the Internet itself. It is often possible for members of the public to use network queries to determine the operating system, machines, and general layout of a targeted network connected to the Internet (although it may set off alarms at the target network).
3) Formulate a strategy for conducting the search (including a backup plan) based on the known information about the targeted computer system.
With a team in place and the targeted system researched, the next step is to formulate a strategy for conducting the search. For example, will the agents search through the targeted computer(s) on the premises, or will they simply enter the premises and remove all of the hardware? Will the agents make copies of individual files, or will they make exact copies of entire hard drives? What will the agents do if their original plan fails, or if the computer hardware or software turns out to be significantly different from what they expected? These decisions hinge on a series of practical and legal considerations. In most cases, the search team should decide on a preferred search strategy, and then plan a series of backup strategies if the preferred strategy proves impractical.
In many cases agents will be unable to learn enough about the computer system to be searched to devise a single or comprehensive search strategy. As a result, agents should recognize how the aspects of the system that they do not know about can affect the search strategy. Even where a considerable amount is known about a system, the agents and technicians conducting a review of the data often have to use a number of different techniques in order to thoroughly search a computer and its storage media. Sometimes, seemingly commonplace data or configurations cannot be copied, reviewed or analyzed by one search program or protocol, so another - or several different ones - must be tried. Keyword searches may not be possible until a careful review of a portion of the files is conducted; moreover, a careful data search may reveal other, otherwise unapparent aspects of how the system was used and data generated, accessed, transmitted and stored. It is important for agents to keep such possibilities in mind and to consider and address them as they formulate their strategy.
The issues that must be considered when formulating a strategy to search and seize a computer are discussed in greater depth in section B of this chapter. In general, however, the issues group into four questions: First, what is the most effective search strategy that will comply with Rule 41 and the Fourth Amendment? Second, does the search strategy need to be modified to minimize the possibility of violating either the PPA or ECPA? Third, will the search require multiple warrants? And fourth, should agents ask for special permission to conduct a no-knock or sneak-and-peek search?
4) Draft the warrant, taking special care to describe the object of the search and the property to be seized accurately and particularly, and explain the possible search strategies (as well as the practical and legal issues that helped shape it) in the supporting affidavit.
The essential ingredients
for drafting a successful search warrant are covered in Section C, and a practical
guide to drafting warrants and affidavits appears in Appendix F. In general,
however, the keys to drafting successful computer search warrants are first
to describe carefully and particularly the object of the warrant that investigators
have probable cause to seize, and second to explain adequately the search strategy
in the supporting affidavit. On a practical level, these steps help focus and
guide the investigators as they execute the search. As a legal matter, the first
step helps to overcome particularity challenges, and the latter helps to thwart
claims that the agents executed the search in "flagrant disregard" of the warrant.
1. Basic Strategies for Executing Computer Searches
Computer searches may be executed in a variety of ways. For the most part, there are four possibilities:
Which option is best for any particular search depends on many factors. The single most important consideration is the role of the computer hardware in the offense. It should be noted that the first option, printing out hard copies of particular files, is rarely a good choice. That option may lead to substantial loss of information, including file date and time stamps, file path name, "undo" history, comment fields, and more.
Although every computer search is unique, search strategies often depend on the role of the hardware in the offense. If the hardware is itself evidence, an instrumentality, contraband, or a fruit of crime, agents will usually plan to seize the hardware and search its contents off-site. If the hardware is merely a storage device for evidence, agents generally will only seize the hardware if less disruptive alternatives are not feasible.
In general, computer hardware can serve one of two roles in a criminal case. First, the computer hardware can be a storage device for evidence of crime. For example, if a suspect keeps evidence of his fraud schemes stored in his personal computer, the hardware itself is merely a container for evidence. The purpose of searching the suspect's computer will be to recover the evidence the computer hardware happens to contain.
In other cases, however, computer hardware can itself be contraband, evidence, an instrumentality, or a fruit of crime. For example, a computer used to transmit child pornography is an instrumentality of crime, and stolen computers are fruits of crime. In such cases, Federal Rule of Criminal Procedure 41 grants agents the right to seize the computer itself, independently from the materials that the hardware happens to contain. See generally Appendix F (explaining the scope of materials that may be seized according to Rule 41). Because Rule 41 authorizes agents to seize hardware in the latter case but not the former, the search strategy for a particular computer search hinges first on the role of the hardware in the offense. (7)
a) When Hardware Is Itself Contraband, Evidence, or an Instrumentality or Fruit of Crime
Under Fed. R. Crim. P. 41(b), agents may obtain search warrants to seize computer hardware if the hardware is contraband, evidence, or an instrumentality or fruit of crime. See Rule 41(b); Appendix F. When the hardware itself may be seized according to Rule 41, agents will usually conduct the search by seizing the computer and searching it off-site. For example, a home personal computer used to store and transmit contraband images is itself an instrumentality of the crime. See Davis v. Gracey, 111 F.3d 1472, 1480 (10th Cir. 1997) (computer used to store obscene images); United States v. Lamb, 945 F. Supp. 441, 462 (N.D.N.Y. 1996) (computer used to store child pornography). Accordingly, Rule 41 permits agents to obtain a warrant authorizing the seizure of the computer hardware. In most cases, investigators will simply obtain a warrant to seize the computer, seize the hardware during the search, and then search through the defendant's computer for the contraband files back at the police station or computer forensics laboratory. In such cases, the agents should explain clearly in the supporting affidavit that they plan to search the computer for evidence and/or contraband after the computer has been seized and removed from the site of the search.
Notably, exceptions exist when agents will not want to seize computer hardware even when the hardware is used as an instrumentality, evidence, contraband, or a fruit of crime. When the "computer" involved is not a stand-alone PC but rather part of a complicated network, the collateral damage and practical headaches that can arise from seizing the entire network often counsel against a wholesale seizure. For example, if a system administrator of a computer network stores stolen proprietary information somewhere in the network, the network becomes an instrumentality of the system administrator's crime. Technically, agents could perhaps obtain a warrant to seize the entire network. However, carting off the entire network might cripple a legitimate, functioning business and disrupt the lives of hundreds of people, as well as subject the government to civil suits under the Privacy Protection Act, 42 U.S.C. § 2000aa and the Electronic Communications Privacy Act, 18 U.S.C. §§ 2701-2712. See generally Steve Jackson Games, Inc. v. Secret Service, 816 F. Supp. 432, 440, 443 (W.D. Tex. 1993) (discussed infra). In such circumstances, agents will want to take a more nuanced approach to obtain the evidence they need. On the other hand, where a network is owned and operated by a criminal enterprise, it may be appropriate to seize the network to stop ongoing criminal activity and prevent further, substantial loss to victims. Such a seizure may require a significant commitment of resources and advanced planning. Agents faced with such a situation can call the Computer Crime and Intellectual Property Section at (202) 514-1026 or the Assistant U.S. Attorney designated as a Computer and Telecommunications Coordinator (CTC) in their district (see Introduction, p. ix) for more specific guidance.
b) When Hardware
is Merely a Storage Device for Evidence of Crime
The strategy for conducting
a computer search is significantly different if the computer hardware is merely
a storage device for evidence of a crime. In such cases, Rule 41(b) authorizes
agents to obtain a warrant to seize the electronic evidence, but arguably does
not directly authorize the agents to seize the hardware that happens to contain
that evidence. Cf. United
States v. Tamura, 694 F.2d 591, 595 (9th Cir. 1982) (noting that probable
cause to seize specific paper files enumerated in warrant technically does permit
the seizure of commingled innocent files). The hardware is merely a storage
container for evidence, not evidence itself. This does not mean that the government
cannot seize the equipment: rather, it means that the government generally should
only seize the equipment if a less intrusive alternative that permits the effective
recovery of the evidence is infeasible in the particular circumstances of the
case. Cf. id.
at 596.
As a practical matter,
circumstances will often require investigators to seize equipment and search
its contents off-site. First, it may take days or weeks to find the specific
information described in the warrant because computer storage devices can contain
extraordinary amounts of information. Agents cannot reasonably be expected to
spend more than a few hours searching for materials on-site, and in some circumstances
(such as executing a search at a suspect's home) even a few hours may be unreasonable.
See United
States v. Santarelli, 778 F.2d 609, 615-16 (11th Cir. 1985). Given that
personal computers sold in the year 2002 usually can store the equivalent of
thirty million pages of information and networks can store hundreds of times
that (and these capacities double nearly every year), it may be practically
impossible for agents to search quickly through a computer for specific data,
a particular file, or a broad set of files while on-site. Even if the agents
know specific information about the files they seek, the data may be mislabeled,
encrypted, stored in hidden directories, or embedded in "slack space" that a
simple file listing will ignore. Recovering the evidence may require painstaking
analysis by an expert in the controlled environment of a forensics laboratory.
Attempting to search
files on-site may even risk damaging the evidence itself in some cases. Agents
executing a search may learn on-site that the computer employs an uncommon operating
system that the on-site technical specialist does not fully understand. Because
an inartful attempt to conduct a search may destroy evidence, the best strategy
may be to remove the hardware so that a government expert in that particular
operating system can examine the computer later. Off-site searches also may
be necessary if agents have reason to believe that the computer has been "booby
trapped" by a savvy criminal. Technically adept users may know how to trip-wire
their computers with self-destruct programs that could erase vital evidence
if the system were examined by anyone other than an expert. For example, a criminal
could write a very short program that would cause the computer to demand a password
periodically, and if the correct password is not entered within ten seconds,
would trigger the automatic destruction of the computer's files. In these cases,
it is best to seize the equipment and permit an off-site expert to disarm the
program before any search occurs.
In light of these
uncertainties, agents often plan to try to search on-site, with the understanding
that they will seize the equipment if circumstances discovered on-site make
an on-site search infeasible. Once on-site to execute the search, the agents
will assess the hardware, software, and resources available to determine whether
an on-site search is possible. In many cases, the search strategy will depend
on the sensitivity of the environment in which the search occurs. For example,
agents seeking to obtain information stored on the computer network of a functioning
business will in most circumstances want to make every effort to obtain the
information without seizing the business's computers, if possible. In such situations,
a tiered search strategy designed to use the least intrusive approach that will
recover the information is generally appropriate. Such approaches are discussed
in Appendix F. Whatever search strategy is chosen, it should be explained fully
in the affidavit supporting the warrant application.
Sometimes, conducting
a search on-site will be possible. A friendly employee or system administrator
may agree to pinpoint a file or record or may have a recent backup, permitting
the agents to obtain a hard copy of the files they seek while on-site. See,
e.g., United States v. Longo,
70 F. Supp. 2d 225 (W.D.N.Y. 1999) (upholding pinpoint search aided by suspect's
secretary for two particular computer files). Alternatively, agents may be able
to locate the targeted set of files and make electronic copies, or may be able
to mirror a segment of the storage drive based on knowledge that the information
exists within that segment of the drive. Of course, such strategies will frequently
prove insufficient. Relatively few cases call for a limited set of known files;
searches for evidence of a particular crime are usually more open-ended. If
the agents cannot learn where the information is stored or cannot create a working
mirror image for technical reasons, they may have no choice but to seize the
computer and remove it. Because personal computers are easily moved and can
be searched effectively off-site using special forensics tools, agents are particularly
likely to seize personal computers absent unusual circumstances.
The general strategy
is to pursue the quickest, least intrusive, and most direct search strategy
that is consistent with securing the evidence described in the warrant. This
strategy will permit agents to search on-site in some cases, and will permit
them to seize the computers for off-site review in others. Flexibility is the
key.
2. The Privacy Protection
Act
When
agents have reason to believe that a search may result in a seizure of materials
relating to First Amendment activities such as publishing or posting materials
on the World Wide Web, they must consider the effect of the Privacy Protection
Act ("PPA"), 42 U.S.C. § 2000aa. Every federal computer search that implicates
the PPA must be approved by the Justice Department, coordinated through CCIPS
at (202) 514-1026.
Under the Privacy
Protection Act ("PPA"), 42 U.S.C. § 2000aa, law enforcement must take special
steps when planning a search that agents have reason to believe may result in
the seizure of certain First Amendment materials. Federal law enforcement searches
that implicate the PPA must be pre-approved by a Deputy Assistant Attorney General
of the Criminal Division. The Computer Crime and Intellectual Property Section
serves as the contact point for all such searches involving computers, and should
be contacted directly at (202) 514-1026.
a) A Brief History of
the Privacy Protection Act
Before the Supreme Court
decided Warden v. Hayden, 387
U.S. 294, 309 (1967), law enforcement officers could not obtain search warrants
to search for and seize "mere evidence" of crime. Warrants were permitted only
to seize contraband, instrumentalities, or fruits of crime. See
Boyd v. United States, 116 U.S.
616 (1886). In Hayden, the Court
reversed course and held that the Fourth Amendment permitted the government
to obtain search warrants to seize mere evidence. This ruling set the stage
for a collision between law enforcement and the press. Because journalists and
reporters often collect evidence of criminal activity in the course of developing
news stories, they frequently possess "mere evidence" of crime that may prove
useful to law enforcement investigations. By freeing the Fourth Amendment from
Boyd's restrictive regime, Hayden
created the possibility that law enforcement could use search warrants to target
the press for evidence of crime it had collected in the course of investigating
and reporting news stories.
It did not take long for such a search to occur. On April 12, 1971, the District Attorney's Office in Santa Clara County, California obtained a search warrant to search the offices of The Stanford Daily, a Stanford University student newspaper. The DA's office was investigating a violent clash between the police and demonstrators that had occurred at the Stanford University Hospital three days earlier. The Stanford Daily had covered the incident, and published a special edition featuring photographs of the clash. Believing that the newspaper probably had more photographs of the clash that could help the police identify the demonstrators, the police obtained a warrant and sent four police officers to search the newspaper's office for further evidence that could assist the investigation. The officers found nothing. A month later, however, the Stanford Daily and its editors brought a civil suit against the police claiming that the search had violated their First and Fourth Amendment rights. The case ultimately reached the Supreme Court, and in Zurcher v. Stanford Daily, 436 U.S. 547 (1978), the Court rejected the newspaper's claims. Although the Court noted that "the Fourth Amendment does not prevent or advise against legislative or executive efforts to establish nonconstitutional protections" for searches of the press, it held that neither the Fourth nor First Amendment prohibited such searches. Id. at 567.
Congress passed the PPA in 1980 in response to Stanford Daily. According to the Senate Report, the PPA protected "the press and certain other persons not suspected of committing a crime with protections not provided currently by the Fourth Amendment." S. Rep. No. 96-874, at 4 (1980), reprinted in 1980 U.S.C.C.A.N. 3950. The statute was intended to grant publishers certain statutory rights to discourage law enforcement officers from targeting publishers simply because they often gathered "mere evidence" of crime. As the legislative history indicates,
the purpose of this statute is to limit searches for materials held by persons involved in First Amendment activities who are themselves not suspected of participation in the criminal activity for which the materials are sought, and not to limit the ability of law enforcement officers to search for and seize materials held by those suspected of committing the crime under investigation.
b) The Terms of the Privacy Protection Act
Subject to certain exceptions, the PPA makes it unlawful for a government officer "to search for or seize" materials when
(a) the materials are "work product materials" prepared, produced, authored, or created "in anticipation of communicating such materials to the public," 42 U.S.C. § 2000aa-7(b)(1);
(b) the materials include "mental impressions, conclusions, or theories" of its creator, 42 U.S.C. § 2000aa-7(b)(3); and
(c) the materials are possessed for the purpose of communicating the material to the public by a person "reasonably believed to have a purpose to disseminate to the public" some form of "public communication," 42 U.S.C. §§ 2000aa-7(b)(3), 2000aa(a);
or
(a) the materials are "documentary materials" that contain "information,"
42 U.S.C. § 2000aa-7(a); and
(b) the materials are possessed by a person "in connection with a purpose to disseminate to the public" some form of "public communication." 42 U.S.C. §§ 2000aa(b), 2000aa-7(a).
Although the language of the PPA is broad, the statute contains several exceptions. Searches will not violate the PPA when
1) the only materials searched for or seized are contraband, instrumentalities, or fruits of crime, see 42 U.S.C. § 2000aa-7(a),(b);
2) there is reason to believe that the immediate seizure of such materials is necessary to prevent death or serious bodily injury, see 42 U.S.C. §§ 2000aa(a)(2), 2000aa(b)(2);
3) there is probable cause to believe that the person possessing such materials has committed or is committing the criminal offense to which the materials relate (an exception which is itself subject to several exceptions), see 42 U.S.C. §§ 2000aa(a)(1), 2000aa(b)(1); and
4) in a search for or seizure of "documentary materials" as defined by § 2000aa-7(a), a subpoena has proven inadequate or there is reason to believe that a subpoena would not result in the production of the materials, see 42 U.S.C. § 2000aa(b)(3)-(4).
Violations of the PPA do not result in suppression of the evidence, see 42 U.S.C. § 2000aa-6(d), but can result in civil damages against the sovereign whose officers or employees execute the search. See § 2000aa-6(a), (e); Davis v. Gracey, 111 F.3d 1472, 1482 (10th Cir. 1997) (dismissing PPA suit against municipal officers in their personal capacities because such suits must be filed only against the "government entity" unless the government entity has not waived sovereign immunity). If State officers or employees violate the PPA and the state does not waive its sovereign immunity and is thus immune from suit, see Barnes v. State of Missouri, 960 F.2d 63, 65 (8th Cir. 1992), individual State officers or employees may be held liable for acts within the scope or under the color of their employment subject to a reasonable good faith defense. See § 2000aa-6(a)(2),(b).
c) Application of the PPA to Computer Searches and Seizures
PPA issues frequently arise in computer cases for two reasons that Congress could not have foreseen in 1980. First, the use of personal computers for publishing and the World Wide Web has dramatically expanded the scope of who is "involved in First Amendment activities." Today, anyone with a computer and access to the Internet may be a publisher who possesses PPA-protected materials on his or her computer.
The second reason that PPA issues arise frequently in computer cases is that the language of the statute does not explicitly rule out liability following incidental seizures of PPA-protected materials, and such seizures may result when agents search for and seize computer-stored contraband or evidence of crime that is commingled with PPA-protected materials. For example, investigations into illegal businesses that publish images of child pornography over the Internet have revealed that such businesses frequently support other publishing materials (such as drafts of adult pornography) that may be PPA-protected. Seizing the computer for the contraband necessarily results in the seizure of the PPA-protected materials, because the contraband is commingled with PPA-protected materials on the business's computers. If the PPA were interpreted to forbid such seizures, the statute would not merely deter law enforcement from targeting innocent publishers for their evidence, but also would bar the search and seizure of a criminal suspect's computer if the computer included PPA- protected materials, even incidentally.
The legislative history and text of the PPA indicate that Congress probably intended the PPA to apply only when law enforcement intentionally targeted First Amendment material that related to a crime, as in Stanford Daily. For example, the so-called "suspect exception" eliminates PPA liability when "there is probable cause to believe that the person possessing such materials has committed or is committing the criminal offense to which the materials relate," 42 U.S.C. § 2000aa(a)(1), § 2000aa(b)(1) (emphasis added). This text indicates that Congress believed that PPA-protected materials would necessarily relate to a criminal offense, as when investigators target the materials as evidence. When agents collaterally seize PPA-protected materials because they are commingled on a computer with other materials properly targeted by law enforcement, however, the PPA-protected materials will not necessarily relate to any crime at all. For example, the PPA-protected materials might be drafts of a horticulture newsletter that just happen to sit on the same hard drive as images of child pornography or records of a fraud scheme.
The Sixth Circuit has explicitly ruled that the incidental seizure of PPA-protected material commingled on a suspect's computer with evidence of a crime does not give rise to PPA liability. Guest v. Leis, 255 F.3d 325 (6th Cir. 2001), involved two lawsuits brought against the Sheriff's Department in Hamilton County, Ohio. The suits arose from the seizures of two servers that had been used to host bulletin board systems suspected of housing evidence and contraband relating to obscenity, phone tapping, child pornography, credit card theft, and software piracy. The Sixth Circuit noted that "when police execute a search warrant for documents on a computer, it will often be difficult or impossible (particularly without the cooperation of the owner) to separate the offending materials from other 'innocent' material on the computer" at the site of the search. Id. at 341-42. Given these pragmatic concerns, the court refused to find PPA-liability for incidental seizures; to construe the PPA otherwise would "prevent police in many cases from seizing evidence located on a computer." Id. at 342. Instead, the court held that "when protected materials are commingled on a criminal suspect's computer with criminal evidence that is unprotected by the act, we will not find liability under the PPA for seizure of the PPA-protected materials." Id. The Guest court cautioned, however, that although the incidental seizure of PPA-related work-product and documentary materials did not violate the Act, the subsequent search of such material was probably forbidden. Id.
The Sixth Circuit's decision in Guest verifies that the suspect exception works as the legislature intended: limiting the scope of PPA protection to "the press and certain other persons not suspected of committing a crime." S. Rep. No. 96-874, at 4 (1980), reprinted in 1980 U.S.C.C.A.N. 3950. At least one other court has also reached this result by broadly interpreting the suspect exception's phrase "to which materials relate" when an inadvertent seizure of commingled matter occurs. See United States v. Hunter, 13 F. Supp. 2d 574, 582 (D. Vt. 1998) (concluding that materials for weekly legal newsletter published by the defendant from his law office "relate" to the defendant's alleged involvement in his client's drug crimes when the former was inadvertently seized in a search for evidence of the latter). See also Carpa v. Smith, 208 F.3d 220, 2000 WL 189678, at *1 (9th Cir. Feb. 8, 2000) (unpublished) ("[T]he Privacy Protection Act . . . does not apply to criminal suspects.").
The Sixth Circuit's decision in Guest does not address the commingling issue when the owner of the seized computer is not a suspect. In the only published decision to date directly addressing this issue, a district court held the United States Secret Service liable for the inadvertent seizure of PPA-protected materials. See Steve Jackson Games, Inc. v. Secret Service, 816 F. Supp. 432 (W.D. Tex. 1993), aff'd on other grounds, 36 F.3d 457 (5th Cir. 1994). (8) Steve Jackson Games, Inc. ("SJG") was primarily a publisher of role-playing games, but it also operated a network of thirteen computers that provided its customers with e-mail, published information about SJG products, and stored drafts of upcoming publications. Believing that the system administrator of SJG's computers had stored evidence of crimes, the Secret Service obtained a warrant and seized two of the thirteen computers connected to SJG's network, in addition to other materials. The Secret Service did not know that SJG's computers contained publishing materials until the day after the search. However, the Secret Service did not return the computers it seized until months later. At no time did the Secret Service believe that SJG itself was involved in the crime under investigation.
The district court in Steve Jackson Games ruled that the Secret Service violated the PPA; unfortunately, the exact contours of the court's reasoning are difficult to discern. For example, the court did not explain exactly which of the materials the Secret Service seized were covered by the PPA; instead, the court merely recited the property that had been seized, and concluded that some PPA-protected materials "were obtained" during the search. Id. at 440. Similarly, the court indicated that the search of SJG and the initial seizure of its property did not violate the PPA, but that the Secret Service's continued retention of SJG's property after it learned of SJG's publisher status, and despite a request by SJG for return of the property, was the true source of the PPA violation - something that the statute itself does not appear to contemplate. See id. at 441. The court also suggested that it might have ruled differently if the Secret Service had made "copies of all information seized" and returned the hardware as soon as possible, but did not answer whether in fact it would have reached a different result in such case. Id.
Incidental seizure of PPA-protected materials on a non-suspect's computer continues to be an uncertain area of the law, in part because PPA issues are infrequently litigated. As a practical matter, agents can often avoid the seizure of PPA-protected materials on a non-suspect's computer by using a subpoena or process under ECPA to require the non-suspect to produce the desired information, as described in Chapter 3. To date, no other court has followed the PPA approach of Steve Jackson Games. See, e.g., State v. One (1) Pioneer CD-ROM Changer, 891 P.2d 600, 607 (Okla. App. 1995) (questioning the apparent premise of Steve Jackson Games that the seizure of computer equipment could violate the PPA merely because the equipment "also contained or was used to disseminate potential 'documentary materials'"). Moreover, even if courts eventually refuse to restrict the PPA to cases in which law enforcement intentionally seizes First Amendment material that is merely evidence of a crime, courts may conclude that other PPA exceptions, such as the "contraband or fruits of a crime" exception, should be read as broadly as the Guest court read the suspect exception.
The additional handful of federal courts that have resolved civil suits filed under the PPA have ruled against the plaintiffs with little substantive analysis. See, e.g., Davis v. Gracey, 111 F.3d 1472, 1482 (10th Cir. 1997) (dismissing for lack of jurisdiction PPA suit improperly filed against municipal employees in their personal capacities); Berglund v. City of Maplewood, 173 F. Supp. 2d 935, 949-50 (D. Minn. 2001) (holding that the police seizure of a defendant's videotape fell under the "criminal suspect" and "destruction of evidence" exceptions to the PPA because the tape might have contained documentary evidence of the defendant's disorderly conduct); DePugh v. Sutton, 917 F. Supp. 690, 696-97 (W.D. Mo. 1996) (rejecting pro se PPA challenge to seizure of materials relating to child pornography because there was probable cause to believe that the person possessing the materials committed the criminal offense to which the materials related), aff'd, 104 F.3d 363 (8th Cir. 1996); Powell v. Tordoff, 911 F. Supp. 1184, 1189-90 (N.D. Iowa 1995) (dismissing PPA claim because plaintiff did not have standing to challenge search and seizure under the Fourth Amendment). See also Lambert v. Polk County, 723 F. Supp. 128, 132 (S.D. Iowa 1989) (rejecting PPA claim after police seized videotape because officers could not reasonably believe that the owner of the tape had a purpose to disseminate the material to the public).
Agents and prosecutors who have reason to believe that a computer search may implicate the PPA should contact the Computer Crime and Intellectual Property Section at (202) 514-1026 or the CTC in their district (see Introduction, p. ix) for more specific guidance.
3. Civil Liability Under the Electronic Communications Privacy Act
When a search may result in the incidental seizure of network accounts belonging to innocent third parties, agents should take every step to protect the integrity of the third party accounts to avoid potential ECPA liability.
When law enforcement executes a search of an Internet service provider and seizes the accounts of customers and subscribers, those customers and subscribers may bring civil actions claiming that the search violated the Electronic Communications Privacy Act (ECPA). ECPA governs law enforcement access to the contents of electronic communications stored by third-party service providers. See 18 U.S.C. § 2703; Chapter 3, infra (discussing the Electronic Communications Privacy Act). In addition, ECPA has a criminal provision that prohibits unauthorized access to electronic or wire communications in "electronic storage." See 18 U.S.C. § 2701; Chapter 3, infra (discussing the definition of "electronic storage").
The concern that a search executed pursuant to a valid warrant might violate ECPA derives from Steve Jackson Games, Inc. v. Secret Service, 816 F. Supp. 432 (W.D. Tex. 1993), discussed in Section B.2.c supra. In Steve Jackson Games, the district court held the Secret Service liable under ECPA after it seized, reviewed, and (in some cases) deleted stored electronic communications seized pursuant to a valid search warrant. See id. at 442-43. The court's holding appears to be rooted in the mistaken belief that ECPA requires that search warrants also comply with 18 U.S.C. § 2703(d) and the various notice requirements of § 2703. See id. In fact, ECPA makes quite clear that § 2703(d) and the notice requirements § 2703 are implicated only when law enforcement does not obtain a search warrant. Compare 18 U.S.C. § 2703(b)(1)(A) with 18 U.S.C. § 2703(b)(1)(B). See generally Chapter 3, infra. Indeed, the text of ECPA does not appear to contemplate civil liability for searches and seizures authorized by valid Rule 41 search warrants: ECPA expressly authorizes government access to stored communications pursuant to a warrant issued under the Federal Rules of Criminal Procedure, see 18 U.S.C. § 2703(a), (b), (c)(1)(A); Davis v. Gracey, 111 F.3d 1472, 1483 (10th Cir. 1997), and the criminal prohibition of § 2701 does not apply when access is authorized under § 2703. See 18 U.S.C. § 2701(c)(3). (9) Further, objectively reasonable good faith reliance on a warrant, court order, or statutory authorization is a complete defense to an ECPA violation. See 18 U.S.C. § 2707(e); Gracey, 111 F.3d at 1484 (applying good faith defense because seizure of stored communications incidental to a valid search was objectively reasonable). Compare Steve Jackson Games, 816 F. Supp. at 443 (stating without explanation that the court "declines to find this defense").
The best way to square the result in Steve Jackson Games with the plain language of ECPA is to exercise great caution when agents need to execute searches of Internet service providers and other third-parties holding stored wire or electronic communications. In most cases, investigators will want to avoid a wholesale search and seizure of the provider's computers. When investigators have no choice but to execute the search, such as where the entity owning the system is suspected of deep involvement in the criminal conduct, they must take special care. For example, if agents have reason to believe that they may seize customer accounts belonging to innocent persons but have no reason to believe that the evidence sought will be stored there, they should inform the magistrate judge in the search warrant affidavit that they will not search those accounts and should take steps to ensure the confidentiality of the accounts in light of the privacy concerns expressed by 18 U.S.C. § 2703. Safeguarding the accounts of innocent persons absent specific reasons to believe that evidence may be stored in the persons' accounts should satisfy the concerns expressed in Steve Jackson Games. Compare Steve Jackson Games, 816 F. Supp. at 441 (finding ECPA liability where agents read the private communications of customers not involved in the crime "and thereafter deleted or destroyed some communications either intentionally or accidentally") with Gracey, 111 F.3d at 1483 (declining to find ECPA liability in seizure where "[p]laintiffs have not alleged that the officers attempted to access or read the seized e-mail, and the officers disclaimed any interest in doing so").
If agents believe that a hacker or system administrator might have hidden evidence of a crime in the account of an innocent customer or subscriber, agents should proceed carefully. For example, agents should inform the magistrate judge of their need to search the account in the affidavit, and should attempt to obtain the consent of the customer or subscriber if feasible. In such cases, agents should contact the Computer Crime and Intellectual Property Section at (202) 514-1026 or the CTC designated in their district (see Introduction, p. ix) for more specific guidance.
4. Considering the Need for Multiple Warrants in Network Searches
Agents should obtain multiple warrants if they have reason to believe that a network search will retrieve data stored in multiple locations.
Fed. R. Crim. P. 41(a) states that a magistrate judge located in one judicial district may issue a search warrant for "a search of property . . . within the district," or "a search of property . . . outside the district if the property . . . is within the district when the warrant is sought but might move outside the district before the warrant is executed." The Supreme Court has held that "property" as described in Rule 41 includes intangible property such as computer data. See United States v. New York Tel. Co., 434 U.S. 159, 170 (1977). Although the courts have not directly addressed the matter, the language of Rule 41 combined with the Supreme Court's interpretation of "property" may limit searches of computer data to data that resides in the district in which the warrant was issued. (10) Cf. United States v. Walters, 558 F. Supp. 726, 730 (D. Md. 1980) (suggesting such a limit in a case involving telephone records).
A territorial limit on searches of computer data poses problems for law enforcement because computer data stored in a computer network can be located anywhere in the world. For example, agents searching an office in Manhattan pursuant to a warrant from the Southern District of New York may sit down at a terminal and access information stored remotely on a computer located in New Jersey, California, or even a foreign country. A single file described by the warrant could be located anywhere on the planet, or could be divided up into several locations in different districts or countries. Even worse, it may be impossible for agents to know when they execute their search whether the data they are seizing has been stored within the district or outside of the district. Agents may in some cases be able to learn where the data is located before the search, but in others they will be unable to know the storage site of the data until after the search has been completed.
When agents can learn prior to the search that some or all of the data described by the warrant is stored in a different location than where the agents will execute the search, the best course of action depends upon where the remotely stored data is located. When the data is stored remotely in two or more different places within the United States and its territories, agents should obtain additional warrants for each location where the data resides to ensure compliance with a strict reading of Rule 41(a). For example, if the data is stored in two different districts, agents should obtain separate warrants from the two districts. Agents should also include a thorough explanation of the location of the data and the proposed means of conducting the search in the affidavits accompanying the warrants.
When agents learn before a search that some or all of the data is stored remotely outside of the United States, matters become more complicated. The United States may be required to take actions ranging from informal notice to a formal request for assistance to the country concerned. Further, some countries may object to attempts by U.S. law enforcement to access computers located within their borders. Although the search may seem domestic to a U.S. law enforcement officer executing the search in the United States pursuant to a valid warrant, other countries may view matters differently. Agents and prosecutors should contact the Office of International Affairs at (202) 514-0000 for assistance with these difficult questions.
When agents do not and even cannot know that data searched from one district is actually located outside the district, evidence seized remotely from another district ordinarily should not lead to suppression of the evidence obtained. The reasons for this are twofold. First, courts may conclude that agents sitting in one district who search a computer in that district and unintentionally cause intangible information to be sent from a second district into the first have complied with Rule 41(a). Cf. United States v. Ramirez, 112 F.3d 849, 852 (7th Cir. 1997) (Posner, C.J.) (adopting a permissive construction of the territoriality provisions of Title III); United States v. Denman, 100 F.3d 399, 402 (5th Cir. 1996) (same); United States v. Rodriguez, 968 F.2d 130, 135-36 (2d Cir. 1992) (same).
Second, even if courts conclude that the search violates Rule 41(a), the violation will not lead to suppression of the evidence unless the agents intentionally and deliberately disregarded the Rule, or the violation leads to "prejudice" in the sense that the search might not have occurred or would not have been so "abrasive" if the Rule had been followed. See United States v. Burke, 517 F.2d 377, 386 (2d Cir. 1975) (Friendly, J.); United States v. Martinez-Zayas, 857 F.2d 122, 136 (3d Cir. 1988) (citing cases). Under the widely-adopted Burke test, courts generally deny motions to suppress when agents executing the search cannot know whether it violates Rule 41 either legally or factually. See Martinez-Zayas, 857 F.2d at 136 (concluding that a search passed the Burke test "[g]iven the uncertain state of the law" concerning whether the conduct violated Rule 41(a)). Accordingly, evidence acquired from a network search that accessed data stored in multiple districts should not lead to suppression unless the agents intentionally and deliberately disregarded Rule 41(a) or prejudice resulted. See generally United States v. Trost, 152 F.3d 715, 722 (7th Cir. 1998) ("[I]t is difficult to anticipate any violation of Rule 41, short of a defect that also offends the Warrant Clause of the fourth amendment, that would call for suppression.").
5. No-Knock Warrants
As a general matter, agents must announce their presence and authority prior to executing a search warrant. See Wilson v. Arkansas, 514 U.S. 927, 934 (1995); 18 U.S.C. § 3109. This so-called "knock and announce" rule reduces the risk of violence and destruction of property when agents execute a search. The rule is not absolute, however. In Richards v. Wisconsin, 520 U.S. 385 (1997), the Supreme Court held that agents can dispense with the knock-and-announce requirement if they have
a reasonable suspicion that knocking and announcing their presence, under the particular circumstances, would be dangerous or futile, or that it would inhibit the effective investigation of the crime by, for example, allowing the destruction of evidence.
Id. at 394. The Court stated that this showing was "not high, but the police should be required to make it whenever the reasonableness of a no-knock entry is challenged." Id. at 394-95. Such a showing satisfies both the Fourth Amendment and the statutory knock-and-announce rule of 18 U.S.C. § 3109. See United States v. Ramirez, 523 U.S. 65, 71-73 (1998).
Agents may need to conduct no-knock searches in computer crime cases because technically adept suspects may "hot wire" their computers in an effort to destroy evidence. For example, technically adept computer hackers have been known to use "hot keys," computer programs that destroy evidence when a special button is pressed. If agents knock at the door to announce their search, the suspect can simply press the button and activate the program to destroy the evidence.
When agents have reason to believe that knocking and announcing their presence would allow the destruction of evidence, would be dangerous, or would be futile, agents should request that the magistrate judge issue a no-knock warrant. The failure to obtain judicial authorization to dispense with the knock-and-announce rule does not preclude the agents from conducting a no-knock search, however. In some cases, agents may neglect to request a no-knock warrant, or may not have reasonable suspicion that evidence will be destroyed until they execute the search. In Richards, the Supreme Court made clear that "the reasonableness of the officers' decision [to dispense with the knock-and-announce rule] . . . must be evaluated as of the time they entered" the area to be searched. Richards, 520 U.S. at 395. Accordingly, agents may "exercise independent judgment" and decide to conduct a no-knock search when they execute the search, even if they did not request such authority or the magistrate judge specifically refused to authorize a no-knock search. Id. at 396 n.7. The question in all such cases is whether the agents had "a reasonable suspicion that knocking and announcing their presence, under the particular circumstances, would be dangerous or futile, or that it would inhibit the effective investigation of the crime by, for example, allowing the destruction of evidence." Id. at 394.
6. Sneak-and-Peek Warrants
If certain conditions are met, a court may authorize so-called "surreptitious entry warrants" or "sneak-and-peek" warrants that excuse agents from having to notify the person whose premises are searched at the time of the search. Under 18 U.S.C. § 3103a, as amended by the USA PATRIOT Act of 2001 § 213, Pub. L. No. 107-56, 115 Stat. 272 (2001), a court may grant the delay of notice associated with the execution of a search warrant if it finds "reasonable cause" to believe that providing immediate notification of the execution of the warrant may have one of the adverse effects enumerated in 18 U.S.C. § 2705: endangering the life or physical safety of an individual, flight from prosecution, evidence tampering, witness intimidation, or otherwise seriously jeopardizing an investigation or unduly delaying a trial. This standard may reduce some of the inconsistencies among jurisdictions in rules governing sneak-and-peek warrants that existed prior to the PATRIOT Act. CompareUnited States v. Simons, 206 F.3d 392, 403 (4th Cir. 2000) (45-day delay in notice of execution of warrant does not render search unconstitutional) with United States v. Freitas, 800 F.2d 1451, 1456 (9th Cir. 1986) (warrant constitutionally defective for failing to provide explicitly for notice within "a reasonable, but short, time").
Furthermore, under section 3103a, law enforcement authorities must provide delayed notice within a "reasonable period" following a warrant's execution, but the court can further delay notification for good cause. "Reasonable period" is a flexible standard to meet the circumstances of each individual case. Cf.United States v. Villegas, 899 F.2d 1324, 1337 (2d Cir. 1990) (noting prior to the amendment of section 3103a that "[w]hat constitutes a reasonable time will depend on the circumstances of each individual case"). Courts deciding this issue prior to the amendment of the statute have made different rulings on what period of delay is "reasonable." United States v. Simons, 206 F.3d 392, 403 (4th Cir. 2000) (45-day delay in notice of execution of warrant does not render search unconstitutional); Villegas, 899 F.2d at 1337 (seven-day initial delay reasonable, subject to extensions); United States v. Freitas, 800 F.2d 1451, 1456 (9th Cir. 1986) ("Such time should not exceed seven days except upon a strong showing of necessity.").
The provision distinguishes between delaying notice of a search and delaying notice of a seizure. Indeed, unless the court finds "reasonable necessity" for a seizure, warrants issued under this section must prohibit the seizure of any tangible property, any wire or electronic communication, or any stored wire or electronic information (except as expressly provided in chapter 121). Congress intended that if investigators intended to make surreptitious copies of information stored on a suspect's computer, they would obtain authorization from the court in advance.
Prosecutors should exercise discretion and obtain the approval of a supervisory official within their office before seeking delayed-notice warrants or orders. In addition, every attempt should be made to ensure that the period of delayed notice will be as brief as is reasonably possible. The Executive Office of United States Attorneys should also be notified about such warrants. For more information regarding this provision, prosecutors and investigators should contact the Office of Enforcement Operations, Criminal Division, at (202) 514-0746 or (202) 514-3684.
7. Privileged Documents
Agents must exercise special care when planning a computer search that may result in the seizure of legally privileged documents such as medical records or attorney-client communications. Two issues must be considered. First, agents should make sure that the search will not violate the Attorney General's regulations relating to obtaining confidential information from disinterested third parties. Second, agents should devise a strategy for reviewing the seized computer files following the search so that no breach of a privilege occurs.
a) The Attorney General's Regulations Relating to Searches of Disinterested Lawyers, Physicians, and Clergymen
Agents should be very careful if they plan to search the office of a doctor, lawyer, or member of the clergy who is not implicated in the crime under investigation. At Congress's direction, the Attorney General has issued guidelines for federal officers who want to obtain documentary materials from such disinterested third parties. See 42 U.S.C. § 2000aa-11(a); 28 C.F.R. § 59.4(b). Under these rules, federal law enforcement officers should not use a search warrant to obtain documentary materials believed to be in the private possession of a disinterested third party physician, lawyer, or clergyman where the material sought or likely to be reviewed during the execution of the warrant contains confidential information on patients, clients, or parishioners. 28 C.F.R. § 59.4(b). The regulation does contain a narrow exception. A search warrant can be used if using less intrusive means would substantially jeopardize the availability or usefulness of the materials sought; access to the documentary materials appears to be of substantial importance to the investigation; and the application for the warrant has been recommended by the U.S. Attorney and approved by the appropriate Deputy Assistant Attorney General. See 28 C.F.R. § 59.4(b)(1) and (2).
When planning to search the offices of a lawyer under investigation, agents should follow the guidelines offered in the United States Attorney's Manual, and should consult the Office of Enforcement Operations at (202) 514-3684. See generally United States Attorney's Manual, § 9-13.420 (1997).
b) Strategies for Reviewing Privileged Computer Files
Agents contemplating a search that may result in the seizure of legally privileged computer files should devise a post-seizure strategy for screening out the privileged files and should describe that strategy in the affidavit.
When agents seize a computer that contains legally privileged files, a trustworthy third party must comb through the files to separate those files within the scope of the warrant from files that contain privileged material. After reviewing the files, the third party will offer those files within the scope of the warrant to the prosecution team. Preferred practices for determining who will comb through the files vary widely among different courts. In general, however, there are three options. First, the court itself may review the files in camera. Second, the presiding judge may appoint a neutral third party known as a "special master" to the task of reviewing the files. Third, a team of prosecutors or agents who are not working on the case may form a "taint team" or "privilege team" to help execute the search and review the files afterwards. The taint team sets up a so-called "Chinese Wall" between the evidence and the prosecution team, permitting only unprivileged files that are within the scope of the warrant to slip through the wall.
Because a single computer can store millions of files, judges will undertake in camera review of computer files only rarely. See Black v. United States, 172 F.R.D. 511, 516-17 (S.D. Fla. 1997) (accepting in camera review given unusual circumstances); United States v. Skeddle, 989 F. Supp. 890, 893 (N.D. Ohio 1997) (declining in camera review). Instead, the typical choice is between using a taint team and a special master. Most prosecutors will prefer to use a taint team if the court consents. A taint team can usually screen through the seized computer files fairly quickly, whereas special masters often take several years to complete their review. See Black, 172 F.R.D. at 514 n.4. On the other hand, some courts have expressed discomfort with taint teams. See United States v. Neill, 952 F. Supp. 834, 841 (D.D.C. 1997); United States v. Hunter, 13 F. Supp. 2d 574, 583 n.2 (D. Vt. 1998) (stating that review by a magistrate judge or special master "may be preferable" to reliance on a taint team) (citing In re Search Warrant, 153 F.R.D. 55, 59 (S.D.N.Y. 1994)).
Although no single standard has emerged, courts have generally indicated that evidence screened by a taint team will be admissible only if the government shows that its procedures adequately protected the defendants' rights and no prejudice occurred. See, e.g., Neill, 952 F. Supp. at 840-42; Hunter, 13 F. Supp. 2d at 583. One approach to limit the amount of potentially privileged material in dispute is to have defense counsel review the output of the taint team to identify those documents for which counsel intends to raise a claim of privilege. Files thus identified that do not seem relevant to the investigation need not be litigated. Although this approach may not be appropriate in every case, magistrates may appreciate the fact that defense counsel has been given the chance to identify potential claims before the court decides what to provide to the prosecution team.
In unusual circumstances,
the court may conclude that a taint team would be inadequate and may appoint
a special master to review the files. See,
e.g., United
States v. Abbell, 914 F. Supp. 519 (S.D. Fla. 1995); DeMassa
v. Nunez, 747 F.2d 1283 (9th Cir. 1984). In any event, the reviewing
authority will almost certainly need a skilled and neutral technical expert
to assist in sorting, identifying, and analyzing digital evidence for the reviewing
process.
C. Drafting the Warrant and Affidavit
Law enforcement officers must draft two documents to obtain a search warrant from a magistrate judge. The first document is the affidavit, a sworn statement that (at a minimum) explains the basis for the affiant's belief that the search is justified by probable cause. The second document is the proposed warrant itself. The proposed warrant typically is a one-page form, plus attachments incorporated by reference, that describes the place to be searched, and the persons or things to be seized. If the magistrate judge agrees that the affidavit establishes probable cause, and that the proposed warrant's descriptions of the place to be searched and things to be seized are adequately particular, the magistrate judge will sign the warrant. Under the Federal Rules of Criminal Procedure, officers must execute the warrant within ten days after the warrant has been signed. See Fed. R. Crim. P. 41(b).
In general, there are three steps involved in drafting the warrant and affidavit. First, the warrant (and/or its attachments) must accurately and particularly describe the property to be seized. Second, the affidavit must establish probable cause. Third, the affidavit should include an explanation of the search strategy. These three components are discussed below.
Step 1: Accurately and Particularly Describe the Property to be Seized in the Warrant and/or Attachments to the Warrant
a. General
Agents must take special care when describing the computer files or hardware to be seized, either in the warrant itself or (more likely) in an attachment to the warrant incorporated into the warrant by reference. The Fourth Amendment requires that every warrant must "particularly describ[e] . . . the . . . things to be seized." U.S. Const. Amend. IV. The particularity requirement prevents law enforcement from executing "general warrants" that permit "exploratory rummaging" through a person's belongings in search of evidence of a crime. Coolidge v. New Hampshire, 403 U.S. 443, 467 (1971).
The particularity requirement has two distinct elements. See United States v. Upham, 168 F.3d 532, 535 (1st Cir. 1999). First, the warrant must describe the things to be seized with sufficiently precise language so that it tells the officers how to separate the items properly subject to seizure from irrelevant items. See Marron v. United States, 275 U.S. 192, 296 (1925) ("As to what is to be taken, nothing is left to the discretion of the officer executing the warrant."); Davis v. Gracey, 111 F.3d 1472, 1478 (10th Cir. 1997). Second, the description of the things to be seized must not be so broad that it encompasses items that should not be seized. See Upham, 168 F.3d at 535. Put another way, the description in the warrant of the things to be seized should be limited to the scope of the probable cause established in the warrant. See In re Grand Jury Investigation Concerning Solid State Devices, 130 F.3d 853, 857 (9th Cir. 1997). Considered together, the elements forbid agents from obtaining "general warrants" and instead require agents to conduct narrow seizures that attempt to "minimize[] unwarranted intrusions upon privacy." Andresen v. Maryland, 427 U.S. 463, 482 n.11 (1976).
b. Warrants to Seize Hardware vs. Warrants to Seize Information
If computer hardware is contraband, evidence, fruits, or instrumentalities of crime, the warrant should describe the hardware itself. If the probable cause relates only to information, however, the warrant should describe the information, rather than the physical storage devices which happen to contain it.
The most important decision agents must make when describing the property in the warrant is whether the seizable property according to Rule 41 is the computer hardware itself, or merely the information that the hardware contains. If the computer hardware is itself contraband, an instrumentality of crime, or evidence, the focus of the warrant should be on the computer hardware itself and not on the information it contains. The warrant should describe the hardware and indicate that the hardware will be seized. See, e.g., Davis v. Gracey, 111 F.3d 1472, 1480 (10th Cir. 1997) (seizure of computer "equipment" used to store obscene pornography was proper because the equipment was an instrumentality). However, if the probable cause relates in whole or in part to information stored on the computer, the warrant should focus on the content of the relevant files rather than on the storage devices which may happen to contain them. See, e.g., United States v. Gawrysiak, 972 F. Supp. 853, 860 (D.N.J. 1997), aff'd, 178 F.3d 1281 (3d Cir. 1999) (upholding seizure of "records [that] include information and/or data stored in the form of magnetic or electronic coding on computer media . . . which constitute evidence" of enumerated federal crimes). The warrant should describe the information based on its content (e.g., evidence of a fraud scheme), and then request the authority to seize the information in whatever form the information may be stored. To determine whether the warrant should describe the computer hardware itself or the information it contains, agents should consult Appendix F and determine whether the hardware constitutes evidence, contraband, or an instrumentality that may itself be seizable according to Rule 41(a).
When conducting a search for information, agents need to consider carefully exactly what information they need. The information may be very narrow (e.g., a specific record or report), or quite broad (e.g., all records relating to an elaborate fraud scheme). Agents should tailor each warrant to the needs of each search. The warrant should describe the information to be seized, and then request the authority to seize the information in whatever form it may be stored (whether electronic or not).
Agents should be particularly careful when seeking authority to seize a broad class of information. This often occurs when agents plan to search computers at a business. See, e.g., United States v. Leary, 846 F.2d 592, 600-04 (10th Cir. 1988). Agents cannot simply request permission to seize "all records" from an operating business unless agents have probable cause to believe that the criminal activity under investigation pervades the entire business. See United States v. Ford, 184 F.3d 566, 576 (6th Cir. 1999) (citing cases); In re Grand Jury Investigation Concerning Solid State Devices, 130 F.3d 853, 857 (9th Cir. 1997). Instead, the description of the files to be seized should include limiting phrases that can modify and limit the "all records" search. For example, agents may specify the crime under investigation, the target of the investigation if known, and the time frame of the records involved. See, e.g., United States v. Kow, 58 F.3d 423, 427 (9th Cir. 1995) (invalidating warrant for failure to name crime or limit seizure to documents authored during time frame under investigation ); Ford, 184 F.3d at 576 ("Failure to limit broad descriptive terms by relevant dates, when such dates are available to the police, will render a warrant overbroad."); In the Matter of the Application of Lafayette Academy, 610 F.2d 1, 3-4, 4 n.4 (1st Cir. 1979); United States v. Hunter, 13 F. Supp. 2d 574, 584 (D. Vt. 1998) (concluding that warrant to seize "[a]ll computers" not sufficiently particular where description "did not indicate the specific crimes for which the equipment was sought, nor were the supporting affidavits or the limits contained in the searching instructions incorporated by reference.").
In light of these cases, agents should narrow "all records" searches with limiting language as necessary and appropriate. One effective approach is to begin with an "all records" description; add limiting language stating the crime, the suspects, and relevant time period if applicable; include explicit examples of the records to be seized; and then indicate that the records may be seized in any form, whether electronic or non-electronic. For example, when drafting a warrant to search a computer at a business for evidence of a drug trafficking crime, agents might describe the property to be seized in the following way:
All records relating to violations of 21 U.S.C. § 841(a) (drug trafficking) and/or 21 U.S.C. § 846 (conspiracy to traffic drugs) involving [the suspect] since January 1, 1996, including lists of customers and related identifying information; types, amounts, and prices of drugs trafficked as well as dates, places, and amounts of specific transactions; any information related to sources of narcotic drugs (including names, addresses, phone numbers, or any other identifying information); any information recording [the suspect's] schedule or travel from 1995 to the present; all bank records, checks, credit card bills, account information, and other financial records.
The terms "records" and "information" include all of the foregoing items of evidence in whatever form and by whatever means they may have been created or stored, including any electrical, electronic, or magnetic form (such as any information on an electronic or magnetic storage device, including floppy diskettes, hard disks, ZIP disks, CD-ROMs, optical discs, backup tapes, printer buffers, smart cards, USB storage devices, memory calculators, pagers, personal digital assistants such as Palm Pilot computers, as well as printouts or readouts from any magnetic storage device); any handmade form (such as writing, drawing, painting); any mechanical form (such as printing or typing); and any photographic form (such as microfilm, microfiche, prints, slides, negatives, videotapes, motion pictures, photocopies).
This language describes the general class of information to be seized ("all records"); narrows it to the extent possible (only those records involving the defendant's drug trafficking activities since 1995); offers examples of the types of records sought (such as customer lists and bank records); and then explains the various forms that the records may take (including electronic and non-electronic forms).
Of course, agents do not need to follow this approach in every case; judicial review of search warrants is "commonsensical" and "practical," rather than "overly technical." United States v. Ventresca, 380 U.S. 102, 108 (1965). When agents cannot know the precise form that records will take before the search occurs, a generic description must suffice. See United States v. Logan, 250 F.3d 350, 365 (6th Cir. 2001) (approving a broadly worded warrant and noting that "the warrant's general nature" was appropriate in light of the investigation's circumstances); Davis v. Gracey, 111 F.3d 1472, 1478 (10th Cir. 1997) ("Even a warrant that describes the items to be seized in broad or generic terms may be valid when the description is as specific as the circumstances and the nature of the activity under investigation permit.") (internal quotations omitted); United States v. Lacy, 119 F.3d 742, 746-47 (9th Cir. 1997) (holding that the general description of computer equipment to be seized was sufficient as there was "no way to specify what hardware and software had to be seized to retrieve the images accurately"); United States v. London, 66 F.3d 1227, 1238 (1st Cir. 1995) (noting that where the defendant "operated a complex criminal enterprise where he mingled 'innocent' documents with apparently-innocent documents which, in fact, memorialized illegal transactions, . . . . [it] would have been difficult for the magistrate judge to be more limiting in phrasing the warrant's language, and for the executing officers to have been more discerning in determining what to seize."); United States v. Sharfman, 448 F.2d 1352, 1354-55 (2d Cir. 1971); Gawrysiak, 972 F. Supp. at 861. Warrants sometimes authorize seizure of all records relating to a particular criminal offense. See London, 66 F.3d at 1238 (upholding search for "books and records . . . and any other documents. . . which reflect unlawful gambling"); United States v. Riley, 906 F.2d 841, 844-45 (2d Cir. 1990) (upholding seizure of "items that constitute evidence of the offenses of conspiracy to distribute controlled substances"); United States v. Wayne, 903 F.2d 1188, 1195 (8th Cir. 1990) (upholding search for "documents and materials which may be associated with . . contraband [narcotics]"). Even an "all records" search may be appropriate in certain circumstances. See also United States v. Hargus, 128 F.3d 1358, 1362-63 (10th Cir. 1997) (upholding seizure of "any and all records relating to the business" under investigation for mail fraud and money laundering).
c. Defending Computer Search Warrants Against Challenges Based on the Description of the "Things to be Seized"
Search warrants may be subject to challenge when the description of the "things to be seized" does not comply fully with the practices suggested above. Two challenges to the scope of warrants arise particularly often. First, defendants may claim that a warrant is insufficiently particular when the warrant authorizes the seizure of hardware but the affidavit only establishes probable cause to seize information. Second, defendants may claim that agents exceeded the scope of the warrant by seizing computer equipment if the warrant failed to state explicitly that the information to be seized might be in electronic form. The former challenge argues that the description of the property to be seized was too broad, and the latter argues that the description was not broad enough.
1) When the warrant authorizes the seizure of hardware but the affidavit only establishes probable cause to seize information
Computer search warrants sometimes authorize the seizure of hardware when the probable cause in the affidavit relates solely to the computer files the hardware contains. For example, agents may have probable cause to believe that a suspect possesses evidence of a fraud scheme, and may draft the warrant to authorize the seizure of the defendant's computer equipment rather than the data stored within it. On a practical level, such a description makes sense because it accurately and precisely describes what the agents will do when they execute the warrant (i.e., seize the computer equipment). From a legal standpoint, however, the description is less than ideal: one might argue that the equipment itself is not evidence of a crime, an instrumentality or contraband that may be seized according to Rule 41(a). See Appendix F; cf. In re Grand Jury Subpoena Duces Tecum, 846 F. Supp. 11, 13 (S.D.N.Y. 1994) (concluding that a subpoena demanding production of computer hardware instead of the information it contained was unreasonably broad pursuant to Fed. R. Crim. P. 17(c)). The physical equipment merely stores the information that the agents have probable cause to seize. Although the agents may need to seize the equipment in order to obtain the files it contains and computer files do not exist separate from some storage medium, the better practice is to describe the information rather than the equipment in the warrant itself. When agents obtain a warrant authorizing the seizure of equipment, defendants may claim that the description of the property to be seized is fatally overbroad. See, e.g., Davis v. Gracey, 111 F.3d 1472, 1479 (10th Cir. 1997). (11)
To date, the courts have adopted a forgiving stance when faced with this challenge. The courts have generally held that descriptions of hardware can satisfy the particularity requirement so long as the subsequent searches of the seized computer hardware appear reasonably likely to yield evidence of crime. See, e.g., United States v. Hay, 231 F.3d 630, 634 (9th Cir. 2000) (upholding seizure of "computer hardware" in search for materials containing child pornography); United States v. Campos, 221 F.3d 1143, 1147 (10th Cir. 2000) (upholding seizure of "computer equipment which may be, or is used to visually depict child pornography," and noting that the affidavit accompanying the warrant explained why it would be necessary to seize the hardware and search it off-site for the images it contained); United States v. Upham, 168 F.3d 532, 535 (1st Cir. 1999) (upholding seizure of "[a]ny and all computer software and hardware, . . . computer disks, disk drives" in a child pornography case because "[a]s a practical matter, the seizure and subsequent off-premises search of the computer and all available disks was about the narrowest definable search and seizure reasonably likely to obtain the [sought after] images"); United States v. Lacy, 119 F.3d 742, 746 (9th Cir. 1997) (warrant permitting "blanket seizure" of computer equipment from defendant's apartment not insufficiently particular when there was probable cause to believe that computer would contain evidence of child pornography offenses); United States v. Henson, 848 F.2d 1374, 1382-83 (6th Cir. 1988) (permitting seizure of "computer[s], computer terminals, ... cables, printers, discs, floppy discs, [and] tapes" that could hold evidence of the defendants' odometer-tampering scheme because such language "is directed toward items likely to provide information concerning the [defendants'] involvement in the . . . scheme and therefore did not authorize the officers to seize more than what was reasonable under the circumstances"); United States v. Albert, 195 F. Supp. 2d 267, 275-76 (D. Mass. 2002) (upholding warrant for seizure of computer and all related software and storage devices where such an expansive search was "the only practical way" to obtain images of child pornography). Cf. United States v. Lamb, 945 F. Supp. 441, 458-59 (N.D.N.Y. 1996) (not insufficiently particular to ask for "[a]ll stored files" in AOL network account when searching account for obscene pornography, because as a practical matter all files need to be reviewed to determine which files contain the pornography).
Despite these decisions, agents should comply with the technical requirements of Rule 41 when describing the "property to be seized" in a search warrant. If the property to be seized is information, the warrant should describe the information to be seized, rather than its container. Of course, seizure of computer equipment is not necessarily improper. For example, when the information to be seized is contraband (such as child pornography), the container itself may be independently seized as an instrumentality. See Gracey, 111 F.3d at 1480 (seizure of computer "equipment" was proper in case involving obscenity because the hardware was an instrumentality of the crime).
2) When agents seize computer data and computer hardware but the warrant does not expressly authorize their seizure
Search warrants sometimes fail to mention that information described in the warrant may appear in electronic form. For example, a search for "all records" relating to a conspiracy may list paper-world examples of record documents but neglect to state that the records may be stored within a computer. Agents executing the search who come across computer equipment may not know whether the warrant authorizes the seizure of the computers. If the agents do seize the computers, defense counsel may file a motion to suppress the evidence arguing that the computers seized were beyond the scope of the warrant.
The courts have generally permitted agents to seize computer equipment when agents reasonably believe that the content described in the warrant may be stored there, regardless of whether the warrant states expressly that the information may be stored in electronic form. See, e.g., United States v. Musson, 650 F. Supp. 525, 532 (D. Colo. 1986). As the Tenth Circuit explained in United States v. Reyes, 798 F.2d 380, 383 (10th Cir. 1986), "in the age of modern technology and commercial availability of various forms of items, the warrant c[an] not be expected to describe with exactitude the precise form the records would take." Accordingly, what matters is the substance of the evidence, not its form, and the courts will defer to an executing agent's reasonable construction of what property must be seized to obtain the evidence described in the warrant. See United States v. Hill, 19 F.3d 984, 987-89 (5th Cir. 1994); Hessel v. O'Hearn, 977 F.2d 299 (7th Cir. 1992); United States v. Word, 806 F.2d 658, 661 (6th Cir. 1986); United States v. Gomez-Soto, 723 F.2d 649, 655 (9th Cir. 1984) ("The failure of the warrant to anticipate the precise container in which the material sought might be found is not fatal."). See also United States v. Abbell, 963 F. Supp. 1178, 1997 (S.D. Fla. 1997) (noting that agents may legitimately seize "[a] document which is implicitly within the scope of the warrant -- even if it is not specifically identified").
3) General defenses to challenges of computer search warrants based on the description of the "things to be seized"
Prosecutors facing challenges to the particularity of computer search warrants have a number of additional arguments that may save inartfully drawn warrants. First, prosecutors can argue that the agents who executed the search had an objectively reasonable good faith belief that the warrant was sufficiently particular. See generally United States v. Leon, 468 U.S. 897, 922 (1984); Massachusetts v. Shepard, 468 U.S. 981, 990-91 (1984). If true, the court will not order suppression of the evidence. See, e.g., United States v. Hunter, 13 F. Supp. 2d 574, 584-85 (D. Vt. 1998) (holding that good faith exception applied even though computer search warrant was insufficiently particular). Second, prosecutors may argue that the broad description in the warrant must be read in conjunction with a more particular description contained in the supporting affidavit. Although the legal standards vary widely among the circuits, see Wayne R. LaFave,Search and Seizure: A Treatise on the Fourth Amendment § 4.6(a) (1994), most circuits permit the warrant to be construed with reference to the affidavit for purposes of satisfying the particularity requirement in certain circumstances. Finally, several circuits have held that courts can redact overbroad language and admit evidence from overbroad seizures if the evidence admitted was seized pursuant to sufficiently particular language. See United States v. Christine, 687 F.2d 749, 759 (3d Cir. 1982); Gomez-Soto, 723 F.2d at 654.
Step 2: Establish Probable Cause in the Affidavit
The second step in preparing a warrant to search and seize a computer is to write a sworn affidavit establishing probable cause to believe that contraband, evidence, fruits, or instrumentalities of crime exist in the location to be searched. See U.S. Const. Amend. IV ("no Warrants shall issue, but upon probable cause, supported by Oath or affirmation"); Fed. R. Crim. P. 41(b),(c). According to the Supreme Court, the affidavit must establish "a fair probability that contraband or evidence of a crime will be found in a particular place." Illinois v. Gates, 462 U.S. 213, 238 (1983). This requires a practical, common-sense determination of the probabilities, based on a totality of the circumstances. See id. Of course, probable cause will not exist if the agent can only point to a "bare suspicion" that criminal evidence will be found in the place searched. See Brinegar v. United States, 338 U.S. 160, 175 (1949). Once a magistrate judge finds probable cause and issues the warrant, the magistrate's determination that probable cause existed is entitled to "great deference," Gates, 462 U.S. at 236, and will be upheld so long as there is a "substantial basis for concluding that probable cause existed." Id. at 238-39 (internal quotations omitted).
Importantly, the probable cause requirement does not require agents to be clairvoyant in their knowledge of the precise forms of evidence or contraband that will exist in the location to be searched. For example, agents do not need probable cause to believe that the evidence sought will be found in computerized (as opposed to paper) form. See United States v. Reyes, 798 F.2d 380, 382 (10th Cir. 1986) (noting that "in the age of modern technology . . . , the warrant could not be expected to describe with exactitude the precise forms the records would take"). Similarly, agents do not need to know exactly what statutory violation the evidence will help reveal, see United States v. Prandy-Binett, 995 F.2d 1069, 1073 (D.C. Cir. 1993), and do not need to know who owns the property to be searched and seized, see United States v. McNally, 473 F.2d 934, 942 (3d Cir. 1973). The probable cause standard simply requires agents to establish a fair probability that contraband or evidence of a crime will be found in the particular place to be searched. See Gates, 462 U.S. at 238. Of course, agents who have particular knowledge as to the form of evidence or contraband that exists at the place to be searched should articulate that knowledge fully in the affidavit.
Probable cause challenges to computer search warrants arise particularly often in cases involving the possession and transmission of child pornography images. (12) For example, defendants often claim that the passage of time between the warrant application and the occurrence of the incriminating facts alleged in the affidavit left the magistrate judge without sufficient reason to believe that images of child pornography would be found in the defendant's computers. The courts have generally found little merit in these "staleness" arguments, in part because the courts have taken judicial notice of the fact that collectors of child pornography rarely dispose of such material. See, e.g., United States v. Hay, 231 F.3d 630, 636 (9th Cir. 2000); United States v. Horn, 187 F.3d 781, 786-87 (8th Cir. 1999); United States v. Lacy, 119 F.3d 742, 745-46 (9th Cir. 1997); United States v. Sassani, 139 F.3d 895, 1998 WL 89875, at *4-5 (4th Cir. Mar. 4, 1998) (unpublished) (citing cases). But see United States v. Zimmerman, 277 F.3d 426, 433-34 (3d Cir. 2002) (distinguishing retention of adult pornography from retention of child pornography and holding that evidence that adult pornography had been on computer at least six months before a warrant was issued was stale). Courts have also noted that advances in computer forensic analysis allow investigators to recover files even after they are deleted, casting greater doubt on the validity of "staleness" arguments. See Hay, 231 F.3d at 636; United States v. Cox, 190 F. Supp. 2d 330, 334 (N.D.N.Y. 2002).
Probable cause challenges may also arise when supporting evidence in an affidavit derives heavily from records of a particular Internet account or Internet Protocol ("IP") address. The problem is a practical one: generally speaking, the fact that an account or address was used does not establish conclusively the identity or location of the particular person who used it. As a result, an affidavit based heavily on account or IP address logs must demonstrate a sufficient connection between the logs and the location to be searched to establish "a fair probability that contraband or evidence of a crime will be found in [the] particular place" to be searched. Gates, 462 U.S. at 238. See, e.g., United States v. Cervini, 2001 WL 863559 (10th Cir. Jul. 31, 2001) (unpublished) (upholding finding of probable cause to search a house based on evidence that a particular IP address was used to transmit child pornography at a particular time, that the IP address and time of transmission were associated with the suspect's account with an Internet service provider, and that the suspect had two active phone lines connected to the his house); United States v. Hay, 231 F.3d 630, 634 (9th Cir. 2000) (evidence that child pornography images were sent to an IP address associated with the defendant's apartment, combined with other evidence of the defendant's interest in young children, created probable cause to search the defendant's apartment for child pornography); United States v. Grant, 218 F.3d 72, 76 (1st Cir. 2000) (evidence that an Internet account belonging to the defendant was involved in criminal activity on several occasions, and that the defendant's car was parked at his residence during at least one such occasion, created probable cause to search the defendant's residence).
Step 3: In the Affidavit Supporting the Warrant, Include an Explanation of the Search Strategy (Such as the Need to Conduct an Off-site Search) as Well as the Practical and Legal Considerations That Will Govern the Execution of the Search
The third step in drafting a successful computer search warrant is to explain both the search strategy and the practical considerations underlying the strategy in the affidavit. For example, if agents expect that they may need to seize a personal computer and search it off-site to recover the relevant evidence, the affidavit should explain this expectation and its basis to the magistrate judge. The affidavit should inform the court of the practical limitations of conducting an on-site search, and should articulate the plan to remove the entire computer from the site if it becomes necessary. The affidavit should also explain what techniques the agents expect to use to search the computer for the specific files that represent evidence of crime and may be intermingled with entirely innocuous documents. If the search strategy has been influenced by legal considerations such as potential PPA liability, the affidavit should explain how and why in the affidavit. If the agents have authority to seize hardware because the hardware itself is evidence, contraband, or an instrumentality of crime, the affidavit should explain whether the agents intend to search the hardware following the seizure, and, if so, for what. In sum, the affidavit should address all of the relevant practical and legal issues that the agents have considered in the course of planning the search, and should explain the course of conduct that the agents will follow as a result. Although no particular language is required, Appendix F offers sample language that agents may find useful in many situations. Finally, when the search strategy is complicated or the affidavit is under seal, agents may consider whether to reproduce the explanation of the search strategy contained in the affidavit as an attachment to the warrant itself.
The reasons for articulating the search strategy in the affidavit are both practical and legal. On a practical level, explaining the search strategy in the affidavit creates a document that both the court and the agents can read and refer to as a guide to the execution of the search. See Nat'l City Trading Corp. v. United States, 635 F.2d 1020, 1026 (2d Cir. 1980) ("[W]e note with approval the care taken by the Government in the search involved here. . . . Such self-regulatory care [in executing a warrant] is conduct highly becoming to the Government."). Similarly, if the explanation of the search strategy is reproduced as an attachment to the warrant and given to the subject of the search pursuant to Rule 41(d), the explanation permits the owner of the searched property to satisfy himself during the search that the agents' conduct is within the scope of the warrant. See Michigan v. Tyler, 436 U.S. 499, 508 (1978) (noting that "a major function of the warrant is to provide the property owner with sufficient information to reassure him of the entry's legality"). Finally, as a legal matter, explaining the search strategy in the affidavit helps to counter defense counsel motions to suppress based on the agents' alleged "flagrant disregard" of the warrant during the execution of the search. However, agents must also beware of articulating an excessively narrow or restrictive search strategy: defense counsel may also allege flagrant disregard of a warrant if agents transgress the strategy described in the warrant.
To understand motions to suppress based on the "flagrant disregard" standard, agents and prosecutors should recall the limitations on search and seizure imposed by Rule 41 and the Fourth Amendment. In general, the Fourth Amendment and Rule 41 limit agents to searching for and seizing property described in the warrant that is itself evidence, contraband, fruits, or instrumentalities of crime. See United States v. Tamura, 694 F.2d 591, 595 (9th Cir. 1982); see also Appendix F (describing property that may be seized according to Rule 41). If agents execute a warrant and seize additional property not described in the warrant, defense counsel can file a motion to suppress the additional evidence. Motions to suppress such additional evidence are filed relatively rarely because, if granted, they result only in the suppression of the property not named in the warrant. See United States v. Hargus, 128 F.3d 1358, 1363 (10th Cir. 1997).
On the other hand, defense counsel will often attempt to use the seizure of additional property as the basis for a motion to suppress all of the evidence obtained in a search. To be entitled to the extreme remedy of blanket suppression, the defendant must establish that the seizure of additional materials proves that the agents executed the warrant in "flagrant disregard" of its terms. See, e.g., United States v. Le, 173 F.3d 1258, 1269 (10th Cir. 1999); United States v. Matias, 836 F.2d 744, 747-48 (2d Cir. 1988) (citing cases). A search is executed in "flagrant disregard" of its terms when the officers so grossly exceed the scope of the warrant during execution that the authorized search appears to be merely a pretext for a "fishing expedition" through the target's private property. See, e.g., United States v. Liu, 239 F.3d 138 (2d Cir. 2000); United States v. Foster, 100 F.3d 846, 851 (10th Cir. 1996); United States v. Young, 877 F.2d 1099, 1105-06 (1st Cir. 1989).
Motions to suppress alleging "flagrant disregard" are common in computer searches because, for practical and technical reasons, agents executing computer searches frequently must seize hardware or files that are not described in the warrant. For example, as was just discussed, agents who have probable cause to believe that evidence of a defendant's fraud scheme is stored on the defendant's home computer may have to seize the entire computer and search it off-site. Defense lawyers often argue that by seizing more than the specific computer files named in the warrant, the agents "flagrantly disregarded" the seizure authority granted by the warrant. See, e.g., United States v. Henson, 848 F.2d 1374, 1383 (6th Cir. 1988); United States v. Hunter, 13 F. Supp. 2d 574, 585 (D. Vt. 1998); United States v. Gawryisiak, 972 F. Supp. 853, 865 (D.N.J. 1997), aff'd, 178 F.3d 1281 (3d Cir. 1999); United States v. Schwimmer, 692 F. Supp. 119, 127 (E.D.N.Y. 1988).
Prosecutors can best respond to "flagrant disregard" motions by showing that any seizure of property not named in the warrant resulted from a good faith response to inherent practical difficulties, rather than a wish to conduct a general search of the defendant's property under the guise of a narrow warrant. The courts have recognized the practical difficulties that agents face in conducting computer searches for specific files, and have approved off-site searches despite the incidental seizure of additional property. See, e.g., Davis v. Gracey, 111 F.3d 1472, 1280 (10th Cir. 1997) (noting "the obvious difficulties attendant in separating the contents of electronic storage [sought as evidence] from the computer hardware [seized] during the course of a search"); United States v. Schandl, 947 F.2d 462, 465-466 (11th Cir. 1991) (noting that an on-site search "might have been far more disruptive" than the off-site search conducted); Henson, 848 F.2d at 1383-84 ("We do not think it is reasonable to have required the officers to sift through the large mass of documents and computer files found in the [defendant's] office, in an effort to segregate those few papers that were outside the warrant."); United States v. Scott-Emuakpor, 2000 WL 288443, at *7 (W.D. Mich. Jan. 25, 2000) (noting "the specific problems associated with conducting a search for computerized records" that justify an off-site search); Gawrysiak, 972 F. Supp. at 866 ("The Fourth Amendment's mandate of reasonableness does not require the agent to spend days at the site viewing the computer screens to determine precisely which documents may be copied within the scope of the warrant."); United States v. Sissler, 1991 WL 239000, at *4 (W.D. Mich. Jan. 25, 1991) ("The police . . . were not obligated to inspect the computer and disks at the . . . residence because passwords and other security devices are often used to protect the information stored in them. Obviously, the police were permitted to remove them from the . . . residence so that a computer expert could attempt to 'crack' these security measures, a process that takes some time and effort. Like the seizure of documents, the seizure of the computer hardware and software was motivated by considerations of practicality. Therefore, the alleged carte blanche seizure of them was not a 'flagrant disregard' for the limitations of a search warrant."). See also United States v. Upham, 168 F.3d 532, 535 (1st Cir. 1999) ("It is no easy task to search a well-laden hard drive by going through all of the information it contains . . . . The record shows that the mechanics of the search for images later performed [off-site] could not readily have been done on the spot."); United States v. Lamb, 945 F. Supp. 441, 462 (N.D.N.Y. 1996) ("[I]f some of the image files are stored on the internal hard drive of the computer, removing the computer to an FBI office or lab is likely to be the only practical way of examining its contents.").
The decisions permitting off-site computer searches are bolstered by analogous "physical-world" cases that have authorized agents to remove file cabinets and boxes of paper documents so that agents can review the contents off-site for the documents named in the warrant. See, e.g., United States v. Hargus, 128 F.3d 1358, 1363 (10th Cir. 1997) (concluding that "wholesale seizure of file cabinets and miscellaneous papers" did not establish flagrant disregard because the seizure "was motivated by the impracticability of on-site sorting and the time constraints of executing a daytime search warrant"); Crooker v. Mulligan, 788 F.2d 809, 812 (1st Cir. 1986) (noting cases "upholding the seizure of documents, both incriminating and innocuous, which are not specified in a warrant but are intermingled, in a single unit, with relevant documents"); United States v. Tamura, 694 F.2d 591, 596 (9th Cir. 1982) (ruling that the district court properly denied suppression motion "where the Government's wholesale seizures were motivated by considerations of practicality rather than by a desire to engage in indiscriminate 'fishing'"); United States v. Hillyard, 677 F.2d 1336, 1340 (9th Cir. 1982) ("If commingling prevents on-site inspection, and no other practicable alternative exists, the entire property may be seizable, at least temporarily.").
Explaining the agent's search strategy and the practical considerations underlying the strategy in the affidavit may help ensure that the execution of the search will not be deemed in "flagrant disregard" of the warrant. Cf. United States v. Hay, 231 F.3d 630, 634 (9th Cir. 2000) (suggesting that a magistrate judge's authorization of a search supported by an affidavit that explained the need for an off-site search of a computer constituted "the magistrate judge's authorization" of the off-site search); United States v. Campos, 221 F.3d 1143, 1147 (10th Cir. 2000) (relying on the explanation of the search strategy contained in the affidavit to find that a computer search warrant was not overbroad). A careful explanation of the search strategy illustrates the agent's good faith and due care, articulates the practical concerns driving the search, and permits the judge to authorize the strategy described in the affidavit. A search that complies with the strategy explained in the supporting affidavit will not be in flagrant disregard of the warrant. See, e.g., United States v. Gawrysiak, 972 F. Supp. 853, 866 (D.N.J. 1997) (noting that agents' compliance with search plan included in affidavit evinced proper and reasonable care in executing authorized search).
Although explaining the search strategy has significant benefits, it is also important for agents not to be limited to an ineffective or excessively restrictive search strategy. For example, it is generally unwise to limit a search strategy solely to keyword searches. It is rare to know with certainty that the information sought will contain specified keywords and that the storage medium will be susceptible to keyword searches. Law and investment firms - not to mention individuals involved in criminal activity - often use code words to identify entities, individuals and specific business arrangements in documents and communications; sometimes the significance of such terms will not be apparent until after a careful file-by-file review has commenced. It should suffice to say that agents will engage "in search strategies such as keyword searches" to find the information described in the warrant. In addition, critical data on a computer may be in surprising nooks and crannies of the computer. For example, a robust search strategy should allow agents to search for deleted files in slack space. A search strategy should be sufficiently broad to ensure that agents will have no need to exceed the strategy to find the items identified in the warrant. Identifying a range of possible strategies is good practice.
When agents expect that the files described in the warrant will be commingled with innocent files outside of the warrant's scope, it is a good practice, if technically possible, to explain in the affidavit how the agents plan to search the computer for the targeted files.
When agents conduct a search for computer files and other electronic evidence stored in a hard drive or other storage device, the evidence may be commingled with data and files that have no relation to the crime under investigation. Figuring out how best to locate and retrieve the evidence amidst the unrelated data is more of an art than a science, and often requires significant technical expertise and careful attention to the facts. As a result, agents may or may not know at the time the warrant is obtained how the storage device should be searched, and, in beginning the search, may or may not know whether it will be possible to locate the evidence without conducting an extensive search through unrelated files.
When agents have a factual basis for believing that they can locate the evidence using a specific set of techniques, the affidavit should explain the techniques that the agents plan to use to distinguish incriminating documents from commingled documents. Depending on the circumstances, it may be helpful to consult with experts in computer forensics to determine what kind of search can be conducted to locate the particular files described in the warrant. In some cases, a "key word" search or similar surgical approach may be possible. Notably, the Fourth Amendment does not generally require such an approach. See United States v. Habershaw, 2001 WL 1867803, at *7 (D. Mass. May 13, 2001) (rejecting argument that sector-by-sector search violates Fourth Amendment where key word search might have been used); United States v. Hunter, 13 F. Supp. 2d 574, 584 (D. Vt. 1998) ("Computer records searches are no less constitutional than searches of physical records, where innocuous documents may be scanned to ascertain their relevancy."); United States v. Lloyd, 1998 WL 846822, at *3 (E.D.N.Y. Oct. 5, 1998). However, in extensive dicta, the Tenth Circuit has indicated that it favors such a narrow approach because it minimizes the possibility that the government will be able to use a narrow warrant to justify a broader search. See United States v. Carey, 172 F.3d 1268, 1275-76, 1275 n.8. (10th Cir. 1999) (citing Raphael Winick, Searches and Seizures of Computers and Computer Data, 8 Harv. J. L. &. Tech. 75, 108 (1994)); Campos, 221 F.3d at 1148. See also Gawrysiak, 972 F. Supp. at 866 (suggesting in dicta that agents executing a search for computer files "could have at the least checked the date on which each file was created, and avoided copying those files that were created before the time period covered by the warrant").
Of course, in many cases a narrow approach will be technically impossible. The targeted files may be mislabeled, hidden, oddly configured, written using code words to escape detection, encrypted, or otherwise impossible to find using a simple technique such as a "key word" search. Experience has shown that individuals engaged in various kinds of criminal conduct have used these techniques to obfuscate incriminating computer evidence. Because some judges may fail to appreciate such technical difficulties, it is a good practice as a matter of policy for agents to discuss these issues in the affidavit. In many cases, a more extensive search through innocent files will be necessary to determine which files fall within the scope of the warrant. Often, the only possible approach is to canvass the structure and sample some of the content of the seized storage device to tailor the best search techniques. In the course of this preliminary overview of the storage medium, unforeseeable technical difficulties may arise, and language in the affidavit should alert the magistrate judge of the need to allow for the development of flexible, changing search strategies. Explaining these practical needs in the affidavit can make clear at the outset why an extensive search will not be in "flagrant disregard" of the warrant, and why the extensive search complies fully with traditional Fourth Amendment principles. See Andresen v. Maryland, 427 U.S. 463, 482 n.11 (1976) ("In searches for papers, it is certain that some innocuous documents will be examined, at least cursorily, in order to determine whether they are, in fact, among those papers authorized to be seized."); United States v. Riley, 906 F.2d 841, 845 (2d Cir. 1990) (noting that records searches permit agents to search through many papers because "few people keep documents of their criminal transactions in a folder marked '[crime] records.'"); United States v. Gray, 78 F. Supp. 2d 524, 530 (E.D. Va. 1999) (noting that agents executing a search for computer files "are not required to accept as accurate any file name or suffix and [to] limit [their] search accordingly," because criminals may "intentionally mislabel files, or attempt to bury incriminating files within innocuously named directories."); Hunter, 13 F. Supp. 2d at 584; United States v. Sissler, 1991 WL 239000, at *4 (W.D. Mich. Jan. 25, 1991) ("[T]he police were not obligated to give deference to the descriptive labels placed on the discs by [the defendant]. Otherwise, records of illicit activity could be shielded from seizure by simply placing an innocuous label on the computer disk containing them.").
When agents obtain a warrant to seize hardware that is itself evidence, contraband, or an instrumentality of crime, they should explain in the affidavit whether and how they plan to search the hardware following the seizure.
When agents have probable
cause to seize hardware because it is evidence, contraband, or an instrumentality
of crime, the warrant will ordinarily describe the property to be seized as
the hardware itself. In many of these cases, however, the agents will plan to
search the hardware after it is seized for electronic data stored inside the
hardware that also constitute evidence or contraband. It is a good practice
for agents to inform the magistrate of this plan in the supporting affidavit.
Although the courts have upheld searches when agents did not explain this expectation
in the affidavit, see, e.g.,
United States v. Simpson, 152
F.3d 1241, 1248 (10th Cir. 1998) (discussed below), the better practice is to
inform the magistrate in the affidavit of the agents' plan to search the hardware
following the seizure.
D. Post-Seizure Issues
In many cases, computer equipment that has been seized will be sent to a laboratory for forensic examination. The time that may elapse before a technical specialist completes the forensic examination varies widely, depending on the hardware itself, the evidence sought, and the urgency of the search. Often, however, the elapsed time is a matter of months. Several legal issues may arise during the post-seizure period that implicate the government's right to retain and search the computers in their custody.
1. Searching Computers Already in Law Enforcement Custody
In general, agents should obtain a second warrant to search a computer seized pursuant to a valid warrant if the property targeted by the proposed search is different from that underlying the first warrant.
Agents often seize a computer pursuant to a warrant, and then ask whether they need a second warrant to search the computer. Whether a second warrant is needed depends on the purpose of the search. If agents plan to search the computer for the information that was the target of the original seizure, no second warrant is required. For example, in United States v. Simpson, 152 F.3d 1241 (10th Cir. 1998), investigators obtained a warrant to seize the defendant's "computer diskettes . . . and the defendant's computer" based on probable cause to believe it contained child pornography. The investigators seized the computer and then searched it in police custody, finding child pornography images. On appeal following conviction, the defendant claimed that the investigators lacked the authority to search the computer because the warrant merely authorized the seizure of equipment. The Tenth Circuit rejected the argument, concluding that a warrant to seize computer equipment permitted agents to search the equipment. See id. at 1248. See also United States v. Gray, 78 F. Supp. 2d 524, 530-31 (E.D. Va. 1999) (holding that initial warrant authorizing search for evidence of computer hacking justified a subsequent search for such evidence, even though agents uncovered incriminating evidence beyond the scope of the warrant in the course of executing the search).
If investigators seize computer equipment for the evidence it contains and later decide to search the equipment for different evidence, however, it may be safe practice to obtain a second warrant. In United States v. Carey, 172 F.3d 1268 (10th Cir. 1999), detectives obtained a warrant to search the defendant's computer for records of narcotics sales. Searching the computer back at the police station, a detective discovered images of child pornography. At that point, the detective "abandoned the search for drug-related evidence" and instead searched the entire hard drive for evidence of child pornography. Id. at 1277-78. The Tenth Circuit suppressed the child pornography, holding that the subsequent search for child pornography exceeded the scope of the original warrant. See id. at 1276. Compare Carey with United States v. Walser, 275 F.3d 981, 986-87 (10th Cir. 2001) (upholding search where officer with warrant to search for electronic records of drug transactions discovered child pornography on computer, suspended search, and then returned to magistrate for second warrant to search for child pornography); Gray, 78 F. Supp. 2d at 530-31 (upholding search where agent discovered child pornography in the course of looking for evidence of computer hacking pursuant to a warrant, and then obtained a second warrant before searching the computer for child pornography).
Notably, CareySee, e.g., Whren v. United States, 517 U.S. 806, 813 (1996); Horton v. California, 496 U.S. 128, 138 (1990). Relying on these precedents, several courts have indicated that an agent's subjective intent during the execution of a warrant no longer determines whether the search exceeded the scope of the warrant and violated the Fourth Amendment. See United States v. Van Dreel, 155 F.3d 902, 905 (7th Cir. 1998) ("[U]nder Whren, . . . once probable cause exists, and a valid warrant has been issued, the officer's subjective intent in conducting the search is irrelevant."); United States v. Ewain, 88 F.3d 689, 694 (9th Cir. 1996) ("Using a subjective criterion would be inconsistent with Horton, and would make suppression depend too much on how the police tell their story, rather than on what they did."). According to these cases, the proper inquiry is whether, from an objective perspective, the search that the agents actually conducted was consistent with the warrant obtained. See Ewain, 88 F.3d at 694. The agent's subjective intent is either "irrelevant," Van Dreel, 155 F.3d at 905, or else merely one factor in the overall determination of "whether the police confined their search to what was permitted by the search warrant." Ewain, 88 F.3d at 694.
2. The Permissible Time Period For Examining Seized Computers
Neither Rule 41 nor the Fourth Amendment creates any specific time limits on the government's forensic examination of seized computers. However, some magistrate judges have begun imposing such limitations.
Despite the best efforts of the government to analyze seized computers quickly, the forensic examination of seized computers often takes months to complete because computers can store enormous amounts of data. As a result, suspects whose computers have been seized may be deprived of their computer hardware for an extended period of time. Neither Rule 41 nor the Fourth Amendment imposes any specific limitation on the time period of the government's forensic examination. The government ordinarily may retain the seized computer and examine its contents in a careful and deliberate manner without legal restrictions, subject only to Rule 41(e)'s authorization that a "person aggrieved" by the seizure of property may bring a motion for the return of the property (see "Rule 41(e) Motions for Return of Property," infra). (13)
A few magistrate judges have taken a different view, however. Several magistrate judges have refused to sign search warrants authorizing the seizure of computers unless the government conducts the forensic examination in a short period of time, such as thirty days. Some magistrate judges have imposed time limits as short as seven days, and several have imposed specific time limits when agents apply for a warrant to seize computers from operating businesses. In support of these limitations, a few magistrate judges have expressed their concern that it might be constitutionally "unreasonable" under the Fourth Amendment for the government to deprive individuals of their computers for more than a short period of time. Other magistrates have suggested that Rule 41's requirement that agents execute a "search" within 10 days of obtaining the warrant might apply to the forensic analysis of the computer as well as the initial search and seizure. See Fed. R. Crim. P. 41(c)(1).
The law does not expressly authorize magistrate judges to issue warrants that impose time limits on law enforcement's examination of seized evidence. Although the relevant case law is sparse, it suggests that magistrate judges lack the legal authority to refuse to issue search warrants on the ground that they believe that the agents may, in the future, execute the warrants in an unconstitutional fashion. See Abraham S. Goldstein, The Search Warrant, the Magistrate, and Judicial Review, 62 N.Y.U. L. Rev. 1173, 1196 (1987) ("The few cases on [whether a magistrate judge can refuse to issue a warrant on the ground that the search may be executed unconstitutionally] hold that a judge has a 'ministerial' duty to issue a warrant after 'probable cause' has been established."); In re Worksite Inspection of Quality Products, Inc., 592 F.2d 611, 613 (1st Cir. 1979) (noting the limited role of magistrate judges in issuing search warrants). As the Supreme Court suggested in one early case, the proper course is for the magistrate to issue the warrant so long as probable cause exists, and then to permit the parties to litigate the constitutional issues afterwards. See Ex Parte United States, 287 U.S. 241, 250 (1932) ("The refusal of the trial court to issue a warrant . . . is, in reality and effect, a refusal to permit the case to come to a hearing upon either questions of law or fact, and falls little short of a refusal to permit the enforcement of the law.").
Prosecutors should also be prepared to explain to magistrate judges why a forensic search for files stored in a seized computer need not occur within 10 days of obtaining the warrant. Rule 41(c)(1) requires that the agents who obtain a warrant must "search, within a specified period of time not to exceed 10 days, the person or place named for the property or person specified." This rule directs agents to search the place named in the warrant and seize the property specified within 10 days so that the warrant does not become "stale" before it is executed. See United States v. Sanchez, 689 F.2d 508, 512 n.5 (5th Cir. 1982). This rule does not apply to the forensic analysis of evidence that has already been seized, however; even if such analysis involves a Fourth Amendment "search" in some cases, it plainly does not occur in "the place . . . named" in the warrant. See United States v. Hernandez, 183 F. Supp. 2d 468, 480 (D.P.R. 2002) (stating that Rule 41 does not "provide[] for a specific time limit in which a computer may undergo a government forensic examination after it has been seized pursuant to a search warrant"); United States v. Habershaw, 2001 WL 1867803, at *8 (D. Mass. May 13, 2001) (noting that "[f]urther forensic analysis of the seized hard drive image does not constitute a second execution of the warrant").
An analogy to paper documents may be helpful. A Rule 41 warrant that authorizes the seizure of a book requires that the book must be seized from the place described in the warrant within 10 days. However, neither the warrant nor Rule 41 requires law enforcement to examine the book and complete any forensic analysis of its pages within the same 10-day period. Cf. Commonwealth v. Ellis, 10 Mass. L. Rptr. 429, 1999 WL 815818, at *8-9 (Mass. Super. Aug. 27, 1999) (interpreting analogous state law provision and stating that "[t]he ongoing search of the computer's memory need not have been accomplished within the . . . period required for return of the warrant.").
Although the legal basis for imposing time limits on forensic analysis is unclear, a magistrate judge's refusal to issue a computer search warrant absent time limitations can create significant headaches for prosecutors. As a practical matter, prosecutors often have little choice but to go along with the magistrate judge's wishes. A judge's refusal to sign a search warrant generally is not an appealable final order, and the prosecutor's only recourse is to turn to another judge. See United States v. Savides, 658 F. Supp. 1399, 1404 (N.D. Ill. 1987) (noting that the second judge should be told that a first judge refused to sign the warrant), aff'd in relevant part sub nom. United States v. Pace, 898 F.2d 1218, 1230 (7th Cir. 1990). As a practical matter, then, prosecutors will often have little choice but to try to convince the judge not to impose a time limit, and if that fails, to request extensions when the time period proves impossible to follow.
At least one court has adopted the severe position that suppression is appropriate when the government fails to comply with court-imposed limits on the time period for reviewing seized computers. In United States v. Brunette, 76 F. Supp. 2d 30 (D. Me. 1999), a magistrate judge permitted agents to seize the computers of a child pornography suspect on the condition that the agents searched through the computers for evidence "within 30 days." The agents executed the search five days later, and seized several computers. A few days before the thirty-day period elapsed, the government applied for and obtained a thirty-day extension of the time for review. The agents then reviewed all but one of the seized computers within the thirty-day extension period, and found hundreds of images of child pornography. However, the agents did not begin reviewing the last of the computers until two days after the extension period had elapsed. The defendant moved for suppression of the child pornography images found in the last computer, on the ground that the search outside of the sixty-day period violated the terms of the warrant and subsequent extension order. The court agreed, stating that "because the Government failed to adhere to the requirements of the search warrant and subsequent order, any evidence gathered from the . . . computer is suppressed." Id. at 42.
The result in Brunette makes little sense either under Rule 41 or the Fourth Amendment. Even assuming that a magistrate judge has the authority to impose time constraints on forensic testing in the first place, it seems incongruous to impose suppression for violations of such conditions when analogous violations of Rule 41 itself would not result in suppression. Compare Brunette with United States v. Twenty-Two Thousand, Two Hundred Eighty Seven Dollars ($22,287.00), U.S. Currency, 709 F.2d 442, 448 (6th Cir. 1983) (rejecting suppression when agents began search "shortly after" 10 p.m., even though Rule 41 states that all searches must be conducted between 6:00 a.m. and 10 p.m.). This is especially true when the hardware to be searched is a container of contraband child pornography, and therefore is itself an instrumentality of crime not subject to return.
3. Rule 41(e) Motions for Return of Property
Rule 41(e) states that
A person aggrieved by an unlawful search and seizure or by the deprivation of property may move the district court for the district in which the property was seized for the return of the property on the ground that such person is entitled to lawful possession of the property. The court shall receive evidence on any issue of fact necessary to the decision of the motion. If the motion is granted, the property shall be returned to the movant, although reasonable conditions may be imposed to protect access and use of the property in subsequent proceedings. If a motion for return of property is made or comes on for hearing in the district of trial after an indictment or information is filed, it shall be treated also as a motion to suppress under Rule 12.
Fed. R. Crim. P. 41(e).
Rule 41(e) has particular importance in computer search cases because it permits owners of seized computer equipment to move for the return of the equipment before an indictment is filed. In some cases, defendants will file such motions because they believe that the seizure of their equipment violated the Fourth Amendment. If they are correct, the equipment must be returned. See, e.g., In re Grand Jury Investigation Concerning Solid States Devices, Inc., 130 F.3d 853, 855-56 (9th Cir. 1997). Rule 41(e) also permits owners to move for a return of their property when the seizure was lawful, but the movant is "aggrieved by the government's continued possession of the seized property." Id. at 856. The multi-functionality of computer equipment occasionally leads to Rule 41(e) motions on this basis. For example, a suspect under investigation for computer hacking may file a motion claiming that he must have his computer back to calculate his taxes or check his e-mail. Similarly, a business suspected of fraud may file a motion for the return of its equipment claiming that it needs the equipment returned or else the business will suffer.
Owners of properly seized computer equipment must overcome several formidable barriers before a court will order the government to return the equipment. First, the owner must convince the court that it should exercise equitable jurisdiction over the owner's claim. See Floyd v. United States, 860 F.2d 999, 1003 (10th Cir. 1988) ("Rule 41(e) jurisdiction should be exercised with caution and restraint."). Although the jurisdictional standards vary widely among different courts, most courts will assert jurisdiction over a Rule 41(e) motion only if the movant establishes: 1) that being deprived of possession of the property causes "irreparable injury," and 2) that the movant is otherwise without a remedy at law. See In re the Matter of the Search of Kitty's East, 905 F.2d 1367, 1370-71 (10th Cir. 1990). Cf. Ramsden v. United States, 2 F.3d 322, 325 (9th Cir. 1993) (articulating four-factor jurisdictional test from pre-1989 version of Rule 41(e)). If the movant established these elements, the court will move to the merits of the claim. On the merits, seized property will be returned only if the government's continued possession is unreasonable. See Ramsden, 2 F.3d at 326. This test requires the court to weigh the government's interest in continued possession of the property with the owner's interest in the property's return. See United States v. Premises Known as 608 Taylor Ave., 584 F.2d 1297, 1304 (3d Cir. 1978). In particular,
If the United States has a need for the property in an investigation or prosecution, its retention of the property generally is reasonable. But, if the United States' legitimate interests can be satisfied even if the property is returned, continued retention of the property would be unreasonable.
Advisory Committee Notes to the 1989 Amendment of Rule 41(e) (quoted in Ramsden, 2 F.3d at 326).
Rule 41(e) motions requesting the return of properly seized computer equipment succeed only rarely. First, courts will usually decline to exercise jurisdiction over the motion if the government has offered the property owner an electronic copy of the seized computer files. See In re Search Warrant Executed February 1, 1995, 1995 WL 406276, at *2 (S.D.N.Y. Jul. 7, 1995) (concluding that owner of seized laptop computer did not show irreparable harm where government offered to allow owner to copy files it contained); United States v. East Side Ophthalmology, 1996 WL 384891, at *4 (S.D.N.Y. Jul. 9, 1996). See also Standard Drywall, Inc. v. United States, 668 F.2d 156, 157 n.2. (2d Cir. 1982) ("We seriously question whether, in the absence of seizure of some unique property or privileged documents, a party could ever demonstrate irreparable harm [justifying jurisdiction] when the Government either provides the party with copies of the items seized or returns the originals to the party and presents the copies to the jury.").
Second, courts that
reach the merits generally find that the government's interest in the computer
equipment outweighs the defendant's so long as a criminal prosecution or forfeiture
proceeding is in the works. See
United States v. Stowe, 1996
WL 467238, at *1-3 (N.D. Ill. Aug. 15, 1996) (continued retention of computer
equipment is reasonable after 18 months where government claimed that investigation
was ongoing and defendant failed to articulate convincing reason for the equipment's
return); In the Matter of Search Warrant
for K-Sports Imports, Inc., 163 F.R.D. 594, 597 (C.D. Cal. 1995) (denying
motion for return of computer records relating to pending forfeiture proceedings);
see also
Johnson v. United States, 971
F. Supp. 862, 868 (D.N.J. 1997) (denying Rule 41(e) motion to return bank's
computer tapes because bank was no longer an operating business). If the government
does not plan to use the computers in further proceedings, however, the computer
equipment must be returned. See
United States v. Moore, 188
F.3d 516, 1999 WL 650568, at *6 (9th Cir. Jul. 15, 1999) (unpublished) (ordering
return of computer where "the government's need for retention of the computer
for use in another proceeding now appears . . . remote") ; K-Sports
Imports, Inc., 163 F.R.D. at 597. Further, a court may grant a Rule 41(e)
motion if the defendant cannot operate his business without the seized computer
equipment and the government can work equally well from a copy of the seized
files. See United
States v. Bryant, 1995 WL 555700, at *3 (S.D.N.Y. Sept. 18, 1995) (referring
to magistrate judge's prior unpublished ruling ordering the return of computer
equipment, and stating that "the Magistrate Judge found that defendant needed
this machinery to operate his business").
III. THE ELECTRONIC COMMUNICATIONS PRIVACY ACT
A. Introduction
ECPA regulates how the government can obtain stored account information from network service providers such as ISPs. Whenever agents or prosecutors seek stored e-mail, account records, or subscriber information from a network service provider, they must comply with ECPA. ECPA's classifications can be understood most easily using the chart that appears in Part F of this chapter
The stored communication portion of the Electronic Communications Privacy Act ("ECPA"), 18 U.S.C. §§ 2701-2712, creates statutory privacy rights for customers and subscribers of computer network service providers.
In a broad sense, ECPA "fills in the gaps" left by the uncertain application of Fourth Amendment protections to cyberspace. To understand these gaps, consider the legal protections we have in our homes. The Fourth Amendment clearly protects our homes in the physical world: absent special circumstances, the government must first obtain a warrant before it searches there. When we use a computer network such as the Internet, however, we do not have a physical "home." Instead, we typically have a network account consisting of a block of computer storage that is owned by a network service provider such as America Online. If law enforcement investigators want to obtain the contents of a network account or information about its use, they do not need to go to the user to get that information. Instead, the government can obtain the information directly from the provider.
Although the Fourth Amendment generally requires the government to obtain a warrant to search a home, it does not require the government to obtain a warrant to obtain the stored contents of a network account. Instead, the Fourth Amendment generally permits the government to issue a subpoena to a network provider ordering the provider to divulge the contents of an account. (14) ECPA addresses this imbalance by offering network account holders a range of statutory privacy rights against access to stored account information held by network service providers.
Because ECPA is an unusually complicated statute, it is helpful when approaching the statute to understand the intent of its drafters. The structure of ECPA reflects a series of classifications that indicate the drafters' judgments about what kinds of information implicate greater or lesser privacy interests. For example, the drafters saw greater privacy interests in stored e-mails than in subscriber account information. Similarly, the drafters believed that computing services available "to the public" required more strict regulation than services not available to the public. (Perhaps this judgment reflects the view that providers available to the public are not likely to have close relationships with their customers, and therefore might have less incentive to protect their customers' privacy.) To protect the array of privacy interests identified by its drafters, ECPA offers varying degrees of legal protection depending on the perceived importance of the privacy interest involved. Some information can be obtained from providers with a mere subpoena; other information requires a special court order; and still other information requires a search warrant. In general, the greater the privacy interest, the greater the privacy protection.
Agents and prosecutors must apply the various classifications devised by ECPA's drafters to the facts of each case to figure out the proper procedure for obtaining the information sought. First, they must classify the network services provider (e.g., does the provider provide "electronic communication service," "remote computing service," or neither). Next, they must classify the information sought (e.g., is the information content "in electronic storage," content held by a remote computing service, "a record . . . pertaining to a subscriber," or other information enumerated by ECPA). Third, they must consider whether they are seeking to compel disclosure, or seeking to accept information disclosed voluntarily by the provider. If they seek compelled disclosure, they need to determine whether they need a search warrant, a 2703(d) court order, or a subpoena to compel the disclosure. If they are seeking to accept information voluntarily disclosed, they must determine whether the statute permits the disclosure. The chart contained in Part F of this chapter provides a useful way to apply these distinctions in practice.
The organization of this chapter will follow ECPA's various classifications. Part B explains ECPA's classification structure which distinguishes between providers of "electronic communication service" and providers of "remote computing service." Part C explains the different kinds of information that providers can divulge, such as content "in electronic storage" and "records . . . pertaining to a subscriber." Part D explains the legal process that agents and prosecutors must follow to compel a provider to disclose information. Part E looks at the flip side of this problem, and explains when providers may voluntarily disclose account information. A summary chart appears in Part F. The chapter ends with two additional sections. Part G discusses three important issues that may arise when agents obtain records from network providers: steps to preserve evidence, steps to prevent disclosure to subjects, and Cable Act issues. Finally, Part H discusses the remedies that courts may impose following violations of ECPA.
This chapter includes
amendments to ECPA specified by the USA PATRIOT Act of 2001, Pub. L. No. 107-56,
115 Stat. 272 (2001) (the "PATRIOT Act"). The PATRIOT Act clarified and updated
ECPA in light of modern technologies, and in several respects it eased restrictions
on law enforcement access to stored communications. Some of these amendments,
noted herein, are currently scheduled to sunset on December 31, 2005. See
PATRIOT Act § 224, 115 Stat. 272, 295. Law enforcement personnel who use statutory
provisions which are scheduled to sunset are strongly encouraged to report their
experiences to the Computer Crime and Intellectual Property Section at (202)
514-1026. CCIPS can convey such information to Congress, who will decide whether
the changes effected by the PATRIOT Act should be made permanent.
B. Providers of Electronic Communication Service vs. Remote Computing Service
ECPA divides providers covered by the statute into "provider[s] of electronic communication service" and "provider[s] of remote computing service." To understand these terms, it helps to recall the era in which ECPA, a 1986 statute, was drafted. At that time, network account holders generally used third-party network service providers for two reasons. First, account holders used their accounts to send and receive communications such as e-mail. The use of computer networks to communicate prompted privacy concerns because in the course of sending and retrieving messages, it was common for several computers to copy the messages and store them temporarily. Copies created by these providers of "electronic communication service" and placed in temporary "electronic storage" in the course of transmission sometimes stayed on a provider's computer for several months. See H.R. Rep. No. 99-647, at 22 (1986).
The second reason account holders used network service providers was to outsource computing tasks. For example, users paid to have remote computers store extra files, or process large amounts of data. When users hired such commercial "remote computing services" to perform tasks for them, they would send a copy of their private information to a third-party computing service, which retained the data for later reference. Remote computing services raised privacy concerns because the service providers often retained copies of their customers' files. See S. Rep. No. 99-541 (1986), reprinted in 1986 U.S.C.C.A.N. 3555, 3557.
ECPA protects communications held by providers of electronic communication service when those communications are in "electronic storage," as well as communications held by providers of remote computing service. To that end, the statute defines "electronic communication service," "electronic storage," and "remote computing service" in the following way:
"Electronic communication service"
An electronic communication service ("ECS") is "any service which provides to users thereof the ability to send or receive wire or electronic communications." 18 U.S.C. § 2510(15). (For a discussion of the definitions of wire and electronic communications, see Chapter 4.C.2, infra.) For example, "telephone companies and electronic mail companies" generally act as providers of electronic communication services. See S. Rep. No. 99-541 (1986), reprinted in 1986 U.S.C.C.A.N. 3555, 3568; see also FTC v. Netscape Communications Corp., 196 F.R.D. 559, 560 (N.D. Cal. 2000) (noting that Netscape, a provider of e-mail accounts through netscape.net, is a provider of ECS).
The legislative history and case law indicate that the key issue in determining whether a company provides ECS is that company's role in providing the ability to send or receive the precise communication at issue, regardless of the company's primary business. See H.R. Rep. No. 99-647, at 65 (1986). Any company or government entity that provides others with means of communicating electronically can be a "provider of electronic communication service" relating to the communications it provides, even if providing communications service is merely incidental to the provider's primary function. See Bohach v. City of Reno, 932 F. Supp. 1232, 1236 (D. Nev. 1996) (city that provided pager service to its police officers can be a provider of electronic communication service); United States v. Mullins, 992 F.2d 1472, 1478 (9th Cir. 1993) (airline that provides travel agents with computerized travel reservation system accessed through separate computer terminals can be a provider of electronic communication service).
Conversely, a service cannot provide ECS with respect to a communication if the service did not provide the ability to send or receive that communication. See Sega Enterprises Ltd. v. MAPHIA, 948 F. Supp. 923, 930-31 (N.D. Cal. 1996) (video game manufacturer that accessed private e-mail stored on another company's bulletin board service in order to expose copyright infringement was not a provider of electronic communication service); State Wide Photocopy v. Tokai Fin. Servs. Inc., 909 F. Supp. 137, 145 (S.D.N.Y. 1995) (financing company that used fax machines and computers but did not provide the ability to send or receive communications was not provider of electronic communication service).
Significantly, a mere user of ECS provided by another is not an ECS. For example, a web site is not a provider of electronic communication service, even though it may send and receive electronic communications from customers. In Crowley v. Cybersource Corp., 166 F. Supp. 2d 1263, 1270 (N.D. Cal. 2001), the plaintiff argued that Amazon.com (to whom plaintiff sent his name, credit card number, and other identification information) was an electronic communications service provider because "without recipients such as Amazon.com, users would have no ability to send electronic information." The court rejected this argument, holding that Amazon was properly characterized as a user rather than a provider of ECS. See id.
"Electronic storage"
18 U.S.C. § 2510(17) defines "electronic storage" as "any temporary, intermediate storage of a wire or electronic communication incidental to the electronic transmission thereof," or in the alternative as "any storage of such communication by an electronic communication service for purposes of backup protection of such communication." The mismatch between the everyday meaning of "electronic storage" and its narrow statutory definition has been a source of considerable confusion. It is crucial to remember that "electronic storage" refers only to temporary storage, made in the course of transmission, by a provider of electronic communication service. For example, the court in In re Doubleclick Inc. Privacy Litigation, 154 F. Supp. 2d 497, 511-12 (S.D.N.Y. 2001), held that cookies, which are information stored on a user's computer by a web site and sent back to the web site when the user accesses the web site, fall outside of the definition of "electronic storage" and hence outside of ECPA because of their "long-term residence on plaintiffs' hard drives."
To determine whether a communication is in "electronic storage," it helps to identify the communication's final destination. A copy of a communication is in "electronic storage" only if it is a copy of a communication created at an intermediate point that is designed to be sent on to its final destination. For example, e-mail that has been received by a recipient's service provider but has not yet been accessed by the recipient is in "electronic storage." See Steve Jackson Games, Inc. v. United States Secret Service, 36 F.3d 457, 461 (5th Cir. 1994). At that stage, the copy of the stored communication exists only as a temporary and intermediate measure, pending the recipient's retrieval of the communication from the service provider. Once the recipient retrieves the e-mail, however, the communication reaches its final destination. If a recipient then chooses to retain a copy of the accessed communication on the provider's system, the copy stored on the network is no longer in "electronic storage" because the retained copy is no longer in "temporary, intermediate storage . . . incidental to . . . electronic transmission." 18 U.S.C. § 2510(17). Rather, because the process of transmission to the intended recipient has been completed, the copy is simply a remotely stored file. See Fraser v. Nationwide Mut. Ins. Co., 135 F. Supp. 2d 623, 635-38 (E.D. Pa. 2001) (holding that because an e-mail was acquired from post-transmission storage, it was not in "electronic storage" and its acquisition was not prohibited under ECPA); H.R. Rep. No. 99-647, at 64-65 (1986) (noting Congressional intent that opened e-mail and voicemail left on a provider's system be covered by provisions relating to remote computing services, rather than provisions relating to services holding communications in "electronic storage").
As a practical matter, whether a communication is held in "electronic storage" by a provider governs whether that service provides ECS with respect to the communication. The two concepts are coextensive: a service provides ECS with respect to a communication if and only if the service holds the communication in electronic storage. Thus, it follows that if a communication is not in temporary, intermediate storage incidental to its electronic transmission, the service cannot provide ECS for that communication. Instead, the service must provide either "remote computing service" (also known as "RCS,"discussed below), or else neither ECS nor RCS. See discussion infra.
"Remote computing service"
The term "remote computing service" ("RCS") is defined by 18 U.S.C. § 2711(2) as "provision to the public of computer storage or processing services by means of an electronic communications system." An "electronic communications system" is "any wire, radio, electromagnetic, photooptical or photoelectronic facilities for the transmission of wire or electronic communications, and any computer facilities or related electronic equipment for the electronic storage of such communications." 18 U.S.C. § 2510(14).
Roughly speaking, a remote computing service is provided by an off-site computer that stores or processes data for a customer. See S. Rep. No. 99-541 (1986), reprinted in 1986 U.S.C.C.A.N. 3555, 3564-65. For example, a service provider that processes data in a time-sharing arrangement provides an RCS. See H.R. Rep. No. 99-647, at 23 (1986). A mainframe computer that stores data for future retrieval also provides an RCS. See Steve Jackson Games, Inc. v. United States Secret Service, 816 F. Supp. 432, 443 (W.D. Tex. 1993) (holding that provider of bulletin board services was a remote computing service). In contrast with a provider of ECS, a provider of RCS does not hold customer files on their way to a third intended destination; instead, they are stored or processed by the provider for the convenience of the account holder. Accordingly, files held by a provider acting as an RCS cannot be in "electronic storage" according to § 2510(17).
Under the definition provided by § 2711(2), a service can only be a "remote computing service" if it is available "to the public." Services are available to the public if they are available to any member of the general population who complies with the requisite procedures and pays any requisite fees. For example, America Online is a provider to the public: anyone can obtain an AOL account. (It may seem odd at first that a service can charge a fee but still be considered available "to the public," but this mirrors commercial relationships in the physical world. For example, movie theaters are open "to the public" because anyone can buy a ticket and see a show, even though tickets are not free.) In contrast, providers whose services are open only to those with a special relationship with the provider are not available to the public. For example, employers may offer network accounts only to employees. See Andersen Consulting LLP v. UOP, 991 F. Supp. 1041, 1043 (N.D. Ill. 1998) (interpreting the "providing . . . to the public" clause in § 2702(a) to exclude an internal e-mail system that was made available to a hired contractor but was not available to "any member of the community at large"). Such providers cannot provide remote computing service because their network services are not available to the public.
Whether an entity is a provider of "electronic communication service," a provider of "remote computing service," or neither depends on the nature of the particular communication sought. For example, a single provider can simultaneously provide "electronic communication service" with respect to one communication and "remote computing service" with respect to another communication.
An example can illustrate how these principles work in practice. Imagine that Joe sends an e-mail from his account at work ("joe@goodcompany.com") to the personal account of his friend Jane ("jane@localisp.com"). The e-mail will stream across the Internet until it reaches the servers of Jane's Internet service provider, here the fictional LocalISP. When the message first arrives at LocalISP, LocalISP is a provider of ECS with respect to that message. Before Jane accesses LocalISP and retrieves the message, Joe's e-mail is in "electronic storage." See Steve Jackson Games, Inc. v. United States Secret Service, 36 F.3d 457, 461 (5th Cir. 1994). Once Jane retrieves Joe's e-mail, she can either delete the message from LocalISP's server, or else leave the message stored there. If Jane chooses to store the e-mail with LocalISP, LocalISP is now a provider of RCS (and not ECS) with respect to the e-mail sent by Joe. The role of LocalISP has changed from a transmitter of Joe's e-mail to a storage facility for a file stored remotely for Jane by a provider of RCS. See H.R. Rep. No. 99-647, at 64-65 (1986) (noting Congressional intent to treat opened e-mail stored on a server under provisions relating to remote computing services, rather than services holding communications in "electronic storage").
Next imagine that Jane responds to Joe's e-mail. Jane's return e-mail to Joe will stream across the Internet to the servers of Joe's employer, Good Company. Before Joe retrieves the e-mail from Good Company's servers, Good Company is a provider of ECS with respect to Jane's e-mail (just like LocalISP was with respect to Joe's original e-mail before Jane accessed it). When Joe accesses Jane's e-mail message and the communication reaches its destination (Joe), Good Company ceases to be a provider of ECS with respect to that e-mail (just as LocalISP ceased to be a provider of ECS with respect to Joe's original e-mail when Jane accessed it). Unlike LocalISP, however, Good Company does not become a provider of RCS if Joe decides to store the opened e-mail on Good Company's server. Rather, for purposes of this specific message, Good Company is a provider of neither ECS nor RCS. Good Company does not provide RCS because it does not provide services to the public. See 18 U.S.C. § 2711(2) ("[T]he term 'remote computing service' means the provision to the public of computer storage or processing services by means of an electronic communications system.") (emphasis added); Andersen Consulting, 991 F. Supp. at 1043. Because Good Company provides neither ECS nor RCS with respect to the opened e-mail in Joe's account, ECPA no longer regulates access to this e-mail, and such access is governed solely by the Fourth Amendment. Functionally speaking, the opened e-mail in Joe's account drops out of ECPA.
Finally, consider the status of the other copies in this scenario: Jane has downloaded
a copy of Joe's e-mail from LocalISP's server to her personal computer at home, and Joe has downloaded a copy of Jane's e-mail from Good Company's server to his office desktop computer at work. ECPA governs neither. Although these computers contain copies of e-mails, these copies are not stored on the server of a third-party provider of RCS or ECS, and therefore ECPA does not apply. Access to the copies of the communications stored in Jane's personal computer at home and Joe's office computer at work is governed solely by the Fourth Amendment. See generally Chapters 1 and 2.
As this example indicates,
a single provider can simultaneously provide ECS with regard to some communications
and RCS with regard to others, or ECS with regard to some communications and
neither ECS nor RCS with regard to others. As a practical matter, however, agents
do not need to grapple with these difficult issues in most cases. Instead, agents
can simply draft the appropriate order based on the information they seek. For
example, if the police suspect that Jane and Joe have conspired to commit a
crime, the police might seek an order or subpoena compelling LocalISP to divulge
all files in Jane's account except for those in "electronic storage." In plain
English, this is equivalent to asking for all of Jane's opened e-mails and stored
files. Alternatively, the police might seek an order compelling Good Company
to disclose files in "electronic storage" in Joe's account. This is equivalent
to asking for unopened e-mails in Joe's account. A helpful chart appears in
Part F of this chapter. Sample language that may be used appears in Appendices
B, E, and F.
C. Classifying Types of Information Held by Service Providers
Network service providers can store different kinds of information relating to an individual customer or subscriber. Consider the case of the e-mail exchange between Joe and Jane discussed above. Jane's service provider, LocalISP, probably has access to a range of information about Jane and her account. For example, LocalISP may have opened and unopened e-mails; account logs that reveal when Jane logged on and off LocalISP; Jane's credit card information for billing purposes; and Jane's name and address. When agents and prosecutors wish to obtain such records, they must be able to classify these types of information using the language of ECPA. ECPA breaks the information down into three categories: basic subscriber information listed in 18 U.S.C. § 2703(c)(2); "record[s] or other information pertaining to a subscriber to or customer of [the] service"; and "contents." See 18 U.S.C. §§ 2510(8), 2703(c)(1).
1. Basic Subscriber Information Listed in 18 U.S.C. § 2703(c)(2)
18 U.S.C. § 2703(c)(2) lists the categories of basic subscriber information:
(A) name; (B) address; (C) local and long distance telephone connection records, or records of session times and durations; (D) length of service (including start date) and types of service utilized; (E) telephone or instrument number or other subscriber number or identity, including any temporarily assigned network address; and (F) means and source of payment for such service (including any credit card or bank account number)[.]
In general, the items in this list relate to the identity of a subscriber, his relationship with his service provider, and his basic session connection records. This list does not include other, more extensive transaction-related records, such as logging information revealing the e-mail addresses of persons with whom a customer corresponded during a prior session. The PATRIOT Act enhanced the categories of basic subscriber information in three respects. See PATRIOT Act § 210, 115 Stat. 272, 283 (2001). It added "records of session times and durations," as well as "any temporarily assigned network address" to 18 U.S.C. § 2703(c)(2). In the Internet context, these records include the IP address assigned by an Internet service provider to a customer for a particular session. They also include other information relating to account access, such as the originating telephone number for dial-up Internet access or the IP address of a user accessing an account over the Internet. In addition, the PATRIOT Act added to this list of subscriber information the "means and source of payment" that a customer uses to pay for an account, "including any credit card or bank account number."
2. Records or Other Information Pertaining to a Customer or Subscriber
18 U.S.C. § 2703(c)(1) covers a second type of information: "a record or other information pertaining to a subscriber to or customer of such service (not including the contents of communications)." This is a catch-all category that includes all records that are not contents, including basic subscriber information.
Common examples of "record[s] . . . pertaining to a subscriber" include transactional records, such as account logs that record account usage; cell-site data for cellular telephone calls; and e-mail addresses of other individuals with whom the account holder has corresponded. See H.R. Rep. No. 103-827, at 10, 17, 31 (1994), reprinted in 1994 U.S.C.C.A.N. 3489, 3490, 3497, 3511; United States v. Allen, 53 M.J. 402, 409 (C.A.A.F. 2000) (concluding that "a log identifying the date, time, user, and detailed internet address of sites accessed" by a user constituted "a record or other information pertaining to a subscriber or customer of such service" under ECPA). See also Hill v. MCI Worldcom, 120 F. Supp. 2d 1194, 1195-96 (S.D. Iowa 2000) (concluding that the "names, addresses, and phone numbers of parties . . . called" constituted "a record or other information pertaining to a subscriber or customer of such service" for a telephone account). According to the legislative history of the 1994 amendments to § 2703(c), the purpose of separating the basic subscriber information from other non-content records was to distinguish basic subscriber information from more revealing transactional information that could contain a "person's entire on-line profile." H.R. Rep. No. 103-827 (1994), reprinted in 1994 U.S.C.C.A.N. 3489, 3497, 3511.
3. Contents
The contents of a network account are the actual files stored in the account. See 18 U.S.C. § 2510(8) ("'contents,' when used with respect to any wire, oral, or electronic communication, includes any information concerning the substance, purport, or meaning of that communication"). For example, stored e-mails or voice mails are "contents," as are word processing files stored in employee network accounts. The subject headers of e-mails are also contents. Cf. Brown v. Waddell, 50 F.3d 285, 292 (4th Cir. 1995) (noting that numerical pager messages provide "an unlimited range of number-coded substantive messages" in the course of holding that the interception of pager messages requires compliance with Title III).
Contents can be further
divided into three subcategories: contents stored "in electronic storage" by
providers of electronic communication service; contents stored by providers
of remote computing services; and contents held by neither. The distinctions
among these types of content are discussed in Part B, supra.
D. Compelled Disclosure Under ECPA
18 U.S.C. § 2703 articulates the steps that the government must take to compel providers to disclose the contents of stored wire or electronic communications (including e-mail and voice mail) and other information such as account records and basic subscriber information.
Section 2703 offers five mechanisms that a "government entity" can use to compel a provider to disclose certain kinds of information. The five mechanisms, in ascending order of required threshold showing, are as follows:
1) Subpoena;
2) Subpoena with prior notice to the subscriber or customer;
3) § 2703(d) court order;
4) § 2703(d) court order with prior notice to the subscriber or customer; and
5) Search warrant.
One feature of the compelled disclosure provisions of ECPA is that greater process generally includes access to information that can be obtained with lesser process. Thus, a § 2703(d) court order can compel everything that a subpoena can compel (plus additional information), and a search warrant can compel the production of everything that a § 2703(d) order can compel (and then some). As a result, the additional work required to satisfy a higher threshold will often be justified, both because it can authorize a broader disclosure and because pursuing a higher threshold provides extra insurance that the process complies fully with the statute. Note, however, the notice requirement must be considered as a separate burden under this analysis: a subpoena with notice to the subscriber can be used to compel information not available using a § 2703(d) order without subscriber notice. (One small category of information can be compelled under ECPA without a subpoena. When investigating telemarketing fraud, law enforcement may submit a written request to a service provider for the name, address, and place of business of a subscriber or customer engaged in telemarketing. See 18 U.S.C. § 2703(c)(1)(D).)
1. Subpoena
Investigators can subpoena basic subscriber information.
ECPA permits the government to compel two kinds of information using a subpoena. First, the government may compel the disclosure of the basic subscriber information (discussed above in section C.1) listed in 18 U.S.C. § 2703(c)(2):
(A) name; (B) address; (C) local and long distance telephone connection records, or records of session times and durations; (D) length of service (including start date) and types of service utilized; (E) telephone or instrument number or other subscriber number or identity, including any temporarily assigned network address; and (F) means and source of payment for such service (including any credit card or bank account number)[.]
18 U.S.C. § 2703(c)(2).
Agents can also use a subpoena to obtain information that is outside the scope of ECPA. The hypothetical e-mail exchange between Jane and Joe discussed in Part B of this chapter provides a useful example: Good Company provided neither "remote computing service" nor "electronic communication service" with respect to the opened e-mail on Good Company's server. See Part B, supra. Accordingly, § 2703 does not impose any requirements on its disclosure, and investigators can issue a subpoena compelling Good Company to divulge the communication just as they would if ECPA did not exist. Similarly, information relating or belonging to a person who is neither a "customer" nor a "subscriber" is not protected by ECPA, and may be obtained using a subpoena according to the same rationale. Cf. Organizacion JD Ltda. v. United States Department of Justice, 124 F.3d 354, 359-61 (2d Cir. 1997) (discussing the scope of the word "customer" as used in ECPA).
The legal threshold for issuing a subpoena is low. See United States v. Morton Salt Co., 338 U.S. 632, 642-43 (1950). Of course, evidence obtained in response to a federal grand jury subpoena must be protected from disclosure pursuant to Fed. R. Crim. P. 6(e). Types of subpoenas other than federal grand jury subpoenas may be used to obtain disclosure pursuant to 18 U.S.C. § 2703(c)(2): any federal or state grand jury or trial subpoena will suffice, as will an administrative subpoena authorized by a federal or state statute. See 18 U.S.C. § 2703(c)(2). For example, subpoenas authorized by § 6(a)(4) of the Inspector General Act may be used. See 5 U.S.C. app. However, at least one court has held that a pre-trial discovery subpoena issued in a civil case pursuant to Fed. R. Civ. P. 45 is inadequate. See FTC v. Netscape Communications Corp., 196 F.R.D. 559 (N.D. Cal. 2000) (holding that pre-trial discovery subpoena did not fall within the meaning of "trial subpoena"). Sample subpoena language appears in Appendix E.
2. Subpoena with Prior Notice to the Subscriber or Customer
Investigators can subpoena opened e-mail from a provider if they comply with the notice provisions of §§ 2703(b)(1)(B) and 2705.
Agents who obtain a subpoena, and either give prior notice to the subscriber or comply with the delayed notice provisions of § 2705(a), may obtain:
1) everything that can be obtained using a subpoena without notice;
2) "the contents of any wire or electronic communication" held by a provider of remote computing service "on behalf of . . . a subscriber or customer of such remote computing service." 18 U.S.C. § 2703(b)(1)(B)(i), § 2703(b)(2); and
3) "the contents of a wire or electronic communication that has been in electronic storage in an electronic communications system for more than one hundred and eighty days." 18 U.S.C. § 2703(a).
As a practical matter, this means that agents can obtain opened e-mail (and other stored electronic or wire (15) communications in "electronic storage" more than 180 days) using a subpoena, so long as they comply with ECPA's notice provisions. See H.R. Rep. No. 99-647, at 64-65 (1986).
The notice provisions can be satisfied by giving the customer or subscriber "prior notice" of the disclosure. See 18 U.S.C. § 2703(b)(1)(B). However, 18 U.S.C. § 2705(a)(1)(B) and § 2705(a)(4) permit notice to be delayed for ninety days "upon the execution of a written certification of a supervisory official that there is reason to believe that notification of the existence of the subpoena may have an adverse result." 18 U.S.C. § 2705(a)(1)(B). Both "supervisory official" and "adverse result" are specifically defined terms for the purpose of delaying notice. See § 2705(a)(2) (defining "adverse result"); § 2705(a)(6) (defining "supervisory official"). This provision of ECPA provides a permissible way for agents to delay notice when notice would jeopardize a pending investigation or endanger the life or physical safety of an individual. Upon expiration of the delayed notice period, (16) the statute requires the government to send a copy of the request or process along with a letter explaining the delayed notice to the customer or subscriber. See 18 U.S.C. § 2705(a)(5).
ECPA's provision allowing for obtaining opened e-mail using a subpoena combined with prior notice to the subscriber appears to derive from Supreme Court case law interpreting the Fourth and Fifth Amendments. See Clifford S. Fishman & Anne T. McKenna, Wiretapping and Eavesdropping § 26:9, at 26-12 (2d ed. 1995). When an individual gives paper documents to a third-party such as an accountant, the government may subpoena the paper documents from the third party without running afoul of either the Fourth or Fifth Amendment. See generally United States v. Couch, 409 U.S. 322 (1973) (rejecting Fourth and Fifth Amendment challenges to subpoena served on defendant's accountant for the accountant's business records stored with the accountant). In allowing the government to subpoena opened e-mail, "Congress seems to have concluded that by 'renting' computer storage space with a remote computing service, a customer places himself in the same situation as one who gives business records to an accountant or attorney." Fishman & McKenna, §26:9, at 26-13.
3. Section 2703(d) Order
Agents need a § 2703(d) court order to obtain most account logs and most transactional records.
Agents who obtain a court order under 18 U.S.C. § 2703(d) may obtain:
A court order authorized by 18 U.S.C. § 2703(d) may be issued by any federal magistrate, district court or equivalent state court judge. See 18 U.S.C. §§ 2703(d), 2711(3). To obtain such an order, known as an "articulable facts" court order or simply a "d" order,
the governmental entity [must] offer[] specific and articulable facts showing that there are reasonable grounds to believe that the contents of a wire or electronic communication, or the records or other information sought, are relevant and material to an ongoing criminal investigation.
Id.
This standard does not permit law enforcement merely to certify that it has specific and articulable facts that would satisfy such a showing. Rather, the government must actually offer those facts to the court in the application for the order. See United States v. Kennedy, 81 F. Supp. 2d 1103, 1109-11 (D. Kan. 2000) (concluding that a conclusory application for a § 2703(d) order "did not meet the requirements of the statute."). The House Report accompanying the 1994 amendment to § 2703(d) included the following analysis:
This section imposes an intermediate standard to protect on-line transactional records. It is a standard higher than a subpoena, but not a probable cause warrant. The intent of raising the standard for access to transactional data is to guard against "fishing expeditions" by law enforcement. Under the intermediate standard, the court must find, based on law enforcement's showing of facts, that there are specific and articulable grounds to believe that the records are relevant and material to an ongoing criminal investigation.
H.R. Rep. No. 102-827, at 31 (1994), reprinted in 1994 U.S.C.C.A.N. 3489, 3511 (quoted in full in Kennedy, 81 F. Supp. 2d at 1109 n.8). As a practical matter, a short factual summary of the investigation and the role that the records will serve in advancing the investigation should satisfy this criterion. A more in-depth explanation may be necessary in particularly complex cases. A sample § 2703(d) application and order appears in Appendix B.
Section 2703(d) orders issued by federal courts have effect outside the district of the issuing court. ECPA permits a judge to enter § 2703(d) orders compelling providers to disclose information even if the judge does not sit in the district in which the information is stored. See 18 U.S.C. § 2703(d) (stating that "any court that is a court of competent jurisdiction" may issue a § 2703(d) order) (emphasis added); 18 U.S.C. § 2711(3) (stating that "'court of competent jurisdiction' has the meaning assigned by section 3127, and includes any Federal court within that definition, without geographical limitation") (17); 18 U.S.C. § 3127(2) (defining "court of competent jurisdiction").
Section 2703(d) orders may also be issued by state courts. See 18 U.S.C. §§ 2711(3), 3127(2)(B) (defining "court of competent jurisdiction" to include "a court of general criminal jurisdiction of a State authorized by the law of the State to enter orders authorizing the use of a pen register or trap and trace device"). However, the statute does not confer extraterritorial effect on § 2703(d) orders issued by state courts. See 18 U.S.C. §§ 2711(3).
4. § 2703(d) Order with Prior Notice to the Subscriber or Customer
Investigators can obtain everything in an account except for unopened e-mail or voicemail stored with a provider for 180 days or less using a § 2703(d) court order that complies with the notice provisions of § 2705.
Agents who obtain a court order under 18 U.S.C. § 2703(d), and either give prior notice to the subscriber or else comply with the delayed notice provisions of § 2705(a), may obtain:
As a practical matter, this means that the government can obtain the full contents of a subscriber's account except unopened e-mail and voicemail (which has been in "electronic storage" 180 days or less) using a § 2703(d) order that complies with the prior notice provisions of § 2703(b)(1)(B). (18)
As an alternative to giving prior notice, agents can obtain an order delaying notice for up to ninety days when notice would seriously jeopardize the investigation. See 18 U.S.C. § 2705(a). In such cases, agents generally will obtain this order by including an appropriate request in the agents' 2703(d) application and proposed order; sample language appears in Appendix B. Agents may also apply to the court for extensions of the delay. See 18 U.S.C. § 2705(a)(1)(A), § 2705(a)(4). The legal standards for obtaining a court order delaying notice mirror the standards for certified delayed notice by a supervisory official. See Part D.2., supra. The applicant must satisfy the court that "there is reason to believe that notification of the existence of the court order may . . . endanger[] the life or physical safety of an individual; [lead to] flight from prosecution; [lead to] destruction of or tampering with evidence; [lead to] intimidation of potential witnesses; or . . . otherwise seriously jeopardiz[e] an investigation or unduly delay[] a trial." 18 U.S.C. § 2705(a)(1)(A), § 2705(a)(2). Importantly, the applicant must satisfy this standard anew every time the applicant seeks an extension of the delayed notice.
5. Search Warrant
Investigators can obtain the full contents of an account with a search warrant. ECPA does not require the government to notify the customer or subscriber when it obtains information from a provider using a search warrant.
Agents who obtain a search warrant under Rule 41 of the Federal Rules of Criminal Procedure or an equivalent state warrant may obtain:
Although most search warrants obtained under Rule 41 are limited to "a search of property . . . within the district" of the authorizing magistrate judge, search warrants under § 2703(a) may be issued by a federal "court with jurisdiction over the offense under investigation," even for records held in another district. (22) 18 U.S.C. § 2703(a). (State courts may also issue warrants under § 2703(a), but the statute does not give these warrants effect outside the limits of the courts' territorial jurisdiction. See id.) Otherwise, as a practical matter, § 2703(a) search warrants are obtained just like Rule 41 search warrants. As with a typical Rule 41 warrant, investigators must draft an affidavit and a proposed warrant that complies with Rule 41. See 18 U.S.C. § 2703(a). Once a magistrate judge signs the warrant, however, investigators ordinarily do not themselves search through the provider's computers in search of the materials described in the warrant. Instead, investigators serve the warrant on the provider as they would a subpoena, and the provider produces the material described in the warrant.
One district court recently held unconstitutional the practice of having service providers produce the materials specified in a search warrant. See United States v. Bach, 2001 WL 1690055 (D. Minn. Dec. 14, 2001). In Bach, state law enforcement officials obtained a search warrant under state law for information regarding a Yahoo email account and faxed the warrant to Yahoo, which produced the appropriate documents. The district court suppressed the results of the search as a Fourth Amendment violation. The court held that the Fourth Amendment mandates the protections codified in 18 U.S.C. § 3105, which requires that a law enforcement officer be present and act in the execution of a search warrant. According to the court, "section 2703 is not an exception to and does not provide an alternative mode of execution from section 3105," so federal law enforcement officials are mandated by statute to comply with § 3105 when executing a search warrant under 2703(a). The court held that even in the absence of a statutory mandate, the Fourth Amendment requires a law enforcement officer to be present and act in the execution of any search warrant, including a warrant issued under 2703(a).
The government has appealed the Bach decision. The government's brief points out that, leaving aside Bach's questionable Fourth Amendment jurisprudence and the inappropriateness of the suppression remedy, ECPA makes clear Congress's intent to authorize the use of § 2703 search warrants for subscriber content as a form of compulsory process directed to third-party network providers - not as a traditional search warrant. See, e.g., 18 U.S.C. §§ 2702(b)(2), (c)(1) (stating explicitly that a provider may disclose customer records in response to § 2703 process). Furthermore, even if 18 U.S.C. § 3105 were applicable to warrants served pursuant to ECPA, § 3105 does not require the presence of law enforcement when service providers collect and produce information pursuant to a search warrant because the problems associated with private exercise of search and seizure powers are not implicated when service providers collect and produce information in response to a warrant. See In re Application of the United States for an Order Authorizing an In-Progress Trace of Wire Communications Over Telephone Facilities, 616 F.2d 1122, 1130 (9th Cir. 1980); In re Application of the United States for an Order Authorizing the Installation of a Pen Register or Touch-Tone Decoder and Terminating Trap, 610 F.2d 1148, 1154 (3rd Cir. 1979). Moreover, practically speaking, requiring the presence of law enforcement at the execution of these search warrants would prove extremely burdensome, as searches can prove time consuming, and ISPs maintain account information in a variety of locations. Also, it is difficult to imagine how a law enforcement officer could play a useful role in a service provider's actual retrieval of the specified records.
Nevertheless, in the interest
of caution, until the issues raised in Bach
are ultimately resolved, law enforcement officials preparing a warrant pursuant
to § 2703 are advised to request in the search warrant application that the
magistrate expressly permit faxing the warrant to the ISP and executing the
warrant without the officer present. For draft language or other information
and guidance regarding Bach,
contact the Computer Crime and Intellectual Property Section at (202) 514-1026.
E. Voluntary Disclosure
Providers of services not available "to the public" may freely disclose both contents and other records relating to stored communications. ECPA imposes restrictions on voluntary disclosures by providers of services to the public, but it also includes exceptions to those restrictions.
The voluntary disclosure provisions of ECPA appear in 18 U.S.C. § 2702. These provisions govern when a provider of RCS or ECS can disclose contents and other information voluntarily, both to the government and non-government entities. If the provider may disclose the information to the government and is willing to do so voluntarily, law enforcement does not need to obtain a legal order to compel the disclosure. If the provider either may not or will not disclose the information, agents must rely on compelled disclosure provisions and obtain the appropriate legal orders.
When considering whether a provider of RCS or ECS can disclose contents or records, the first question agents must ask is whether the relevant service offered by the provider is available "to the public." If the provider does not provide the applicable service "to the public," then ECPA does not place any restrictions on disclosure. See 18 U.S.C. § 2702(a). For example, in Andersen Consulting v. UOP, 991 F. Supp. 1041 (N.D. Ill. 1998), the petroleum company UOP hired the consulting firm Andersen Consulting and gave Andersen employees accounts on UOP's computer network. After the relationship between UOP and Andersen soured, UOP disclosed to the Wall Street Journal e-mails that Andersen employees had left on the UOP network. Andersen sued, claiming that the disclosure of its contents by the provider UOP had violated ECPA. The district court rejected the suit on the ground that UOP did not provide an electronic communication service to the public:
[G]iving Andersen access to [UOP's] e-mail system is not equivalent to providing e-mail to the public. Andersen was hired by UOP to do a project and as such, was given access to UOP's e-mail system similar to UOP employees. Andersen was not any member of the community at large, but a hired contractor.
Id. at 1043. Because UOP did not provide services to the public, ECPA did not prohibit disclosure of contents belonging to UOP's "subscribers."
If the services offered by the provider are available to the public, then ECPA forbids both the disclosure of contents to any third party and the disclosure of other records to any governmental entity, unless a statutory exception applies. (21) Section 2702(b) contains exceptions for disclosure of contents, and § 2702(c) contains exceptions for disclosure of other customer records.
ECPA provides for the voluntary disclosure of contents when:
1) the disclosure "may be necessarily incident to the rendition of the service or to the protection of the rights or property of the provider of that service," § 2702(b)(5);
2) the disclosure is made "to a law enforcement agency . . . if the contents . . . were inadvertently obtained by the service provider . . .[and] appear to pertain to the commission of a crime," § 2702(b)(6)(A);
3) the provider "reasonably believes that an emergency involving immediate danger of death or serious physical injury to any person requires disclosure of the information without delay," § 2702(b)(6)(C);
4) the Child Protection and Sexual Predator Punishment Act of 1998, 42 U.S.C. § 13032, mandates the disclosure, 18 U.S.C. § 2702(b)(6)(B); or
5) the disclosure is made to the intended recipient of the communication, with the consent of the intended recipient or sender, to a forwarding address, or pursuant to a court order or legal process. § 2702(b)(1)-(4).
ECPA provides for the voluntary disclosure of non-content customer records by a provider to a governmental entity when: (22)
1) the disclosure "may be necessarily incident to the rendition of the service or to the protection of the rights or property of the provider of that service," § 2702(c)(3);
2) the provider "reasonably believes that an emergency involving immediate danger of death of serious physical injury to any person" justifies disclosure, § 2702(c)(4); or
3) the disclosure is made with the consent of the intended recipient, or pursuant to a court order or legal process § 2702(c)(1)-(2).
In general, these
exceptions permit disclosure by a provider to the public when the needs of public
safety and service providers outweigh privacy concerns of customers, or else
when disclosure is unlikely to pose a serious threat to privacy interests.
F. Quick Reference Guide
Voluntary
Disclosure
Allowed? |
Mechanisms to Compel Disclosure |
Public Provider |
Non-Public Provider |
Public Provider |
Non-Public Provider |
Basic subscriber, session, and billing information |
Not to government, unless § 2702(c) exception applies [§ 2702(a)(3)] |
Yes
[§ 2702(a)(3)] |
Subpoena; 2703(d) order; or search warrant [§ 2703(c)(2)] |
Subpoena; 2703(d) order; or
search warrant [§ 2703(c)(2)] |
Other transactional and account records |
Not to government, unless § 2702(c) exception applies [§ 2702(a)(3)] |
Yes
[§ 2702(a)(3)] |
2703(d)
order or search warrant [§ 2703(c)(1)] |
2703(d)
order or search warrant [§ 2703(c)(1)] |
Accessed communications (opened e-mail and voice mail) left with provider and other stored files |
No, unless § 2702(b) exception applies [§ 2702(a)(2)] |
Yes [§ 2702(a)(2)] |
Subpoena with notice; 2703(d) order with notice; or search warrant [§ 2703(b)] |
Subpoena;
ECPA doesn't apply [§ 2711(2)] |
Unretrieved
communication, including e-mail and voice mail
(in electronic storagemore than 180 days) |
No, unless § 2702(b) exception applies [§ 2702(a)(1)] |
Yes [§ 2702(a)(1)] |
Subpoena with notice; 2703(d) order with notice; or search warrant [§ 2703(a,b)] |
Subpoena with notice; 2703(d) order with notice; or search warrant [§ 2703(a,b)] |
Unretrieved
communication, including e-mail and voice mail
(in electronic storage 180 days or less) |
No, unless § 2702(b) exception applies [§ 2702(a)(1)] |
Yes
[§ 2702(a)(1)] |
Search warrant [§ 2703(a)] |
Search
warrant [§ 2703(a)] |
G. Working with Network Providers: Preservation of Evidence, Preventing Disclosure to Subjects, and Cable Act Issues
In general, investigators should communicate with network service providers before issuing subpoenas or obtaining court orders that compel the providers to disclose information.
Law enforcement officials who procure records under ECPA quickly learn the importance of communicating with network service providers. This is true because every network provider works differently. Some providers retain very complete records for a long period of time; others retain few records, or even none. Some providers can comply easily with law enforcement requests for information; others struggle to comply with even simple requests. These differences result from varied philosophies, resources, hardware and software among network service providers. Because of these differences, agents often will want to communicate with network providers to learn how the provider operates before obtaining a legal order that compels the provider to act.
ECPA contains two provisions designed to aid law enforcement officials working with network service providers. When used properly, these provisions help ensure that providers will not delete needed records or notify others about the investigation.
1. Preservation of Evidence under 18 U.S.C. § 2703(f)
Agents may direct providers to preserve existing records pending the issuance of compulsory legal process. Such requests have no prospective effect, however.
In general, no law regulates how long network service providers must retain account records in the United States. Some providers retain records for months, others for hours, and others not at all. As a practical matter, this means that evidence may be destroyed or lost before law enforcement can obtain the appropriate legal order compelling disclosure. For example, agents may learn of a child pornography case on Day 1, begin work on a search warrant on Day 2, obtain the warrant on Day 5, and then learn that the network service provider deleted the records in the ordinary course of business on Day 3. To minimize this risk, ECPA permits the government to direct providers to "freeze" stored records and communications pursuant to 18 U.S.C. § 2703(f). Specifically, § 2703(f)(1) states:
A provider of wire or electronic communication service or a remote computing service, upon the request of a governmental entity, shall take all necessary steps to preserve records and other evidence in its possession pending the issuance of a court order or other process.
There is no legally prescribed format for § 2703(f) requests. While a simple phone call should therefore be adequate, a fax or an e-mail is better practice because it both provides a paper record and guards against miscommunication. Upon receipt of the government's request, the provider must retain the records for 90 days, renewable for another 90-day period upon a government request. See 18 U.S.C. § 2703(f)(2). A sample § 2703(f) letter appears in Appendix C.
Agents who send § 2703(f) letters to network service providers should be aware of two limitations. First, the authority to direct providers to preserve records and other evidence is not prospective. That is, § 2703(f) letters can order a provider to preserve records that have already been created, but cannot order providers to preserve records not yet made. If agents want providers to record information about future electronic communications, they must comply with the electronic surveillance statutes discussed in Chapter 4.
A second limitation of § 2703(f) is that some providers may be unable to comply effectively with § 2703(f) requests. As of the time of this writing, for example, the software used by America Online generally requires AOL to reset the password of an account when it attempts to comply with a § 2703(f) request to preserve stored e-mail. A reset password may well tip off the suspect. As a result, agents may or may not want to issue § 2703(f) letters to AOL or other providers who use similar software, depending on the facts. The key here is effective communication: agents should communicate with the network provider before ordering the provider to take steps that may have unintended adverse effects. Agents simply cannot make informed investigative choices without knowing the provider's particular practices, strengths, and limitations.
2. Orders Not to Disclose the Existence of a Warrant, Subpoena, or Court Order
18 U.S.C. § 2705(b) states:
A governmental entity acting under section 2703, when it is not required to notify the subscriber or customer under section 2703(b)(1), or to the extent that it may delay such notice pursuant to subsection (a) of this section, may apply to a court for an order commanding a provider of electronic communications
service or remote computing service to whom a warrant, subpoena, or court order is directed, for such period as the court deems appropriate, not to notify any other person of the existence of the warrant, subpoena, or court order. The court shall enter such an order if it determines that there is reason to believe that notification of the existence of the warrant, subpoena, or court order will result in--
(1) endangering the life or physical safety of an individual;
(2) flight from prosecution;
(3) destruction of or tampering with evidence;
(4) intimidation of potential witnesses; or
(5) otherwise seriously jeopardizing an investigation or unduly delaying a trial.
18 U.S.C. § 2705(b).
This language permits agents to apply for a court order directing network service providers not to disclose the existence of compelled process whenever the government itself has no legal duty to notify the customer or subscriber of the process. If the relevant process is a § 2703(d) order or § 2703(a) warrant, agents can simply include appropriate language in the application and proposed order or warrant. If agents instead seek to compel information using a subpoena, they must apply separately for this order.
3. The Cable Act, 47 U.S.C. § 551
The Cable Act restricts government access to cable operator records only when the records relate to ordinary cable services. It does not restrict government access to records relating to Internet access or telephone service provided by a cable operator.
In 1984, Congress passed the Cable Communications Policy Act ("the Cable Act"), 47 U.S.C. § 551, setting forth a restrictive system of rules governing law enforcement access to records possessed by a cable company. Under these rules, even a search warrant was insufficient to gain access to cable company records. The government could obtain "personally identifiable information concerning a cable subscriber" only by overcoming a heavy burden of proof at an in-court adversary proceeding, as specified in 47 U.S.C. § 551(h).
Subsequent to the
1984 passage of the Cable Act, cable companies began to provide Internet access
and telephone service. Some cable companies asserted that the stringent disclosure
restrictions of the Cable Act governed not only their provision of traditional
cable programming services, but also their provision of Internet and telephone
services. Congress responded in the 2001 USA PATRIOT Act by amending the Cable
Act to specify that its disclosure restrictions apply only to records revealing
what ordinary cable television programming a customer purchases, such as particular
premium channels or "pay per view" shows. See
PATRIOT Act § 211, 115 Stat. 272, 283-84 (2001). In particular, cable operators
may disclose subscriber information to the government pursuant to ECPA, Title
III, and the Pen Register/Trap and Trace statute, except for "records revealing
cable subscriber selection of video programming." 47 U.S.C. § 551(c)(2)(D).
Records revealing subscriber selection of video programming remain subject to
the restrictions of 47 U.S.C. § 551(h).
1. Suppression
ECPA does not provide a suppression remedy. See 18 U.S.C. § 2708 ("The [damages] remedies and sanctions described in this chapter are the only judicial remedies and sanctions for nonconstitutional violations of this chapter."). Accordingly, nonconstitutional violations of ECPA do not result in suppression of the evidence. See United States v. Smith, 155 F.3d 1051, 1056 (9th Cir. 1998) ("[T]he Stored Communications Act expressly rules out exclusion as a remedy"); United States v. Kennedy, 81 F. Supp. 2d 1103, 1110 (D. Kan. 2000) ("[S]uppression is not a remedy contemplated under the ECPA."); United States v. Hambrick, 55 F. Supp. 2d 504, 507 (W.D. Va. 1999) ("Congress did not provide for suppression where a party obtains stored data or transactional records in violation of the Act."), aff'd, 225 F.3d 656, 2000 WL 1062039 (4th Cir. 2000); United States v. Charles, 1998 WL 204696, at *21 (D. Mass. 1998) ("ECPA provides only a civil remedy for a violation of § 2703"); United States v. Reyes, 922 F. Supp. 818, 837-38 (S.D.N.Y. 1996) ("Exclusion of the evidence is not an available remedy for this violation of the ECPA. . . . The remedy for violation of [18 U.S.C. § 2701-11] lies in a civil action."). (23)
Defense counsel seeking suppression of evidence obtained in violation of ECPA are likely to rely on McVeigh v. Cohen, 983 F. Supp. 215 (D.D.C. 1998). In this unusual case, Judge Sporkin enjoined the United States Navy from dismissing 17-year Navy veteran Timothy R. McVeigh after the Navy learned that McVeigh was gay. The Navy learned of McVeigh's sexual orientation after McVeigh sent an e-mail signed "Tim" from his AOL account "boysrch" to the AOL account of a civilian Navy volunteer. When the volunteer examined AOL's "member profile directory," she learned that "boysrch" belonged to a man in the military stationed in Honolulu who listed his marital status as "gay." Suspecting that the message was from McVeigh, the volunteer forwarded the e-mail and directory profile to officers aboard McVeigh's submarine. The officers then began investigating McVeigh's sexual orientation. To confirm McVeigh's identity, a Navy paralegal telephoned AOL and offered a false story for why he needed the real name of "boysrch." The paralegal did not disclose that he was a Naval serviceman. After the AOL representative confirmed that "boysrch" belonged to McVeigh's account, the Navy began a discharge proceeding against McVeigh. Shortly before McVeigh's discharge was to occur, McVeigh filed suit and asked for a preliminary injunction blocking the discharge. Judge Sporkin granted McVeigh's motion the day before the discharge.
Judge Sporkin's opinion
reflects both the case's highly charged political atmosphere and the press of
events surrounding the issuance of the opinion.
(24)
In the course of
criticizing the Navy for substituting subterfuge for ECPA's legal process to
obtain McVeigh's basic subscriber information from AOL, Judge Sporkin made statements
that could be interpreted as reading a suppression remedy into ECPA for flagrant
violations of the statute:
[I]t is elementary
that information obtained improperly can be suppressed where an individual's
rights have been violated. In these days of 'big brother,' where through technology
and otherwise the privacy interests of individuals from all walks of life are
being ignored or marginalized, it is imperative that statutes explicitly protecting
these rights be strictly observed.
Id.
at 220. While ECPA should be strictly observed, the statement that suppression
is appropriate when information is obtained in violation of "an individual's
rights" is somewhat perplexing. Both the case law and the text of ECPA itself
make clear that ECPA does not offer a suppression remedy for nonconstitutional
violations. Accordingly, this statement must be construed to refer only to constitutional
rights.
2. Civil Actions
and Disclosures
Although ECPA does
not provide a suppression remedy for statutory violations, it does provide for
civil damages (including, in some cases, punitive damages), as well as the prospect
of disciplinary actions against officers and employees of the United States
who have engaged in willful violations of the statute. Liability and discipline
can result not only from violations of the rules already described in this chapter,
but also from the improper disclosure of some kinds of ECPA-related information.
Information that is obtained through process (subpoena, order, or search warrant)
under ECPA and that qualifies as a "record" under the Privacy Act, 5 U.S.C.
§ 552a(a), cannot willfully be disclosed by an officer or governmental entity
without violating ECPA. See
18 U.S.C. § 2707(g). However, it is not a violation to make a disclosure
"in the proper performance of the official functions of the officer or governmental
agency making the disclosure," nor is it unlawful to disclose information that
has been previously and lawfully disclosed to the public. Id.
Section 2707(g), unless extended, will sunset on December 31, 2005. See
PATRIOT Act §§ 223, 224, 115 Stat. 272, 293-95 (2001).
ECPA includes separate
provisions for suits against the United States and suits against any other person
or entity. 18 U.S.C. § 2707 permits a "person aggrieved" by an ECPA violation
to bring a civil action against the "person or entity, other than the United
States, which engaged in that violation." 18 U.S.C. § 2707(a). Relief can
include money damages no less than $1,000 per person, equitable or declaratory
relief, and a reasonable attorney's fee plus other reasonable litigation costs.
Willful or intentional violations can also result in punitive damages, see
§ 2707(b)-(c), and employees of the United States may be subject to disciplinary
action for willful or intentional violations. See
§ 2707(d). A good faith reliance on a court order or warrant, grand jury
subpoena, legislative authorization, or statutory authorization provides a complete
defense to any ECPA civil or criminal action. See
§ 2707(e). Qualified immunity may also be available. See
Chapter 4.D.2.
Suits against the
United States may be brought under 18 U.S.C. § 2712 for willful violations
of ECPA, Title III, or specified sections of the Foreign Intelligence Surveillance
Act of 1978, 50 U.S.C. § 1801. This section authorizes courts to award actual
damages or $10,000, whichever is greater, and reasonable litigation costs. Section
2712 also defines procedures for suits against the United States and a process
for staying proceedings when civil litigation would interfere with a related
investigation or criminal prosecution. See
18 U.S.C. § 2712 (b), (e). Unless extended, § 2712 will sunset on December
31, 2005. See PATRIOT Act §§
223, 224, 115 Stat. 272, 293-95 (2001). IV. ELECTRONIC
SURVEILLANCE IN COMMUNICATIONS NETWORKS
A. Introduction
Criminal investigations
often involve electronic surveillance. In computer crime cases, agents may want
to monitor a hacker as he breaks into a victim computer system, or set up a
"cloned" e-mail box to monitor a suspect sending or receiving child pornography
over the Internet. In a more traditional context, agents may wish to wiretap
a suspect's telephone, or learn whom the suspect has called, and when. This
chapter explains how the electronic surveillance statutes work in criminal investigations
involving computers.
Two federal statutes
govern real-time electronic surveillance in federal criminal investigations.
The first and most important is the wiretap statute, 18 U.S.C. §§ 2510-2522,
first passed as Title III of the Omnibus Crime Control and Safe Streets Act
of 1968 (and generally known as "Title III"). The second statute is the Pen
Registers and Trap and Trace Devices chapter of Title 18 ("the Pen/Trap statute"),
18 U.S.C. §§ 3121-3127, which governs pen registers and trap and trace
devices. Failure to comply with these statutes may result in civil and criminal
liability, and in the case of Title III, may also result in suppression of evidence.
B. Content
vs. Addressing Information
In
general, the Pen/Trap statute regulates the collection of addressing and other
non-content information for wire and electronic communications. Title III regulates
the collection of actual content of wire and electronic communications.
Title III and the
Pen/Trap statute coexist because they regulate access to different types of
information. Title III permits the government to obtain the contents of wire
and electronic communications in transmission. In contrast, the Pen/Trap statute
concerns the real-time collection of addressing and other non-content information
relating to those communications. See
18 U.S.C. § 2511(h)(i) (stating that it is not a violation of Title III to use
a pen register or trap and trace device); United
States Telecom Ass'n v. FCC, 227 F.3d 450, 454 (D.C. Cir. 2000); Brown
v. Waddell, 50 F.3d 285, 289-94 (4th Cir. 1995) (distinguishing pen registers
from Title III intercept devices).
The difference between
addressing information and content is clear in the case of traditional communications
such as telephone calls. The addressing information for a telephone call is
the phone number dialed for an outgoing call, and the originating number (the
caller ID information) for an incoming call. In contrast, the content of the
communication is the actual conversation between the parties to the call.
The distinction between
addressing information and content also applies to Internet communications.
For example, when computers attached to the Internet communicate with each other,
they break down messages into discrete chunks known as "packets," and then send
each packet out to its intended destination. Every packet contains addressing
information in the "header" of the packet (much like the "to" and "from" addresses
on an envelope), followed by the content of the message (much like a letter
inside an envelope). The Pen/Trap statute permits law enforcement to obtain
the addressing information of Internet communications much as it would addressing
information for traditional phone calls. However, reading the entire packet
ordinarily implicates Title III. The primary difference between an Internet
pen/trap device and an Internet Title III intercept device (sometimes known
as a "sniffer") is that the former is programmed to capture and retain only
addressing information, while the latter is programmed to capture and retain
the entire packet.
The same distinction
applies to Internet e-mail. Every Internet e-mail message consists of a set
of headers that contain addressing and routing information generated by the
mail program, followed by the actual contents of the message authored by the
sender. The addressing and routing information includes the e-mail address of
the sender and recipient, as well as information about when and where the message
was sent on its way (roughly analogous to the postmark on a letter). The Pen/Trap
statute permits law enforcement to obtain the addressing information of Internet
e-mails (minus the subject line, which can contain content) using a court order,
just like it permits law enforcement to obtain addressing information for phone
calls and individual Internet "packets" using a court order. Conversely, the
interception of e-mail contents, including the subject line, requires careful
compliance with the strict dictates of Title III.
In some circumstances,
there can be debate about the distinction between addressing information and
content. Prosecutors or agents who encounter such issues should contact the
Computer Crime and Intellectual Property Section at (202) 514-1026 or their
local CTC (see Introduction, p. ix). C. The Pen/Trap
Statute, 18 U.S.C. §§ 3121-3127
The Pen/Trap statute
authorizes a government attorney to apply to a court for an order authorizing
the installation of a pen register and/or trap and trace device so long as "the
information likely to be obtained is relevant to an ongoing criminal investigation."
18 U.S.C. § 3122(b)(2). In rough terms, a pen register records outgoing
addressing information (such as a number dialed from a monitored telephone),
and a trap and trace device records incoming addressing information (such as
caller ID information). Although the Pen/Trap statute previously included language
which specifically referenced telephone communications, numerous courts had
applied the statute to computer network communications. In 2001, the USA PATRIOT
Act confirmed that the Pen/Trap statute applies to a wide range of communication
technologies. See PATRIOT Act
§ 216, 115 Stat. 272, 288-90 (2001).
1. Definition
of pen register and trap and trace device
The Pen/Trap statute
defines pen registers and trap and trace devices broadly. As defined in 18 U.S.C.
§ 3127(3), a "pen register" is
a device or process
which records or decodes dialing, routing, addressing, or signaling information
transmitted by an instrument or facility from which a wire or electronic communication
is transmitted, provided, however, that such information shall not include the
contents of any communication . . . .
The definition of
pen register further excludes devices or processes used for billing or cost
accounting. See 18 U.S.C. §
3127(3). The statute defines a "trap and trace device" as
a device or process
which captures the incoming electronic or other impulses which identify the
originating number or other dialing, routing, addressing, or signaling information
reasonably likely to identify the source of a wire or electronic communication,
provided, however that such information shall not include the contents of any
communication.
18 U.S.C. § 3127(4).
Because Internet headers contain both "to" and "from" information, a device
that reads the entire header (minus the subject line in the case of e-mail headers)
is known simply as a pen/trap device.
The breadth of these
definitions results from the scope of their components. First, "an instrument
or facility from which a wire or electronic communication is transmitted" encompasses
a wide variety of communications technologies, including a telephone, a cellular
telephone, an Internet user account, an e-mail account, or an IP address. Second,
the definitions' inclusion of all "dialing, routing, addressing, or signaling
information" encompasses almost all non-content information in a communication.
Third, because the definitions of a pen register and a trap and trace device
include both a "device" and a "process," the statute covers software routines
as well as physical devices. Because the definitions are written in broad, technology-neutral
language, prosecutors or agents may have questions about whether particular
devices constitute pen registers or trap and trace devices, and they should
direct any such questions to the Computer Crime and Intellectual Property Section
at (202) 514-1026, the Office of Enforcement Operations at (202) 514-6809, or
their local CTC (see Introduction, p. ix).
2. Pen/Trap Orders:
Application, Issuance, Service, and Reporting
To obtain a pen/trap
order, applicants must identify themselves, identify the law enforcement agency
conducting the investigation, and then certify their belief that the information
likely to be obtained is relevant to an ongoing criminal investigation being
conducted by the agency. See
18 U.S.C. § 3122(b)(1)-(2). The issuing court must also have jurisdiction
over the offense being investigated. See
18 U.S.C. § 3127(2)(a). So long as the application contains these elements,
the court will authorize the installation and use of a pen/trap device anywhere
in the United States. See 18
U.S.C. § 3123(a)(1). The court will not conduct an "independent judicial
inquiry into the veracity of the attested facts." In
re Application of the United States, 846 F. Supp. 1555, 1558-59 (M.D.
Fla. 1994). See also
United States v. Fregoso, 60
F.3d 1314, 1320 (8th Cir. 1995) ("The judicial role in approving use of trap
and trace devices is ministerial in nature.").
A federal pen/trap
order may have effect outside the district of the issuing court. In the case
of a federal applicant, the order "appl[ies] to any person or entity providing
wire or electronic communication service in the United States whose assistance
may facilitate the execution of the order." 18 U.S.C. § 3123(a)(1). For example,
a federal prosecutor may obtain an order to trace telephone calls made to a
particular telephone. The order applies not only to the local carrier serving
that line, but also to other providers (such as long-distance carriers and regional
carriers in other parts of the country) through whom calls are placed to the
target telephone. Similarly, in the Internet context, a federal prosecutor may
obtain an order to trace communications to a particular victim computer or IP
address. If a hacker is routing communications through a chain of intermediate
pass-through computers, the order would apply to each computer in the chain
from the victim to the source of the communications.
The Pen/Trap statute
does not require the pen/trap application or order to specify all of the providers
subject to the order, although the order must specify the initial provider.
See 18 U.S.C. § 3123(b)(1)(A).
To receive a provider's assistance, an investigator simply needs to serve the
provider with the order. Upon the provider's request, law enforcement must also
provide "written or electronic certification" that the order applies to the
provider. See 18 U.S.C. § 3123(a)(1).
There are strong practical motivations for this relatively informal process.
When prosecutors apply for a pen/trap order, they usually will not know the
identity of upstream providers in the chain of communications covered by the
order. If law enforcement personnel were required to return to court each time
they discovered the identity of a new provider, investigations would be delayed
significantly.
A pen/trap order may
authorize use of a pen/trap device for up to sixty days, and may be extended
for additional sixty-day periods. See
18 U.S.C. § 3123(c). The court order also directs the provider not to disclose
the existence of the pen/trap "to any . . . person, unless or until otherwise
ordered by the court," 18 U.S.C. § 3123(d)(2), and may order providers
of wire or electronic communications service, landlords, custodians, or other
persons to "furnish . . . forthwith all information, facilities, and technical
assistance necessary" to install pen/trap devices. See
18 U.S.C. § 3124(a), (b). Providers who are ordered to assist with the
installation of pen/trap devices under § 3124 can receive reasonable compensation
for reasonable expenses incurred in providing facilities or technical assistance
to law enforcement. See 18 U.S.C.
§ 3124(c). A provider's good faith reliance on a court order provides a
complete defense to any civil or criminal action arising from its assistance
in accordance with the order. See
18 U.S.C. § 3124(d), (e).
The Pen/Trap statute
contains a reporting requirement for the narrow class of cases in which law
enforcement officers install their own pen/trap device on a packet-switched
network of a provider of electronic communications service. See
18 U.S.C. § 3123(a)(3)(A). Usually, when law enforcement serves a pen/trap
order on a provider, the provider itself will collect the specified information
and provide it to law enforcement. In cases where a provider cannot or will
not do so, or in other rare instances, the government may install its own pen/trap
device, such as the FBI's DCS 1000. In these cases, the government must provide
the following information to the court under seal within thirty days after termination
of the order: (1) the identity of the officers who installed or accessed the
device; (2) the date and time the device was installed, accessed, and uninstalled;
(3) the configuration of the device at installation and any subsequent modifications
of that configuration; and (4) the information collected by the device. See
18 U.S.C. § 3123(a)(3). When the government installs a pen/trap device,
it must use "technology reasonably available to it" in order to avoid recording
or decoding the contents of a wire or electronic communication. See
18 U.S.C. § 3121(c).
Importantly, the limited
judicial review of pen/trap orders coexists with a strong enforcement mechanism
for violations of the statute. See
18 U.S.C. § 3121(d) (providing criminal penalties for violations of the pen/trap
statute). As one court has explained,
In
re Application of the United States, 846 F. Supp. at 1559.
The Pen/Trap statute
also grants providers of electronic or wire communication service broad authority
to use pen/trap devices on their own networks without a court order. 18 U.S.C.
§ 3121(b) states that providers may use pen/trap devices without a court
order
(1) relating to the
operation, maintenance, and testing of a wire or electronic communication service
or to the protection of the rights or property of such provider, or to the protection
of users of that service from abuse of service or unlawful use of service; or
(2) to record the
fact that a wire or electronic communication was initiated or completed in order
to protect such provider, another provider furnishing service toward the completion
of the wire communication, or a user of that service, from fraudulent, unlawful
or abusive use of service; or
(3) where the consent
of the user of that service has been obtained.
18 U.S.C. § 3121(b).
D. The Wiretap
Statute ("Title III"), 18 U.S.C. §§ 2510-2522
1.
Introduction: The General Prohibition
Since its enactment
in 1968 and amendment in 1986, Title III has provided the statutory framework
that governs real-time electronic surveillance of the contents of communications.
When agents want to wiretap a suspect's phone, "keystroke" a hacker breaking
into a computer system, or accept the fruits of wiretapping by a private citizen
who has discovered evidence of a crime, the agents first must consider the implications
of Title III.
The structure of Title
III is surprisingly simple. The statute's drafters assumed that every private
communication could be modeled as a two-way connection between two participating
parties, such as a telephone call between A and B. At a fundamental level, the
statute prohibits a third party (such as the government) who is not a participating
party to the communication from intercepting private communications between
the parties using an "electronic, mechanical, or other device," unless one of
several statutory exceptions applies. See
18 U.S.C. § 2511(1). Importantly, this prohibition is quite broad. Unlike
some privacy laws that regulate only certain cases or specific places, Title
III expansively prohibits eavesdropping (subject to certain exceptions and interstate
requirements) essentially everywhere by anyone in the United States. Whether
investigators want to conduct surveillance at home, at work, in government offices,
in prison, or on the Internet, they must make sure that the monitoring complies
with Title III's prohibitions.
The questions that
agents and prosecutors must ask to ensure compliance with Title III are straightforward,
at least in form: 1) Is the communication to be monitored one of the protected
communications defined in 18 U.S.C. § 2510? 2) Will the proposed surveillance
lead to an "interception" of the communications? 3) If the answer to the first
two questions is "yes," does a statutory exception apply that permits the interception?
2. Key Phrases
Title III broadly
prohibits the "interception" of "oral communications," "wire communications,"
and "electronic communications." These phrases are defined by the statute. See
generally 18 U.S.C. § 2510.
In computer crime cases, agents and prosecutors planning electronic surveillance
must understand the definition of "wire communication," "electronic communication,"
and "intercept." (Surveillance of oral communications rarely arises in computer
crime cases, and will not be addressed directly here. Agents and prosecutors
requiring assistance in cases involving oral communications should contact the
Justice Department's Office of Enforcement Operations at (202) 514-6809.)
"Wire communication"
In
general, telephone conversations are wire communications.
According to § 2510(1),
"wire communication" means
Within this complicated
definition, the most important requirement is that the content of the communication
must include the human voice. See
§ 2510(18) (defining "aural transfer" as "a transfer containing the human
voice at any point between and including the point of origin and point of reception").
If a communication does not contain a genuine human voice, either alone or in
a group conversation, then it cannot be a wire communication. See
S. Rep. No. 99-541, at 12 (1986), reprinted
in 1986 U.S.C.C.A.N. 3555; United
States v. Torres, 751 F.2d 875, 885-86 (7th Cir. 1984) (concluding that
"silent television surveillance" cannot lead to an interception of wire communications
under Title III because no aural acquisition occurs).
The additional requirement
that wire communications must be sent "in whole or in part . . . by the aid
of wire, cable, or other like connection . . ." presents a fairly low hurdle.
So long as the signal travels through wire at some point along its route between
the point of origin and the point of reception, the requirement is satisfied.
For example, all voice telephone transmissions, including those from satellite
signals and cellular phones, qualify as wire communications. See
H.R. Rep. No. 99-647, at 35 (1986). Because such transmissions are carried by
wire within switching stations, they are expressly included in the definition
of wire communication. Importantly, the presence of wire inside equipment at
the sending or receiving end of a communication (such as an individual cellular
phone) does not satisfy the requirement that a communication be sent "in part"
by wire. The wire must transmit the communication "to a significant extent"
along the path of transmission, outside of the equipment that sends or receives
the communication. Id.
It should be noted
that prior to the passage of the USA PATRIOT Act of 2001, the definition of
"wire communication" explicitly included "any electronic storage of such communication."
The USA PATRIOT Act deleted this phrase and amended § 2703 of ECPA to ensure
that stored wire communications (e.g. voice mails) are covered not under Title
III, but instead under the ECPA provisions that also apply to stored electronic
communication, or e-mails. See
PATRIOT Act § 209, 115 Stat. 272, 283 (2001). The practical effect of this change
is that government access to stored voice mail is no longer controlled by Title
III. Instead, voice mail is now covered by ECPA, and disclosure rules for voice
mail are now identical to the rules for e-mail. This change will sunset December
31, 2005, unless extended by Congress. See
Chapter 3.A, supra.
"Electronic communication"
Most
Internet communications (including e-mail) are electronic communications.
18 U.S.C. § 2510(12)
defines "electronic communication" as
any transfer of
signs, signals, writing, images, sounds, data, or intelligence of any nature,
transmitted in whole or in part by a wire, radio, electromagnetic, photoelectronic
or photooptical system that affects interstate or foreign commerce, but does
not include
(A) any wire or
oral communication;
(B) any communication
made through a tone-only paging device;
(C) any communication
from a tracking device . . . ; or
(D) electronic funds
transfer information stored by a financial institution in a communications
system used for the electronic storage and transfer of funds;
As the definition
suggests, electronic communication is a broad, catch-all category. See
United States v. Herring, 993
F.2d 784, 787 (11th Cir. 1993). "As a rule, a communication is an electronic
communication if it is neither carried by sound waves nor can fairly be characterized
as one containing the human voice (carried in part by wire)." H.R. Rep. No.
99-647, at 35 (1986). Most electric or electronic signals that do not fit the
definition of wire communications qualify as electronic communications. For
example, almost all Internet communications (including e-mail) qualify as electronic
communications.
"Intercept"
The
structure and language of ECPA and Title III require that the term "intercept"
be applied only to communications acquired contemporaneously with their transmission,
and not to the acquisition of stored wire or electronic communications. Most
courts have adopted this approach, but this issue is unresolved in the Ninth
Circuit.
Section 2510(4)
defines "intercept" as "the aural or other acquisition of the contents of any
wire, electronic, or oral communication through the use of any electronic, mechanical,
or other device." The word "acquisition" is ambiguous in this definition. For
example, when law enforcement surveillance equipment records the contents of
a communication, the communication might be "acquired" at three distinct points:
first, when the equipment records the communication; second, when law enforcement
later obtains the recording; or third, when law enforcement plays the recording
and either hears or sees the contents of the communication. The text of § 2510(4)
does not specify which of these events constitutes an "acquisition" for the
purposes of Title III. See United
States v. Turk, 526 F.2d 654, 657-58 (5th Cir. 1976).
Moreover, the definition
of "intercept" does not explicitly address whether the acquisition must be contemporaneous
with the transmission. However, the relationship between Title III and ECPA
requires that the meaning of "intercept" be restricted to acquisitions of communications
contemporaneous with their transmission. For example, an e-mail or voice mail
may spend time in electronic storage before it is ultimately retrieved by its
recipient. If law enforcement obtains such a communication from electronic storage,
it has not intercepted the communication within the meaning of Title III, because
acquisition of the contents of stored electronic or wire communications is governed
by § 2703(a) of ECPA, not by Title III.
Most courts have adopted
this interpretation and held that both wire and electronic communications are
intercepted only when they are acquired contemporaneously with their transmission.
In other words, interception of the communications refers only to their real-time
acquisition at the time of transmission between the parties to the communication.
An investigator who subsequently obtains access to a stored copy of the communication
does not "intercept" the communication. See,
e.g., Steve
Jackson Games, Inc. v. United States Secret Service, 36 F.3d 457, 460-63
(5th Cir. 1994) (access to stored e-mail communications) ; Wesley
College v. Pitts, 974 F. Supp. 375, 384-90 (D. Del. 1997) (same); United
States v. Meriwether, 917 F.2d 955, 960 (6th Cir. 1990) (access to stored
pager communications); United States
v. Reyes, 922 F. Supp. 818, 836 (S.D.N.Y. 1996) (same); Bohach
v. City of Reno, 932 F. Supp. 1232, 1235-36 (D. Nev. 1996) (same); United
States v. Moriarty, 962 F. Supp. 217, 220-21 (D. Mass. 1997) (access
to stored wire communications) ; In
re State Police Litigation, 888 F. Supp 1235, 1264 (D. Conn. 1995) (same);
Payne v. Norwest Corp., 911
F. Supp. 1299, 1303 (D. Mont. 1995), aff'd
in part and rev'd in part, 113 F.3d 1079 (9th Cir. 1997) (same). In addition,
because communications are intercepted only if acquired contemporaneously with
transmission, a key logger device on a personal computer will not intercept
communications if it is configured such that keystrokes are not recorded when
the computer's modem is in use. See
United States v. Scarfo, 180
F. Supp. 2d 572, 582 (D.N.J. 2001).
In the Ninth Circuit,
the question of whether the definition of "intercept" is limited to real-time
acquisitions remains for now less certain, for reasons that require some historical
explanation. Prior to passage of the USA PATRIOT Act, the definition of "wire
communication" in § 2510(1), unlike the definition of "electronic communication"
in § 2510(12), explicitly included "any electronic storage of such communication."
In United States v. Smith, 155
F.3d 1051, 1058-59 (9th Cir. 1998), the Ninth Circuit held that a party can intercept
a wire communication by obtaining a copy of the communication in "electronic storage,"
as defined in § 2510(17). The court reasoned that wire communications should
be treated differently than electronic communications because the definition of
wire communication expressly included the phrase "any electronic storage of such
communication," and because limiting interceptions of wire communications to contemporaneous
acquisitions would have rendered that phrase meaningless, as wire communications
in electronic storage could never be intercepted. See
id. at 1057-58.
(25) The court went on to define "intercept" under Title III in relation
to "access" under § 2701 of ECPA, with an interception "entail[ing] actually
acquiring the contents of a communication, whereas the word 'access' merely involves
being in a position to acquire
the contents of a communication." Id.
at 1058.
Now, however, the USA PATRIOT
Act has eliminated the statutory basis for the Ninth Circuit's decision in Smith
by deleting the phrase "any electronic storage of such communication" from the
definition of wire communication and by explicitly including stored wire communications
in § 2703 of ECPA. There is now a clear and uniform statutory distinction between
stored electronic and wire communications, which are subject to ECPA, and contemporaneous
interceptions of electronic and wire communications, which are subject to Title
III.
Title III broadly prohibits
the intentional interception, use, or disclosure
(26) of wire and electronic communications unless a statutory exception
applies. See 18 U.S.C. § 2511(1).
In general, this prohibitions bars third parties (including the government)
from wiretapping telephones and installing electronic "sniffers" that read Internet
traffic.
The breadth of Title III's
prohibition means that the legality of most surveillance techniques under Title
III depends upon whether a statutory exception to the rule applies. Title III
contains dozens of exceptions, which may or may not apply in hundreds of different
situations. In computer crime cases, however, seven exceptions apply most often:
A) interception pursuant
to a § 2518 court order;
B) the 'consent' exception,
§ 2511(2)(c)-(d);
C) the 'provider' exception,
§ 2511(2)(a)(i);
D) the 'computer trespasser'
exception, § 2511(2)(i);
E) the 'extension telephone'
exception, § 2510(5)(a);
F) the 'inadvertently obtained
criminal evidence' exception, § 2511(3)(b)(iv); and
G) the 'accessible to the
public' exception, § 2511(2)(g)(i).
Prosecutors and agents need
to understand the scope of these seven exceptions in order to determine whether
different surveillance strategies will comply with Title III.
a) Interception Authorized
by a Title III Order, 18 U.S.C. § 2518.
Title III permits law enforcement
to intercept wire and electronic communications pursuant to a court order under
18 U.S.C. § 2518 (a "Title III order"). High-level Justice Department approval
is required for federal Title III applications, by statute in the case of wire
communications, and by Justice Department policy in the case of electronic communications
(except for numeric pagers). When authorized by the Justice Department and signed
by a United States District Court or Court of Appeals judge, a Title III order
permits law enforcement to intercept communications for up to thirty days. See
§ 2518.
18 U.S.C. §§ 2516-2518
imposes several formidable requirements that must be satisfied before investigators
can obtain a Title III order. Most importantly, the application for the order
must show probable cause to believe that the interception will reveal evidence
of a predicate felony offense listed in § 2516. See
§ 2518(3)(a)-(b). For federal agents, the predicate felony offense must
be one of the crimes specifically enumerated in § 2516(1)(a)-(r) to intercept
wire communications, or any federal felony to intercept electronic communications.
See 18 U.S.C. § 2516(3).
The predicate crimes for state investigations are listed in 18 U.S.C. § 2516(2).
The application for a Title III order also (1) must show that normal investigative
procedures have been tried and failed, or that they reasonably appear to be
unlikely to succeed or to be too dangerous, see
§ 2518(1)(c); (2) must establish probable cause that the communication
facility is being used in a crime; and (3) must show that the surveillance will
be conducted in a way that minimizes the interception of communications that
do not provide evidence of a crime. See
§ 2518(5). For comprehensive guidance on the requirements of 18 U.S.C.
§ 2518, agents and prosecutors should consult the Justice Department's
Office of Enforcement Operations at (202) 514-6809.
b) Consent of a Party
to the Communication, 18 U.S.C. § 2511(2)(c)-(d)
18 U.S.C. § 2511(2)(c)
and (d) state:
(c) It shall not be unlawful
under this chapter for a person acting under color of law to intercept a wire,
oral, or electronic communication, where such person is a party to the communication
or one of the parties to the communication has given prior consent to such interception.
(d) It shall not be unlawful
under this chapter for a person not acting under color of law to intercept a
wire, oral, or electronic communication where such person is a party to the
communication or where one of the parties to the communication has given prior
consent to such interception unless such communication is intercepted for the
purpose of committing any criminal or tortious act in violation of the Constitution
or laws of the United States or of any State.
This language authorizes
the interception of communications when one of the parties to the communication
consents to the interception. (27)
For example, if an undercover government agent or informant records a telephone
conversation between himself and a suspect, his consent to the recording authorizes
the interception. See, e.g.,
Obron Atlantic Corp. v. Barr,
990 F.2d 861 (6th Cir. 1993) (relying on § 2511(2)(c)). Similarly, if a private
person records his own telephone conversations with others, his consent authorizes
the interception unless the commission of a criminal or tortious act was at
least a determinative factor in the person's motivation for intercepting the
communication. See United
States v. Cassiere, 4 F.3d 1006, 1021 (1st Cir. 1993) (interpreting §
2511(2)(d)).
Consent to Title III monitoring
may be express or implied. See
United States v. Amen, 831 F.2d
373, 378 (2d Cir. 1987). Implied consent exists when circumstances indicate
that a party to a communication was "in fact aware" of monitoring, and nevertheless
proceeded to use the monitored system. United
States v. Workman, 80 F.3d 688, 693 (2d Cir. 1996); see
also Griggs-Ryan
v. Smith, 904 F.2d 112, 116 (1st Cir. 1990) ("[I]mplied consent is consent
in fact which is inferred from surrounding circumstances indicating that the
party knowingly agreed to the surveillance.") (internal quotations omitted).
In most cases, the key to establishing implied consent is showing that the consenting
party received notice of the monitoring and used the monitored system despite
the notice. See Berry
v. Funk, 146 F.3d 1003, 1011 (D.C. Cir. 1998). Proof of notice to the
party generally supports the conclusion that the party knew of the monitoring.
See Workman,
80 F.3d. at 693. Absent proof of notice, the government must "convincingly"
show that the party knew about the interception based on surrounding circumstances
in order to support a finding of implied consent. United
States v. Lanoue, 71 F.3d 966, 981 (1st Cir. 1995).
i) "Bannering" and Implied
Consent
Monitoring
use of a computer network does not violate Title III after users view an appropriate
"network banner" informing them that use of the network constitutes consent
to monitoring.
In computer cases,
the implied consent doctrine permits monitoring of a computer network that has
been properly "bannered." A banner is a posted notice informing users as they
log on to a network that their use may be monitored, and that subsequent use
of the system will constitute consent to the monitoring. Every user who sees
the banner before logging on to the network has received notice of the monitoring:
by using the network in light of the notice, the user impliedly consents to
monitoring pursuant to 18 U.S.C. § 2511(2)(c)-(d). See,
e.g., Workman,
80 F.3d. at 693-94 (holding that explicit notices that prison telephones would
be monitored generated implied consent to monitoring among inmates who subsequently
used the telephones); United States
v. Amen, 831 F.2d 373, 379 (2d Cir. 1987) (same). But
see United
States v. Thomas, 902 F.2d 1238, 1245 (7th Cir. 1990) (dicta) (questioning
the reasoning of Amen).
The scope of consent
generated by a banner generally depends on the banner's language: network banners
are not "one size fits all." A narrowly worded banner may authorize only some
kinds of monitoring; a broadly worded banner may permit monitoring in many circumstances
for many reasons. In deciding what kind of banner is right for a given computer
network, system providers look at the network's purpose, the system administrator's
needs, and the users' culture. For example, a sensitive Department of Defense
computer network might require a broad banner, while a state university network
used by professors and students could use a narrow one. Appendix A contains
several sample banners that reflect a range of approaches to network monitoring.
ii) Who is a "Party
to the Communication" in a Network Intrusion?
Sections 2511(2)(c)
and (d) permit any "person" who is a "party to the communication" to consent
to monitoring of that communication. In the case of wire communications, a "party
to the communication" is usually easy to identify. For example, either conversant
in a two-way telephone conversation is a party to the communication. See,
e.g., United States v. Davis,
1 F.3d 1014, 1015 (10th Cir. 1993). In a computer network environment, in contrast,
the simple framework of a two-way communication between two parties breaks down.
When a hacker launches an attack against a computer network, for example, he
may route the attack through a handful of compromised computer systems before
directing the attack at a final victim. At the victim's computer, the hacker
may direct the attack at a user's network account, at the system administrator's
"root" account, or at common files. Finding a "person" who is a "party to the
communication" -- other than the hacker himself, of course -- can be a difficult
(if not entirely metaphysical) task. Because of these difficulties, agents and
prosecutors should adopt a cautious approach to the "party to the communication"
consent exception. In hacking cases, the computer trespasser exception discussed
in subsection (d) below may provide a more certain basis for monitoring communications.
A few courts have
suggested that the owner of a computer system may satisfy the "party to the
communication" language when a user sends a communication to the owner's system.
See United
States v. Mullins, 992 F.2d 1472, 1478 (9th Cir. 1993) (stating that
the consent exception of § 2511(2)(d) authorizes monitoring of computer
system misuse because the owner of the computer system is a party to the communication);
United States v. Seidlitz, 589
F.2d 152, 158 (4th Cir. 1978) (concluding in dicta that a company that
leased and maintained a compromised computer system was "for all intents and
purposes a party to the communications" when company employees intercepted intrusions
into the system from an unauthorized user using a supervisor's hijacked account).
Even accepting this interpretation, however, adhering to it may pose serious
practical difficulties. Because hackers often loop from one victim computer
through to another, creating a "daisy chain" of systems carrying the traffic,
agents have no way of knowing ahead of time which computer will be the ultimate
destination for any future communication. If a mere pass-through victim cannot
be considered a "party to the communication" -- an issue unaddressed by the
courts -- a hacker's decision to loop from one victim to another could change
who can consent to monitoring. In that case, agents trying to monitor with the
victim's consent would have no way of knowing whether that victim will be a
"party to the communication" for any future communication.
c) The Provider
Exception, 18 U.S.C. § 2511(2)(a)(i)
Employees
or agents of communications service providers may intercept and disclose communications
to protect the providers' rights or property. For example, system administrators
of computer networks generally may monitor hackers intruding into their networks
and then disclose the fruits of monitoring to law enforcement without violating
Title III. This privilege belongs to the provider alone, however, and cannot
be exercised by law enforcement. Once the provider has communicated with law
enforcement, the computer trespasser exception may provide a basis for monitoring
by law enforcement.
18 U.S.C. § 2511(2)(a)(i)
permits
an operator of a switchboard,
or [a]n officer, employee, or agent of a provider of wire or electronic communication
service, whose facilities are used in the transmission of a wire or electronic
communication, to intercept, disclose, or use that communication in the normal
course of his employment while engaged in any activity which is a necessary
incident to the rendition of his service or to the protection of the rights
or property of the provider of that service, except that a provider of wire
communication service to the public shall not utilize service observing or random
monitoring except for mechanical or service quality control checks.
The "protection of
the rights or property of the provider" clause of § 2511(2)(a)(i) grants
providers the right "to intercept and monitor [communications] placed over their
facilities in order to combat fraud and theft of service." United
States v. Villanueva, 32 F. Supp. 2d 635, 639 (S.D.N.Y. 1998). For example,
employees of a cellular phone company may intercept communications from an illegally
"cloned" cell phone in the course of locating its source. See
United States v. Pervaz, 118
F.3d 1, 5 (1st Cir. 1997). The exception also permits providers to monitor misuse
of a system in order to protect the system from damage, theft, or invasions
of privacy. For example, system administrators can track hackers within their
networks in order to prevent further damage. Cf.
Mullins, 992 F.2d at 1478 (concluding
that need to monitor misuse of computer system justified interception of electronic
communications pursuant to § 2511(2)(a)(i)).
Importantly, the provider
exception of § 2511(2)(a)(i) does not permit providers to conduct unlimited
monitoring. See United
States v. Auler, 539 F.2d 642, 646 (7th Cir. 1976) ("This authority of
the telephone company to intercept and disclose wire communications is not unlimited.").
Instead, the exception permits providers and their agents to conduct reasonable
monitoring that balances the providers' needs to protect their rights and property
with their subscribers' right to privacy in their communications. See
United States v. Harvey, 540
F.2d 1345, 1350 (8th Cir. 1976) ("The federal courts . . . have construed the
statute to impose a standard of reasonableness upon the investigating communication
carrier."). Providers investigating unauthorized use of their systems have broad
authority to monitor and then disclose evidence of unauthorized use under § 2511(2)(a)(i),
but should attempt to tailor their monitoring and disclosure so as to minimize
the interception and disclosure of private communications unrelated to the investigation.
See, e.g.,
United States v. Freeman, 524
F.2d 337, 340 (7th Cir. 1975) (concluding that phone company investigating use
of illegal "blue boxes," which were devices designed to steal long-distance
service, acted permissibly under § 2511(2)(a)(i) when it intercepted the
first two minutes of every conversation obtained by a "blue box," but did not
intercept legitimately authorized communications). In particular, there must
be a "substantial nexus" between the monitoring and the threat to the provider's
rights or property. United States v.
McLaren, 957 F. Supp. 215, 219 (M.D. Fla. 1997). Further, although providers
legitimately may protect their rights or property by gathering evidence of wrongdoing
for criminal prosecution, see
United States v. Harvey, 540
F.2d 1345, 1352 (8th Cir. 1976), they cannot use the rights or property exception
to gather evidence of crime unrelated to their rights or property. See
Bubis v. United States, 384
F.2d 643, 648 (9th Cir. 1967) (interpreting Title III's predecessor statute,
47 U.S.C. § 605, and holding impermissible provider monitoring to convict
blue box user of interstate transmission of wagering information).
Agents and prosecutors
must resist the urge to use the provider exception to satisfy law enforcement
needs. Although the exception permits providers to intercept and disclose communications
to law enforcement to protect their rights or property, see
Harvey, 540 F.2d at 1352, it does not permit law enforcement officers
to direct or ask system administrators to monitor for law enforcement purposes.
For example, in McClelland v. McGrath,
31 F. Supp. 2d 616 (N.D. Ill. 1998), police officers investigating a kidnaping
traced the kidnaper's calls to an unauthorized "cloned" cellular phone. Eager
to learn more about the kidnaper's identity and location, the police asked the
cellular provider to intercept the kidnaper's communications and relay any information
to the officers that might assist them in locating the kidnaper. The provider
agreed, listened to the kidnaper's calls, and then passed on the information
to the police, leading to the kidnaper's arrest. Later, the kidnaper sued the
officers for intercepting his phone calls, and the officers argued that § 2511(2)(a)(i)
authorized the interceptions because the provider could monitor the cloned phone
to protect its rights against theft. Although the court noted that the suit
"might seem the very definition of chutzpah," it held that § 2511(2)(a)(i)
did not authorize the interception to the extent that the police had directed
the provider to monitor for law enforcement purposes unrelated to the provider's
rights or property:
What the officers
do not seem to understand . . . is that they are not free to ask or direct [the
provider] to intercept any phone calls or disclose their contents, at least
not without complying with the judicial authorization provisions of the Wiretap
Act, regardless of whether [the provider] would have been entitled to intercept
those calls on its own initiative.
Id.
at 619. Because the purpose of the monitoring appeared to be to locate and identify
the kidnaper (a law enforcement interest), rather than to combat telephone fraud
(a provider interest), the court refused to grant summary judgment for the officers
on the basis of § 2511(2)(a)(i). See
id; see
also United
States v. Savage, 564 F.2d 728, 731 (5th Cir. 1977) (agreeing with district
court ruling that a police officer exceeded the provider exception by commandeering
a telephone operator's monitoring).
In light of such difficulties,
agents and prosecutors should adopt a cautious approach to accepting the fruits
of future monitoring conducted by providers under the provider exception. (As
discussed below, law enforcement may be able to avoid this problem by reliance
on the computer trespasser exception.) Law enforcement agents generally should
feel free to accept the fruits of monitoring that a provider collected pursuant
to § 2511(2)(a)(i) prior to communicating with law enforcement about the
suspected criminal activity. After law enforcement and the provider have communicated
with each other, however, law enforcement should only accept the fruits of a
provider's monitoring if certain requirements have been met that indicate that
the provider is monitoring and disclosing to protect its rights or property.
These requirements are: 1) the provider is a victim of the crime and affirmatively
wishes both to intercept and to disclose to protect the provider's rights or
property, 2) law enforcement verifies that the provider's intercepting and disclosure
was motivated by the provider's wish to protect its rights or property, rather
than to assist law enforcement, 3) law enforcement has not tasked, directed,
requested, or coached the monitoring or disclosure for law enforcement purposes,
and 4) law enforcement does not participate in or control the actual monitoring
that occurs. Although not required by law, it is highly recommends that agents
obtain a written document from the private provider indicating the provider's
understanding of its rights and its desire to monitor and disclose to protect
its rights or property. Review by a CTC in the relevant district (see Introduction,
p. ix) or the Computer Crime and Intellectual Property Section at (202) 514-1026
is also recommended. By following these procedures, agents can greatly reduce
the risk that any provider monitoring and disclosure will exceed the acceptable
limits of § 2511(2)(a)(i). A sample provider letter appears in Appendix
G.
The computer trespasser
exception, discussed in subsection (d) below, was created in part to enable
law enforcement to avoid the need to rely on prospective monitoring by a provider.
It is important for agents and prosecutors to keep in mind that the computer
trespasser exception will in certain cases offer a more reliable basis than
the provider exception for monitoring an intruder once the provider has communicated
with law enforcement. Law enforcement involvement
in provider monitoring of government networks creates special problems. Because
the lines of authority often blur, law enforcement agents should exercise extreme
care.
The rationale of the
provider exception presupposes that a sharp line exists between providers and
law enforcement officers. Under this scheme, providers are concerned with protecting
their networks from abuse, and law enforcement officers are concerned with investigating
crime and prosecuting wrongdoers. This line can seem to break down, however,
when the network to be protected belongs to an agency or branch of the government.
For example, federal government entities such as NASA, the Postal Service, and
the military services have both massive computer networks and considerable law
enforcement presences (within both military criminal investigative services
and civilian agencies' Inspectors General offices). Because law enforcement
officers and system administrators within the government generally consider
themselves to be "on the same team," it is tempting for law enforcement agents
to commandeer provider monitoring and justify it under a broad interpretation
of the protection of the provider's "rights or property." Although the courts
have not addressed the viability of this theory of provider monitoring, such
an interpretation, at least in its broadest form, may be difficult to reconcile
with some of the cases interpreting the provider exception. See,
e.g., McLaren,
957 F. Supp. at 219. CCIPS counsels a cautious approach: agents and prosecutors
should assume that the courts interpreting § 2511(2)(a)(i) in the government
network context will enforce the same boundary between law enforcement and provider
interests that they have enforced in the case of private networks. See,
e.g., Savage,
564 F.2d at 731; McClelland,
31 F. Supp. 2d at 619. Accordingly, a high degree of caution is appropriate
when law enforcement agents wish to accept the fruits of monitoring under the
provider exception from a government provider. Agents and prosecutors may call
CCIPS at (202) 514-1026 or the CTC within their district (see Introduction,
p. ix) for additional guidance in specific cases.
The "necessary to
the rendition of his service" clause of § 2511(2)(a)(i) provides the second
context in which the provider exception applies. This language permits providers
to intercept, use, or disclose communications in the ordinary course of business
when the interception is unavoidable. See
United States v. New York Tel. Co.,
434 U.S. 159, 168 n.13 (1977) (noting that § 2511(2)(a)(i) "excludes all
normal telephone company business practices" from the prohibition of Title III).
For example, a switchboard operator may briefly overhear conversations when
connecting calls. See, e.g.,
United States v. Savage, 564
F.2d 728, 731-32 (5th Cir. 1977); Adams
v. Sumner, 39 F.3d 933, 935 (9th Cir. 1994). Similarly, repairmen may
overhear snippets of conversations when tapping phone lines in the course of
repairs. See United
States v. Ross, 713 F.2d 389, 392-93 (8th Cir. 1983). Although the "necessary
incident to the rendition of his service" language has not been interpreted
in the context of electronic communications, these cases suggest that this phrase
would likewise permit a system administrator to intercept communications in
the course of repairing or maintaining a network.
(28)
d) The Computer Trespasser Exception, 18 U.S.C. § 2511(2)(i)
18 U.S.C. § 2511(2)(i)
allows victims of computer attacks to authorize law enforcement to intercept
wire or electronic communications of a computer trespasser. Law enforcement
may intercept the communications of a computer trespasser "transmitted to, through,
or from" a protected computer if four requirements are met. First, the owner
or operator of the protected computer must authorize the interception of the
trespasser's communications. 18 U.S.C. § 2511(2)(i)(I). In general, although
not specifically required by statute, it is good practice for investigators
to seek written consent for the interception from the computer's owner or a
high-level agent of that owner. Second, the person who intercepts the communications
must be "lawfully engaged in an investigation." 18 U.S.C. § 2511(2)(i)(II).
Third, the person who intercepts the communications must have "reasonable grounds
to believe that the contents of the computer trespasser's communications will
be relevant to the investigation." 18 U.S.C. § 2511(2)(i)(III). Fourth,
the interception should not acquire any communications other than those transmitted
to or from the computer trespasser. 18 U.S.C. § 2511(2)(i)(IV). Thus, investigators
may not invoke the computer trespass exception unless they are able to avoid
intercepting communications of users who are authorized to use the computer
and have not consented to the interception.
Title III defines
"computer trespasser" to mean a person who accesses a protected computer without
authorization; the definition further excludes any person "known by the owner
or operator of the protected computer to have an existing contractual relationship
with the owner or operator for access to all or part of the protected computer."
18 U.S.C. § 2510(21). Under this definition, customers of a service provider
who violate the provider's terms of service are not computer trespassers, as
they are merely exceeding the scope of their authorization. Similarly, an employee
of a company who violates the computer use policy is not a computer trespasser.
Finally, a "protected computer" is defined in 18 U.S.C. § 1030(e)(2) to include
any computer used in interstate or foreign commerce or communication, as well
as most computers used by the United States government or financial institutions.
Thus, almost any computer connected to the Internet will be a "protected computer."
Unless extended by Congress, the computer trespasser exception, part of the
USA PATRIOT Act of 2001, will sunset December 31, 2005. See
PATRIOT Act §§ 217, 224, 115 Stat. 272, 290-91, 295 (2001).
The computer trespasser
exception may be used in combination with other authorities, such as the provider
exception of § 2511(2)(a)(i). A provider who has monitored its system to
protect its rights and property under § 2511(2)(a)(i), and who has subsequently
contacted law enforcement to report some criminal activity, may continue to
monitor the criminal activity on its system under the direction of law enforcement
using the computer trespasser exception. In such circumstances, the provider
will then be acting under color of law as an agent of the government.
e) The Extension Telephone Exception, 18 U.S.C. § 2510(5)(a)
According to 18 U.S.C.
§ 2510(5)(a), Title III is not violated by the use of
any telephone or telegraph
instrument, equipment or facility, or any component thereof, (i) furnished to
the subscriber or user by a provider of wire or electronic communication service
in the ordinary course of its business and being used by the subscriber or user
in the ordinary course of its business or furnished by such subscriber or user
for connection to the facilities of such service and used in the ordinary course
of its business; or (ii) being used by a provider of wire or electronic communication
service in the ordinary course of its business, or by an investigative or law
enforcement officer in the ordinary course of his duties.
(29)
As originally drafted, Congress
intended this exception to have a fairly narrow purpose: the exception primarily
was designed to permit businesses to monitor by way of an "extension telephone"
the performance of their employees who spoke on the phone to customers. The
"extension telephone" exception makes clear that when a phone company furnishes
an employer with an extension telephone for a legitimate work-related purpose,
the employer's monitoring of employees using the extension phone for legitimate
work-related purposes does not violate Title III. See
Briggs v. American Air Filter Co.,
630 F.2d 414, 418 (5th Cir. 1980) (reviewing legislative history of Title III);
Watkins v. L.M. Berry & Co.,
704 F.2d 577, 582 (11th Cir. 1983) (applying exception to permit monitoring
of sales representatives); James v.
Newspaper Agency Corp. 591 F.2d 579, 581 (10th Cir. 1979) (applying exception
to permit monitoring of newspaper employees' conversations with customers).
The case law interpreting
the extension telephone exception is notably erratic, largely owing to the ambiguity
of the phrase "ordinary course of business." Some courts have interpreted "ordinary
course of business" broadly to mean "within the scope of a person's legitimate
concern," and have applied the extension telephone exception to contexts such
as intra-family disputes. See, e.g.,
Simpson v. Simpson, 490 F.2d
803, 809 (5th Cir. 1974) (holding that husband did not violate Title III by
recording wife's phone calls); Anonymous
v. Anonymous, 558 F.2d 677, 678-79 (2d Cir. 1977) (holding that husband
did not violate Title III in recording wife's conversations with their daughter
in his custody). Other courts have rejected this broad reading, and have implicitly
or explicitly excluded surreptitious activity from conduct within the "ordinary
course of business." See Kempf
v. Kempf, 868 F.2d 970, 973 (8th Cir. 1989) (holding that Title III prohibits
all wiretapping activities unless specifically excepted, and that there is no
express exception for interspousal wiretapping);
United States v. Harpel, 493 F.2d 346, 351 (10th Cir. 1974) ("We hold
as a matter of law that a telephone extension used without authorization or
consent to surreptitiously record a private telephone conversation is not used
in the ordinary course of business."); Pritchard
v. Pritchard, 732 F.2d 372, 374 (4th Cir. 1984) (rejecting view that
§ 2510(5)(a) exempts interspousal wiretapping from Title III liability).
Some of the courts that have embraced the narrower construction of the extension
telephone exception have stressed that it permits only limited work-related
monitoring by employers. See, e.g.,
Deal v. Spears, 980 F.2d 1153,
1158 (8th Cir. 1992) (holding that employer monitoring of employee was not authorized
by the extension telephone exception in part because the scope of the interception
was broader than that normally required in the ordinary course of business).
The exception in 18 U.S.C.
§ 2510(5)(a)(ii) that permits the use of "any telephone or telegraph instrument,
equipment or facility, or any component thereof" by "an investigative or law
enforcement officer in the ordinary course of his duties" is a common source
of confusion. This language does not
permit agents to intercept private communications on the theory that a law enforcement
agent may need to intercept communications "in the ordinary course of his duties."
As Chief Judge Posner has explained:
Investigation is within
the ordinary course of law enforcement, so if 'ordinary' were read literally
warrants would rarely if ever be required for electronic eavesdropping, which
was surely not Congress's intent. Since the purpose of the statute was primarily
to regulate the use of wiretapping and other electronic surveillance for investigatory
purposes, "ordinary" should not be read so broadly; it is more reasonably interpreted
to refer to routine noninvestigative recording of telephone conversations. .
. . Such recording will rarely be very invasive of privacy, and for a reason
that does after all bring the ordinary-course exclusion rather close to the
consent exclusion: what is ordinary is apt to be known; it imports implicit
notice.
Amati
v. City of Woodstock, 176 F.3d 952, 955 (7th Cir. 1999). For example,
routine taping of all telephone calls made to and from a police station may
fall within this law enforcement exception, but nonroutine taping designed to
target a particular suspect ordinarily would not. See
id.; accord
United States v. Hammond, 286
F.3d 189, 192 (4th Cir. 2002) (concluding that routine recording of calls made
from prison fall within law enforcement exception); United
States v. Van Poyck, 77 F.3d 285, 292 (9th Cir. 1996) (same).
f)
The 'Inadvertently Obtained Criminal Evidence' Exception, 18 U.S.C. § 2511(3)(b)(iv)
18 U.S.C. § 2511(3)(b)
lists several narrow contexts in which a provider of electronic communication
service to the public can divulge the contents of communications. The most important
of these exceptions permits a public provider to divulge the contents of any
communications that
were inadvertently obtained
by the service provider and which appear to pertain to the commission of a crime,
if such divulgence is made to a law enforcement agency.
18 U.S.C. § 2511(3)(b)(iv).
Although this exception has not yet been applied by the courts in any published
cases involving computers, its language appears to permit providers to report
criminal conduct (e.g., child pornography or evidence of a fraud scheme) in
certain circumstances without violating Title III. Cf.
18 U.S.C. § 2702(b)(6)(A) (creating an analogous rule for stored communications).
g)
The 'Accessible to the Public' Exception, 18 U.S.C. § 2511(2)(g)(i)
18 U.S.C. § 2511(2)(g)(i)
permits "any person" to intercept an electronic communication made through a
system "that is configured so that . . . [the] communication is readily accessible
to the general public." Although this exception has not yet been applied by
the courts in any published cases involving computers, its language appears
to permit the interception of an electronic communication that has been posted
to a public bulletin board, a public chat room, or a Usenet newsgroup. See
S. Rep. No. 99-541, at 36 (1986), reprinted
in 1986 U.S.C.C.A.N. 3555, 3590
(discussing bulletin boards). E. Remedies
For Violations of Title III and the Pen/Trap Statute
Agents and prosecutors
must adhere strictly to the dictates of Title III and the Pen/Trap statute when
planning electronic surveillance, as violations can result in civil penalties,
criminal penalties, and suppression of the evidence obtained. See
18 U.S.C. § 2511(4) (criminal penalties for Title III violations); 18 U.S.C.
§ 2520 (civil damages for Title III violation); 18 U.S.C. § 3121(d)
(criminal penalties for pen/trap violations); 18 U.S.C. § 2518(10)(a) (suppression
for certain Title III violations). As a practical matter, however, courts may
conclude that the electronic surveillance statutes were violated even after
agents and prosecutors have acted in good faith and with full regard for the
law. For example, a private citizen may sometimes wiretap his neighbor and later
turn over the evidence to the police, or agents may intercept communications
using a court order that the agents later learn is defective. Similarly, a court
may construe an ambiguous portion of Title III differently than did the investigators,
leading the court to find that a violation of Title III occurred. In these circumstances,
prosecutors and agents must understand not only what conduct the surveillance
statutes prohibit, but also what the ramifications might be if a court finds
that the statutes have been violated.
1. Suppression
Remedies
Title
III provides for statutory suppression of wrongfully intercepted oral and wire
communications, but not electronic communications. The Pen/Trap statute does
not provide a statutory suppression remedy. Constitutional violations may result
in suppression of the evidence wrongfully obtained.
a) Statutory Suppression
Remedies
i) General: Interception
of Wire Communications Only
The statutes that
govern electronic surveillance grant statutory suppression remedies to defendants
only in a specific set of cases. In particular, a defendant may only move for
suppression on statutory grounds when the defendant was a party to an oral or
wire communication that was intercepted in violation of Title III. See
18 U.S.C. §§ 2510(11), 2518(10)(a). See
also United
States v. Giordano, 416 U.S. 505, 524 (1974) (stating that "[w]hat disclosures
are forbidden [under § 2515], and are subject to motions to suppress, is
. . . governed by § 2518(10)(a)"); United
States v. Williams, 124 F.3d 411, 426 (3d Cir. 1997). Section 2518(10)(a)
states:
[A]ny aggrieved person
. . . may move to suppress the contents of any wire or oral communication intercepted
pursuant to this chapter, or evidence derived therefrom, on the grounds that--
(i) the communication
was unlawfully intercepted;
(ii) the order of
authorization or approval under which it was intercepted is insufficient on
its face; or
(iii) the interception
was not made in conformity with the order of authorization or approval.
18 U.S.C. § 2518(10)(a).
Notably, Title III does not provide a statutory suppression remedy for unlawful
interceptions of electronic communications. See
Steve Jackson Games, Inc. v. United
States Secret Service, 36 F.3d 457, 461 n.6 (5th Cir. 1994); United
States v. Meriwether, 917 F.2d 955, 960 (6th Cir. 1990). Similarly, the
Pen/Trap statute does not provide a statutory suppression remedy for violations.
See United
States v. Fregoso, 60 F.3d 1314, 1320-21 (8th Cir. 1995); United
States v. Thompson, 936 F.2d 1249, 1249-50 (11th Cir. 1991).
ii) Unauthorized Parties
The language of Title
III appears to offer a suppression remedy to any party to an unlawfully intercepted
wire communication, regardless of whether the party was authorized or unauthorized
to use the communication system. See
18 U.S.C. § 2510(11) (defining an "aggrieved person" who may move to suppress
under § 2518(10)(a) as "a person who was a party to any intercepted wire,
oral, or electronic communication or a person against whom the interception
was directed"). Despite this broad definition, it is unclear whether a computer
hacker could move for suppression of evidence that recorded the hacker's unauthorized
activity within the victim's computer network. The one court that has evaluated
this question expressed serious doubts. See
United States v. Seidlitz, 589
F.2d 152, 160 (4th Cir. 1978) (stating in dicta that "we seriously
doubt that [a hacker whose communications were monitored by the system administrator
of a victim network] is entitled to raise . . . objections to the evidence [under
Title III]").
The Fourth Circuit's
suggestion in Seidlitz is consistent
with other decisions interpreting the definition of "aggrieved person" in 18
U.S.C. § 2510(11). Relying on the legislative history of Title III, the
Supreme Court has stressed that Title III's suppression remedy was not intended
"generally to press the scope of the suppression role beyond present search
and seizure law." Scott v. United States,
436 U.S. 128, 139 (1978) (quoting S. Rep. No. 90-1097, at 96 (1968), and citing
Alderman v. United States, 394
U.S. 165, 175-76 (1969)). If monitoring does not violate a suspect's reasonable
expectation of privacy under the Fourth Amendment, the cases suggest, the suspect
cannot be an "aggrieved" person who can move for suppression under Title III.
See United
States v. King, 478 F.2d 494, 506 (9th Cir. 1973) ("[A] defendant may
move to suppress the fruits of a wire-tap [under Title III] only if his privacy
was actually invaded."); United States
v. Baranek, 903 F.2d 1068, 1072 (6th Cir. 1990) ("[We] do not accept
defendant's contention that fourth amendment law is not involved in the resolution
of Title III suppression issues . . . . Where, as here, we have a case with
a factual situation clearly not contemplated by the statute, we find it helpful
on the suppression issue . . . to look to fourth amendment law.").
Because monitoring
a hacker's attack ordinarily does not violate the hacker's reasonable expectation
of privacy, see "Constitutional
Suppression Remedies," infra,
it is unclear whether a hacker can be an "aggrieved person" entitled to move
for suppression of such monitoring under § 2518(10)(a). No court has addressed
this question directly. Of course, civil and criminal penalties for unlawful
monitoring continue to exist, even if the unlawful monitoring itself targets
unauthorized use. See, e.g.,
McClelland v. McGrath, 31 F.
Supp. 616 (N.D. Ill. 1998) (declining to dismiss civil suit brought by a kidnaper
against police officers for unlawful monitoring of the kidnaper's unauthorized
use of a cloned cellular phone).
iii) Suppression Following
Interception with a Defective Title III Order
Under § 2518(10)(a),
the courts generally will suppress evidence resulting from any unlawful interception
of an aggrieved party's wire communication that takes place without a court
order. However, when investigators procure a Title III order that later turns
out to be defective, the courts will suppress the evidence obtained with the
order only if the defective order "fail[ed] to satisfy any of those statutory
requirements that directly and substantially implement the congressional intention
[in enacting Title III] to limit the use of intercept procedures to those situations
clearly calling for the employment of this extraordinary investigative device."
United States v. Giordano, 416
U.S. 505, 527 (1974).
This standard requires
the courts to distinguish technical defects from substantive ones. If the defect
in the Title III order concerns only technical aspects of Title III, the fruits
of the interception will not be suppressed. In contrast, courts will suppress
the evidence if the defect reflects a failure to comply with a significant requirement
of Title III. Compare Giordano,
416 U.S. at 527-28 (holding that failure to receive authorization from Justice
Department official listed in § 2516(1) for order authorizing interception
of wire communications requires suppression in light of importance of such authorization
to statutory scheme) with United
States v. Moore, 41 F.3d 370, 376-77 (8th Cir. 1994) (applying good faith
exception of United States v. Leon,
468 U.S. 897 (1984), to challenge of Title III order and reversing district
court's suppression order on ground that judge's failure to sign the Title III
order in the correct place was merely a technical defect). Defects that directly
implicate constitutional concerns such as probable cause and particularity,
see Berger
v. New York, 388 U.S. 41, 58-60 (1967), will generally be considered
substantive defects that require suppression. See
United States v. Ford, 553 F.2d
146, 173 (D.C. Cir. 1977).
iv) The "Clean Hands"
Exception in the Sixth Circuit
18 U.S.C. § 2518(10)(a)(i)
states that an aggrieved person may move to suppress the contents of wire communications
when "the communication was unlawfully intercepted." The language of this statute
is susceptible to the interpretation that the government cannot use the fruits
of an illegally intercepted wire communication as evidence in court, even if
the government itself did not intercept the communication. Under this reading,
if a private citizen wiretaps another private citizen and then hands over the
results to the government, the government could not use the evidence in court.
See United
States v. Vest, 813 F.2d 477, 481 (1st Cir. 1987).
The Sixth Circuit,
however, has fashioned a "clean hands" exception that permits the government
to use any illegally intercepted communication so long as the government "played
no part in the unlawful interception." United
States v. Murdock, 63 F.3d 1391, 1404 (6th Cir. 1995). In Murdock,
the defendant's wife had surreptitiously recorded her estranged husband's phone
conversations at their family-run funeral home. When she later listened to the
recordings, she heard evidence that her husband had accepted a $90,000 bribe
to award a government contract to a local dairy while serving as president of
the Detroit School Board. Mrs. Murdock sent an anonymous copy of the recording
to a competing bidder for the contract, who offered the copy to law enforcement.
The government then brought tax evasion charges against Mr. Murdock on the theory
that Mr. Murdock had not reported the $90,000 bribe as taxable income.
Following a trial
in which the recording was admitted in evidence against him, the jury convicted
Mr. Murdock, and he appealed. The Sixth Circuit affirmed, ruling that although
Mrs. Murdock had violated Title III by recording her husband's phone calls,
this violation did not bar the admission of the recordings in a subsequent criminal
trial. The court reasoned that Mrs. Murdock's illegal interception could be
analogized to a Fourth Amendment private search, and concluded that Title III
did not preclude the government "from using evidence that literally falls into
its hands" because it would have no deterrent effect on the government's conduct.
Id. at 1403.
Since the Sixth Circuit
decided Murdock, three circuits
have rejected the "clean hands" exception, and instead have embraced the First
Circuit's Vest rule that the
government cannot use the fruits of unlawful interception even if the government
was not involved in the initial interception. See
Berry v. Funk, 146 F.3d 1003,
1013 (D.C. Cir. 1998) (dicta); Chandler
v. United States Army, 125 F.3d 1296, 1302 (9th Cir. 1997); In
re Grand Jury, 111 F.3d 1066, 1077-78 (3d Cir. 1997). The remaining circuits
have not addressed whether they will recognize a "clean hands" exception to
Title III.
b) Constitutional
Suppression Remedies
Defendants may move
to suppress evidence from electronic surveillance of communications networks
on either statutory or Fourth Amendment constitutional grounds. Although Fourth
Amendment violations generally lead to suppression of evidence, see
Mapp v. Ohio, 367 U.S. 643,
655 (1961), defendants move to suppress the fruits of electronic surveillance
on constitutional grounds only rarely. This is true for two related reasons.
First, Congress's statutory suppression remedies tend to be as broad or broader
in scope than their constitutional counterparts. See,
e.g., Chandler, 125 F.3d
at 1298; Ford, 553 F.2d at 173.
Cf. United
States v. Torres, 751 F.2d 875, 884 (7th Cir. 1984) (noting that Title
III is a "carefully thought out, and constitutionally valid . . . effort to
implement the requirements of the Fourth Amendment."). Second, electronic surveillance
statutes often regulate government access to evidence that is not protected
by the Fourth Amendment. See
United States v. Hall, 488 F.2d
193, 198 (9th Cir. 1973) ("Every electronic surveillance is not constitutionally
proscribed and whether the interception is to be suppressed must turn upon the
facts of each case."). For example, the Supreme Court has held that the use
and installation of pen registers does not constitute a Fourth Amendment "search."
See Smith
v. Maryland, 442 U.S. 735, 742 (1979). As a result, use of a pen/trap
device in violation of the pen/trap statute ordinarily does not lead to suppression
of evidence on Fourth Amendment grounds. See
United States v. Thompson, 936
F.2d 1249, 1251 (11th Cir. 1991).
It is likely that
a hacker would not enjoy a constitutional entitlement under the Fourth Amendment
to suppression of unlawful monitoring of his unauthorized activity. As the Fourth
Circuit noted in Seidlitz, a
computer hacker who breaks into a victim computer "intrude[s] or trespasse[s]
upon the physical property of [the victim] as effectively as if he had broken
into the . . . facility and instructed the computers from one of the terminals
directly wired to the machines." Seidlitz,
589 F.2d at 160. See also
Compuserve, Inc. v. Cyber Promotions,
Inc. 962 F. Supp. 1015, 1021 (S.D. Ohio 1997) (noting cases analogizing
computer hacking to trespassing). A trespasser does not have a reasonable expectation
of privacy where his presence is unlawful. See
Rakas v. Illinois, 439 U.S.
128, 143 n.12 (1978) (noting that "[a] burglar plying his trade in a summer
cabin during the off season may have a thoroughly justified subjective expectation
of privacy, but it is not one which the law recognizes as 'legitimate'"); Amezquita
v. Colon, 518 F.2d 8, 11 (1st Cir. 1975) (holding that squatters had
no reasonable expectation of privacy on government land where the squatters
had no colorable claim to occupy the land). Accordingly, a computer hacker would
have no reasonable expectation of privacy in his unauthorized activities that
were monitored from within a victim computer. "[H]aving been 'caught with his
hand in the cookie jar'," the hacker has no constitutional right to the suppression
of evidence of his unauthorized activities. Seidlitz,
589 F.2d at 160.
2. Defenses to
Civil and Criminal Actions
Agents
and prosecutors are generally protected from liability under Title III for reasonable
decisions made in good faith in the course of their official duties.
Civil and criminal
actions may result when law enforcement officers violate the electronic surveillance
statutes. In general, the law permits such actions when law enforcement officers
abuse their authority, but protects officers from suit for reasonable good-faith
mistakes made in the course of their official duties. The basic approach was
articulated over a half century ago by Judge Learned Hand:
There must indeed
be means of punishing public officers who have been truant to their duties;
but that is quite another matter from exposing such as have been honestly mistaken
to suit by anyone who has suffered from their errors. As is so often the case,
the answer must be found in a balance between the evils inevitable in either
alternative.
Gregoire
v. Biddle, 177 F.2d 579, 580 (2d Cir. 1949). When agents and prosecutors
are subject to civil or criminal suits for electronic surveillance, the balance
of evils has been struck by both a statutory good-faith defense and a widely
(but not uniformly) recognized judge-made qualified-immunity defense.
a) Good-Faith
Defense
Both Title III and
the Pen/Trap statute offer a statutory good-faith defense. According to these
statutes,
a good faith reliance
on . . . a court warrant or order, a grand jury subpoena, a legislative authorization,
or a statutory authorization . . . is a complete defense against any civil or
criminal action brought under this chapter or any other law.
18 U.S.C. § 2520(d)
(good-faith defense for Title III violations). See
also 18 U.S.C. § 3124(e)
(good-faith defense for pen/trap violations).
The relatively few
cases interpreting the good-faith defense are notably erratic. In general, however,
the courts have permitted law enforcement officers to rely on the good-faith
defense when they make honest mistakes in the course of their official duties.
See, e.g., Kilgore
v. Mitchell, 623 F.2d 631, 633 (9th Cir. 1980) ("Officials charged with
violation of Title III may invoke the defense of good faith under § 2520
if they can demonstrate: (1) that they had a subjective good faith belief that
they were acting in compliance with the statute; and (2) that this belief was
itself reasonable."); Hallinan v. Mitchell,
418 F. Supp. 1056, 1057 (N.D. Cal. 1976) (good-faith exception protects Attorney
General from civil suit after Supreme Court rejects Attorney General's interpretation
of Title III). In contrast, the courts have not permitted private parties to
rely on good-faith "mistake of law" defenses in civil wiretapping cases. See,
e. g., Williams v. Poulos,
11 F.3d 271, 285 (1st Cir. 1993); Heggy
v. Heggy, 944 F.2d 1537, 1541-42 (10th Cir. 1991).
b) Qualified Immunity
The courts have generally
recognized a qualified immunity defense to Title III civil suits in addition
to the statutory good-faith defense. See
Tapley v. Collins, 211 F.3d
1210, 1216 (11th Cir. 2000) (holding that public officials sued under Title
III may invoke qualified immunity in addition to the good faith defense); Blake
v. Wright, 179 F.3d 1003, 1013 (6th Cir. 1999) (holding that qualified
immunity protects police chief from suit by employees who were monitored where
"the dearth of law surrounding the . . . statute fails to clearly establish
whether [the defendant's] activities violated the law."); Davis
v. Zirkelbach, 149 F.3d 614, 618, 620 (7th Cir. 1998) (qualified immunity
defense applies to police officers and prosecutors in civil wiretapping case);
Zweibon v. Mitchell, 720 F.2d
162 (D.C. Cir. 1983). But see
Berry v. Funk, 146 F.3d 1003,
1013-14 (D.C. Cir. 1998) (distinguishing Zweibon,
and concluding that qualified immunity does not apply to Title III violations
because the statutory good-faith defense exists).
Under the doctrine
of qualified immunity,
Harlow
v. Fitzgerald, 457 U.S. 800, 818 (1982). In general, qualified immunity
protects government officials from suit when "[t]he contours of the right" violated
were not so clear that a reasonable official would understand that his conduct
violated the law. Anderson v. Creighton,
483 U.S. 635, 640 (1987); Burns v.
Reed, 500 U.S. 478, 496 (1991) (prosecutors receive qualified immunity
for legal advice to police).
Of course, whether
a statutory right under Title III is "clearly established" for purposes of qualified
immunity is in the eye of the beholder. The sensitive privacy interests implicated
by Title III may lead some courts to rule that a Title III privacy right is
"clearly established" even if no courts have recognized the right in analogous
circumstances. See, e.g., McClelland
v. McGrath, 31 F. Supp. 2d 616, 619-20 (N.D. Ill. 1998) (holding that
police violated the "clearly established" rights of a kidnaper who used a cloned
cellular phone when the police asked the cellular provider to intercept the
kidnaper's unauthorized communications to help locate the kidnaper, and adding
that the kidnaper's right to be free from monitoring was "crystal clear" despite
§ 2511(2)(a)(i)). A. Introduction
Although the primary
concern of this manual is obtaining computer records in criminal investigations,
the ultimate goal is to obtain evidence admissible in court. A complete guide
to offering computer records in evidence is beyond the scope of this manual.
However, this chapter explains some of the more important issues that can arise
when the government seeks the admission of computer records under the Federal
Rules of Evidence.
Most federal courts
that have evaluated the admissibility of computer records have focused on computer
records as potential hearsay. The courts generally have admitted computer records
upon a showing that the records fall within the business records exception,
Fed. R. Evid. 803(6):
Records of
regularly conducted activity. A memorandum, report, record, or data
compilation, in any form, of acts, events, conditions, opinions, or diagnoses,
made at or near the time by, or from information transmitted by, a person with
knowledge, if kept in the course of a regularly conducted business activity,
and if it was the regular practice of that business activity to make the memorandum,
report, record, or data compilation, all as shown by the testimony of the custodian
or other qualified witness, or by certification that complies with Rule 902(11),
Rule 902(12), or a statute permitting certification, unless the source of information
or the method or circumstances of preparation indicate lack of trustworthiness.
The term "business" as used in this paragraph includes business, institution,
association, profession, occupation, and calling of every kind, whether or not
conducted for profit.
See,
e.g., United States v. Salgado,
250 F.3d 438, 452 (6th Cir. 2001); United
States v. Cestnik, 36 F.3d 904, 909-10 (10th Cir. 1994); United
States v. Goodchild, 25 F.3d 55, 61-62 (1st Cir. 1994); United
States v. Moore, 923 F.2d 910, 914 (1st Cir. 1991); United
States v. Briscoe, 896 F.2d 1476, 1494 (7th Cir. 1990); United
States v. Catabran, 836 F.2d 453, 457 (9th Cir. 1988). Applying this
test, the courts have indicated that computer records generally can be admitted
as business records if they were kept pursuant to a routine procedure for motives
that tend to assure their accuracy.
However, the federal
courts are likely to move away from this "one size fits all" approach as they
become more comfortable and familiar with computer records. Like paper records,
computer records are not monolithic: the evidentiary issues raised by their
admission should depend on what kind of computer records a proponent seeks to
have admitted. For example, computer records that contain text often can be
divided into two categories: computer-generated records, and records that are
merely computer-stored. See
People v. Holowko, 486 N.E.2d
877, 878-79 (Ill. 1985). The difference hinges upon whether a person or a machine
created the records' contents. Computer-stored records refer to documents that
contain the writings of some person or persons and happen to be in electronic
form. E-mail messages, word processing files, and Internet chat room messages
provide common examples. As with any other testimony or documentary evidence
containing human statements, computer-stored records must comply with the hearsay
rule. If the records are admitted to prove the truth of the matter they assert,
the offeror of the records must show circumstances indicating that the human
statements contained in the record are reliable and trustworthy, see
Advisory Committee Notes to Proposed Rule 801 (1972), and the records must be
authentic.
In contrast, computer-generated
records contain the output of computer programs, untouched by human hands. Log-in
records from Internet service providers, telephone records, and ATM receipts
tend to be computer-generated records. Unlike computer-stored records, computer-generated
records do not contain human "statements," but only the output of a computer
program designed to process input following a defined algorithm. Of course,
a computer program can direct a computer to generate a record that mimics a
human statement: an e-mail program can announce "You've got mail!" when mail
arrives in an inbox, and an ATM receipt can state that $100 was deposited in
an account at 2:25 pm. However, the fact that a computer rather than a human
being has created the record alters the evidentiary issues that the computer-generated
records present. See, e.g.,
2 J. Strong, McCormick on Evidence
§ 294, at 286 (4th ed. 1992). The evidentiary issue is no longer whether
a human's out-of-court statement was truthful and accurate (a question of hearsay),
but instead whether the computer program that generated the record was functioning
properly (a question of authenticity). See
id.; Richard O. Lempert &
Steven A. Saltzburg, A Modern Approach
to Evidence 370 (2d ed. 1983); Holowko,
486 N.E.2d at 878-79.
Finally, a third category
of computer records exists: some computer records are both computer-generated
and computer-stored. For example, a suspect in a fraud case might use
a spreadsheet program to process financial figures relating to the fraudulent
scheme. A computer record containing the output of the program would derive
from both human statements (the suspect's input to the spreadsheet program)
and computer processing (the mathematical operations of the spreadsheet program).
Accordingly, the record combines the evidentiary concerns raised by computer-stored
and computer-generated records. The party seeking the admission of the record
should address both the hearsay issues implicated by the original input and
the authenticity issues raised by the computer processing.
As the federal courts
develop a more nuanced appreciation of the distinctions to be made between different
kinds of computer records, they are likely to see that the admission of computer
records generally raises two distinct issues. First, the government must establish
the authenticity of all computer records by providing "evidence sufficient to
support a finding that the matter in question is what its proponent claims."
Fed. R. Evid. 901(a). Second, if the computer records are computer-stored records
that contain human statements, the government must show that those human statements
are not inadmissible hearsay. B. Authentication
Before a party may
move for admission of a computer record or any other evidence, the proponent
must show that it is authentic. That is, the government must offer evidence
"sufficient to support a finding that the [computer record or other evidence]
in question is what its proponent claims." Fed. R. Evid. 901(a). See
United States v. Simpson, 152
F.3d 1241, 1250 (10th Cir. 1998).
The standard for authenticating
computer records is the same for authenticating other records. The degree of
authentication does not vary simply because a record happens to be (or has been
at one point) in electronic form. See
United States v. Vela, 673 F.2d
86, 90 (5th Cir. 1982); United States
v. DeGeorgia, 420 F.2d 889, 893 n.11 (9th Cir. 1969). But
see United
States v. Scholle, 553 F.2d 1109, 1125 (8th Cir. 1977) (stating in dicta
that "the complex nature of computer storage calls for a more comprehensive
foundation"). For example, witnesses who testify to the authenticity of computer
records need not have special qualifications. The witness does not need to have
programmed the computer himself, or even need to understand the maintenance
and technical operation of the computer. See
United States v. Salgado, 250
F.3d 438, 453 (6th Cir. 2001) (stating that "it is not necessary that the computer
programmer testify in order to authenticate computer-generated records"); United
States v. Moore, 923 F.2d 910, 915 (1st Cir. 1991) (citing cases). Instead,
the witness simply must have first-hand knowledge of the relevant facts to which
she testifies. See generally
United States v. Whitaker, 127
F.3d 595, 601 (7th Cir. 1997) (FBI agent who was present when the defendant's
computer was seized can authenticate seized files) ; United
States v. Miller, 771 F.2d 1219, 1237 (9th Cir. 1985) (telephone company
billing supervisor can authenticate phone company records); Moore,
923 F.2d at 915 (head of bank's consumer loan department can authenticate computerized
loan data).
Challenges to the
authenticity of computer records often take on one of three forms. First, parties
may challenge the authenticity of both computer-generated and computer-stored
records by questioning whether the records were altered, manipulated, or damaged
after they were created. Second, parties may question the authenticity of computer-generated
records by challenging the reliability of the computer program that generated
the records. Third, parties may challenge the authenticity of computer-stored
records by questioning the identity of their author.
1. Authenticity
and the Alteration of Computer Records
Computer records can
be altered easily, and opposing parties often allege that computer records lack
authenticity because they have been tampered with or changed after they were
created. For example, in United States
v. Whitaker, 127 F.3d 595, 602 (7th Cir. 1997), the government retrieved
computer files from the computer of a narcotics dealer named Frost. The files
from Frost's computer included detailed records of narcotics sales by three
aliases: "Me" (Frost himself, presumably), "Gator" (the nickname of Frost's
co-defendant Whitaker), and "Cruz" (the nickname of another dealer). After the
government permitted Frost to help retrieve the evidence from his computer and
declined to establish a formal chain of custody for the computer at trial, Whitaker
argued that the files implicating him through his alias were not properly authenticated.
Whitaker argued that "with a few rapid keystrokes, Frost could have easily added
Whitaker's alias, 'Gator' to the printouts in order to finger Whitaker and to
appear more helpful to the government." Id.
The courts have responded
with considerable skepticism to such unsupported claims that computer records
have been altered. Absent specific evidence that tampering occurred, the mere
possibility of tampering does not affect the authenticity of a computer record.
See Whitaker,
127 F.3d at 602 (declining to disturb trial judge's ruling that computer records
were admissible because allegation of tampering was "almost wild-eyed speculation
. . . [without] evidence to support such a scenario"); United
States v. Bonallo, 858 F.2d 1427, 1436 (9th Cir. 1988) ("The fact that
it is possible to alter data contained in a computer is plainly insufficient
to establish untrustworthiness."); United
States v. Glasser, 773 F.2d 1553, 1559 (11th Cir. 1985) ("The existence
of an air-tight security system [to prevent tampering] is not, however, a prerequisite
to the admissibility of computer printouts. If such a prerequisite did exist,
it would become virtually impossible to admit computer-generated records; the
party opposing admission would have to show only that a better security system
was feasible."). This is consistent with the rule used to establish the authenticity
of other evidence such as narcotics. See
United States v. Allen, 106
F.3d 695, 700 (6th Cir. 1997) ("Merely raising the possibility of tampering
is insufficient to render evidence inadmissible."). Absent specific evidence
of tampering, allegations that computer records have been altered go to their
weight, not their admissibility. See
Bonallo, 858 F.2d at 1436.
2. Establishing
the Reliability of Computer Programs
The authenticity of
computer-generated records sometimes implicates the reliability of the computer
programs that create the records. For example, a computer-generated record might
not be authentic if the program that creates the record contains serious programming
errors. If the program's output is inaccurate, the record may not be "what its
proponent claims" according to Fed. R. Evid. 901.
Defendants in criminal
trials often attempt to challenge the authenticity of computer -generated records
by challenging the reliability of the programs. See,
e.g., United States v. Salgado,
250 F.3d 438, 452-53 (6th Cir. 2001); United
States v. Liebert, 519 F.2d 542, 547-48 (3d Cir. 1975). The courts have
indicated that the government can overcome this challenge so long as
the government provides
sufficient facts to warrant a finding that the records are trustworthy and the
opposing party is afforded an opportunity to inquire into the accuracy thereof[.]
United
States v. Briscoe, 896 F.2d 1476, 1494-95 (7th Cir. 1990). See
also United States v. Oshatz,
912 F.2d 534, 543 (2d Cir. 1990) (stating that defense should have sufficient
time to check the validity of a program and cross-examine government experts
regarding error in calculations); Liebert,
519 F.2d at 547; DeGeorgia,
420 F.2d. at 893 n.11. Cf. Fed.
R. Evid. 901(b)(9) (indicating that matters created according to a process or
system can be authenticated with "[e]vidence describing a process or system
used . . . and showing that the process or system produces an accurate result").
In most cases, the reliability of a computer program can be established by showing
that users of the program actually do rely on it on a regular basis, such as
in the ordinary course of business. See,
e.g., Salgado, 250 F.3d
at 453 (holding that "evidence that the computer was sufficiently accurate that
the company relied upon it in conducting its business" was sufficient for establishing
trustworthiness); United States v.
Moore, 923 F.2d 910, 915 (1st Cir. 1991) ("[T]he ordinary business circumstances
described suggest trustworthiness, . . . at least where absolutely nothing in
the record in any way implies the lack thereof.") (computerized tax records
held by the I.R.S.); Briscoe,
896 F.2d at 1494 (computerized telephone records held by Illinois Bell). When
the computer program is not used on a regular basis and the government cannot
establish reliability based on reliance in the ordinary course of business,
the government may need to disclose "what operations the computer had been instructed
to perform [as well as] the precise instruction that had been given" if the
opposing party requests. United States
v. Dioguardi, 428 F.2d 1033, 1038 (C.A.N.Y. 1970). Notably, once a minimum
standard of trustworthiness has been established, questions as to the accuracy
of computer records "resulting from . . . the operation of the computer program"
affect only the weight of the evidence, not its admissibility. United
States v. Catabran, 836 F.2d 453, 458 (9th Cir. 1988).
Prosecutors may note
the conceptual overlap between establishing the authenticity of a computer-generated
record and establishing the trustworthiness of a computer record for the business
record exception to the hearsay rule. In fact, federal courts that evaluate
the authenticity of computer-generated records often assume that the records
contain hearsay, and then apply the business records exception. See,
e.g., Salgado, 250 F.3d
at 452-53 (applying business records exception to telephone records generated
"automatically" by a computer) United
States v. Linn, 880 F.2d 209, 216 (9th Cir. 1989) (same); United
States v. Vela, 673 F.2d 86, 89-90 (5th Cir. 1982) (same). As discussed
later in this chapter, this analysis is technically incorrect in many cases:
computer records generated entirely by computers cannot contain hearsay and
cannot qualify for the business records exception because they do not contain
human "statements." See Chapter
5.C, infra. As a practical matter,
however, prosecutors who lay a foundation to establish a computer-generated
record as a business record will also lay the foundation to establish the record's
authenticity. Evidence that a computer program is sufficiently trustworthy so
that its results qualify as business records according to Fed. R. Evid. 803(6)
also establishes the authenticity of the record. Cf.
United States v. Saputski, 496
F.2d 140, 142 (9th Cir. 1974).
3. Identifying
the Author of Computer-Stored Records
Although handwritten
records may be penned in a distinctive handwriting style, computer-stored records
consist of a long string of zeros and ones that do not necessarily identify
their author. This is a particular problem with Internet communications, which
offer their authors an unusual degree of anonymity. For example, Internet technologies
permit users to send effectively anonymous e-mails, and Internet Relay Chat
channels permit users to communicate without disclosing their real names. When
prosecutors seek the admission of such computer-stored records against a defendant,
the defendant may challenge the authenticity of the record by challenging the
identity of its author.
Circumstantial evidence
generally provides the key to establishing the authorship and authenticity of
a computer record. For example, in United
States v. Simpson, 152 F.3d 1241 (10th Cir. 1998), prosecutors sought
to show that the defendant had conversed with an undercover FBI agent in an
Internet chat room devoted to child pornography. The government offered a printout
of an Internet chat conversation between the agent and an individual identified
as "Stavron," and sought to show that "Stavron" was the defendant. The district
court admitted the printout in evidence at trial. On appeal following his conviction,
Simpson argued that "because the government could not identify that the statements
attributed to [him] were in his handwriting, his writing style, or his voice,"
the printout had not been authenticated and should have been excluded. Id.
at 1249.
The Tenth Circuit
rejected this argument, noting the considerable circumstantial evidence that
"Stavron" was the defendant. See
id. at 1250. For example, "Stavron"
had told the undercover agent that his real name was "B. Simpson," gave a home
address that matched Simpson's, and appeared to be accessing the Internet from
an account registered to Simpson. Further, the police found records in Simpson's
home that listed the name, address, and phone number that the undercover agent
had sent to "Stavron." Accordingly, the government had provided evidence sufficient
to support a finding that the defendant was "Stavron," and the printout was
properly authenticated. See
id. at 1250; see
also United
States v. Tank, 200 F.3d 627, 630-31 (9th Cir. 2000) (concluding that
district court properly admitted chat room log printouts in circumstances similar
to those in Simpson); United
States v. Siddiqui, 235 F.3d 1318, 1322-23 (11th Cir. 2000) (holding
that e-mail messages were properly authenticated where messages included defendant's
e-mail address, defendant's nickname, and where defendant followed up messages
with phone calls). But see
United States v. Jackson, 208
F.3d 633, 638 (7th Cir. 2000) (concluding that web postings purporting to be
statements made by white supremacist groups were properly excluded on authentication
grounds absent evidence that the postings were actually posted by the groups);
St. Clair v. Johnny's Oyster &
Shrimp, Inc., 76 F. Supp. 2d 773, 774-75 (S.D. Tex. 1999) (holding that
evidence from a webpage could not be authenticated, since information from the
Internet is "inherently untrustworthy"). C. Hearsay
Federal courts have
often assumed that all computer records contain hearsay. A more nuanced view
suggests that in fact only a portion of computer records contain hearsay. When
a computer record contains the assertions of a person, whether or not processed
by a computer, and is offered to prove the truth of the matter asserted, the
record can contain hearsay. In such cases, the government must fit the record
within a hearsay exception such as the business records exception, Fed. R. Evid.
803(6). When a computer record contains only computer-generated data untouched
by human hands, however, the record cannot contain hearsay. In such cases, the
government must establish the authenticity of the record, but does not need
to establish that a hearsay exception applies for the records to be admissible
in court.
1. Inapplicability
of the Hearsay Rules to Computer-Generated Records
The hearsay rules
exist to prevent unreliable out-of-court statements by human declarants from
improperly influencing the outcomes of trials. Because people can misinterpret
or misrepresent their experiences, the hearsay rules express a strong preference
for testing human assertions in court, where the declarant can be placed on
the stand and subjected to cross-examination. See
Ohio v. Roberts, 448 U.S. 56,
62-66 (1980). This rationale does not apply when an animal or a machine makes
an assertion: beeping machines and barking dogs cannot be called to the witness
stand for cross-examination at trial. The Federal Rules have adopted this logic.
By definition, an assertion cannot contain hearsay if it was not made by a human
person. See Fed. R. Evid. 801(a)
("A 'statement' is (1) an oral or written assertion or (2) nonverbal conduct
of a
person, if it is intended by the person as an assertion.") (emphasis
added) ; Fed. R. Evid. 801(b) ("A declarant is a
person who makes a statement.")
(emphasis added).
As several courts
and commentators have noted, this limitation on the hearsay rules necessarily
means that computer-generated records untouched by human hands cannot contain
hearsay. One state supreme court articulated the distinction in an early case
involving the use of automated telephone records:
The printout of the
results of the computer's internal operations is not hearsay evidence. It does
not represent the output of statements placed into the computer by out of court
declarants. Nor can we say that this printout itself is a "statement" constituting
hearsay evidence. The underlying rationale of the hearsay rule is that such
statements are made without an oath and their truth cannot be tested by cross-examination.
Of concern is the possibility that a witness may consciously or unconsciously
misrepresent what the declarant told him or that the declarant may consciously
or unconsciously misrepresent a fact or occurrence. With a machine, however,
there is no possibility of a conscious misrepresentation, and the possibility
of inaccurate or misleading data only materializes if the machine is not functioning
properly.
State
v. Armstead, 432 So.2d 837, 840 (La. 1983). See
also People
v. Holowko, 486 N.E.2d 877, 878-79 (Ill. 1985) (automated trap and trace
records); United States v. Duncan,
30 M.J. 1284, 1287-89 (N-M.C.M.R. 1990) (computerized records of ATM transactions);
2 J. Strong, McCormick on Evidence
§ 294, at 286 (4th ed.1992); Richard O. Lempert & Stephen A. Saltzburg,
A Modern Approach to Evidence
370 (2d ed. 1983). Cf. United
States v. Fernandez-Roque, 703 F.2d 808, 812 n.2 (5th Cir. 1983) (rejecting
hearsay objection to admission of automated telephone records because "the fact
that these calls occurred is not a hearsay statement"). Accordingly, a properly
authenticated computer-generated record is admissible. See
Lempert & Saltzburg, at 370.
The insight that computer-generated
records cannot contain hearsay is important because courts that assume the existence
of hearsay may wrongfully exclude computer-generated evidence if a hearsay exception
does not apply. For example, in United
States v. Blackburn, 992 F.2d 666 (7th Cir. 1993), a bank robber left
his eyeglasses behind in an abandoned stolen car. The prosecution's evidence
against the defendant included a computer printout from a machine that tests
the curvature of eyeglass lenses; the printout revealed that the prescription
of the eyeglasses found in the stolen car exactly matched the defendant's. At
trial, the district court assumed that the computer printout was hearsay, but
concluded that the printout was an admissible business record according to Fed.
R. Evid. 803(6). On appeal following conviction, the Seventh Circuit also assumed
that the printout contained hearsay, but agreed with the defendant that the
printout could not be admitted as a business record:
the [computer-generated]
report in this case was not kept in the course of a regularly conducted business
activity, but rather was specially prepared at the behest of the FBI and with
the knowledge that any information it supplied would be used in an ongoing criminal
investigation. . . . In finding this report inadmissible under Rule 803(6),
we adhere to the well-established rule that documents made in anticipation of
litigation are inadmissible under the business records exception.
Id.
at 670. See also
Fed. R. Evid. 803(6) (stating that business records must be "made . . .
by or transmitted by, a person").
Fortunately, the Blackburn
court ultimately affirmed the conviction, concluding that the computer printout
was sufficiently reliable that it could have been admitted under the residual
hearsay exception, Rule 803(24). See
id. at 672. However, instead
of considering a reversal of the conviction because Rule 803(6) did not apply,
the court should have asked whether the computer printout from the lens-testing
machine contained hearsay at all. This question would have revealed that the
computer-generated printout could not be excluded properly on hearsay grounds
because it contained no human "statements."
2. Applicability
of the Hearsay Rules to Computer-Stored Records
Computer-stored records
that contain human statements must satisfy an exception to the hearsay rule
if they are offered for the truth of the manner asserted. Before a court will
admit the records, the court must establish that the statements contained in
the record were made in circumstances that tend to ensure their trustworthiness.
See, e.g., Jackson,
208 F.3d at 637 (concluding that postings from the websites of white supremacist
groups contained hearsay, and rejecting the argument that the postings were
the business records of the ISPs that hosted the sites).
As discussed in the
Introduction to this chapter, courts generally permit computer-stored records
to be admitted as business records according to Fed. R. Evid. 803(6). Different
circuits have articulated slightly different standards for the admissibility
of computer-stored business records. Some courts simply apply the direct language
of Fed. R. Evid. 803(6), which appears in the beginning of this chapter. See
e.g., United
States v. Moore, 923 F.2d 910, 914 (1st Cir. 1991); United
States v. Catabran, 836 F.2d 453, 457 (9th Cir. 1988). Other circuits
have articulated doctrinal tests specifically for computer records that largely
(but not exactly) track the requirements of Rule 803(6). See,
e.g., United States v. Cestnik,
36 F.3d 904, 909-10 (10th Cir. 1994) ("Computer business records are admissible
if (1) they are kept pursuant to a routine procedure designed to assure their
accuracy, (2) they are created for motives that tend to assure accuracy (e.g.,
not including those prepared for litigation), and (3) they are not themselves
mere accumulations of hearsay.") (quoting Capital
Marine Supply v. M/V Roland Thomas II, 719 F.2d 104, 106 (5th Cir. 1983));
United States v. Briscoe, 896
F.2d 1476, 1494 (7th Cir. 1990) (computer-stored records are admissible business
records if they "are kept in the course of regularly conducted business activity,
and [that it] was the regular practice of that business activity to make records,
as shown by the testimony of the custodian or other qualified witness.") (quoting
United States v. Chappell, 698
F.2d 308, 311 (7th Cir. 1983)). Notably, the printout itself may be produced
in anticipation of litigation without running afoul of the business records
exception. The requirement that the record be kept "in the course of a regularly
conducted business activity" refers to the underlying data, not the actual printout
of that data. See United
States v. Sanders, 749 F.2d 195, 198 (5th Cir. 1984).
From a practical perspective,
the procedure for admitting a computer-stored record pursuant to the business
records exception is the same as admitting any other business record. Consider
an e-mail harassment case. To help establish that the defendant was the sender
of the harassing messages, the prosecution may seek the introduction of records
from the sender's ISP showing that the defendant was the registered owner of
the account from which the e-mails were sent. Ordinarily, this will require
testimony from an employee of the ISP ("the custodian or other qualified witness")
that the ISP regularly maintains customer account records for billing and other
purposes, and that the records to be offered for admission are such records
that were made at or near the time of the events they describe in the regular
course of the ISP's business. Again, the key is establishing that the computer
system from which the record was obtained is maintained in the ordinary course
of business, and that it is a regular practice of the business to rely upon
those records for their accuracy.
The business record
exception is the most common hearsay exception applied to computer records.
Of course, other hearsay exceptions may be applicable in appropriate cases,
such as the public records exception of Fed. R. Evid. 803(8). See,
e.g., United States v. Smith,
973 F.2d 603, 605 (8th Cir. 1992) (police computer printouts); Hughes
v. United States, 953 F.2d 531, 540 (9th Cir. 1992) (computerized IRS
printouts). D. Other Issues
The authentication
requirement and the hearsay rule usually provide the most significant hurdles
that prosecutors will encounter when seeking the admission of computer records.
However, some agents and prosecutors have occasionally considered two additional
issues: the application of the best evidence rule to computer records, and whether
computer printouts are "summaries" that must comply with Fed. R. Evid. 1006.
1. The Best Evidence
Rule
The best evidence
rule states that to prove the content of a writing, recording, or photograph,
the "original" writing, recording, or photograph is ordinarily required. See
Fed. R. Evid. 1002. Agents and prosecutors occasionally express concern that
a mere printout of a computer-stored electronic file may not be an "original"
for the purpose of the best evidence rule. After all, the original file is merely
a collection of 0's and 1's; in contrast, the printout is the result of manipulating
the file through a complicated series of electronic and mechanical processes.
Fortunately, the Federal
Rules of Evidence have expressly addressed this concern. The Federal Rules state
that
[i]f data are stored
in a computer or similar device, any printout or other output readable by sight,
shown to reflect the data accurately, is an "original".
Fed. R. Evid. 1001(3).
Thus, an accurate printout of computer data always satisfies the best evidence
rule. See Doe
v. United States, 805 F. Supp. 1513, 1517 (D. Haw. 1992); see
also Laughner v. State,
769 N.E.2d 1147, 1159 (Ind. Ct. App. 2002) (holding that AOL Instant Message
logs that police had cut-and-pasted into a word-processing file satisfied best
evidence rule). According to the Advisory Committee Notes that accompanied this
rule when it was first proposed, this standard was adopted for reasons of practicality:
While strictly speaking
the original of a photograph might be thought to be only the negative, practicality
and common usage require that any print from the negative be regarded as an
original. Similarly, practicality and usage confer the status of original upon
any computer printout.
Advisory Committee
Notes, Proposed Federal Rule of Evidence 1001(3) (1972).
2. Computer Printouts
as "Summaries"
Federal Rule of Evidence
1006 permits parties to offer summaries of voluminous evidence in the form of
"a chart, summary, or calculation" subject to certain restrictions. Agents and
prosecutors occasionally ask whether a computer printout is necessarily a "summary"
of evidence that must comply with Fed. R. Evid. 1006. In general, the answer
is no. See Sanders,
749 F.2d at 199; Catabran, 836
F.2d at 456-57; United States v. Russo,
480 F.2d 1228, 1240-41 (6th Cir. 1973). Of course, if the computer printout
is merely a summary of other admissible evidence, Rule 1006 will apply just
as it does to other summaries of evidence. See
United States v. Allen, 234
F.3d 1278, 2000 WL 1160830, at *1 (9th Cir. Aug. 11, 2000) (unpublished).
1.
Technically, the Electronic Communications Privacy Act of 1986 amended Chapter
119 of Title 18 of the U.S. Code, codified at 18 U.S.C. §§ 2510-22, and
created Chapter 121 of Title 18, codified at 18 U.S.C. §§ 2701-12. As a
result, some courts and commentators use the term "ECPA" to refer collectively
to both §§ 2510-22 and §§ 2701-12. This manual adopts a simpler convention
for the sake of clarity: §§ 2510-22 will be referred to by its original
name, "Title III," (as Title III of the Omnibus Crime Control and Safe Streets
Act, passed in 1968), and §§ 2701-12 as "ECPA."
2.
After viewing evidence of a crime stored on a computer, agents may need
to seize the computer temporarily to ensure the integrity and availability of
the evidence before they can obtain a warrant to search the contents of the
computer. See, e.g., Hall,
142 F.3d at 994-95; United States v.
Grosenheider, 200 F.3d 321, 330 n.10 (5th Cir. 2000). The Fourth Amendment
permits agents to seize a computer temporarily so long as they have probable
cause to believe that it contains evidence of a crime, the agents seek a warrant
expeditiously, and the duration of the warrantless seizure is not "unreasonable"
given the totality of the circumstances. See
United States v. Place, 462
U.S. 696, 701 (1983); United States
v. Martin, 157 F.3d 46, 54 (2d Cir. 1998); United
States v. Licata, 761 F.2d 537, 540-42 (9th Cir. 1985).
3.
Consent by employers and co-employees is discussed separately in the workplace
search section of this chapter. See
Chapter 1.D.
4.
Of course, agents executing a search pursuant to a valid warrant or an exception
to the warrant requirement need not rely on the plain view doctrine to justify
the search. The warrant or exception itself justifies the search. See
generally Chapter 2.D, "Searching
Computers Already in Law Enforcement Custody."
5.
The membership currently includes Australia, Austria, Belarus, Brazil,
Canada, Denmark, Finland, France, Germany, India, Indonesia, Israel, Italy,
Japan, the Republic of Korea, Luxembourg, Malaysia, Morocco, The Netherlands,
Norway, Philippines, Romania, Russia, Spain, Sweden, Thailand, the United Kingdom,
and the United States.
6.
Creating a duplicate copy of an entire drive (often known simply as "imaging")
is different from making an electronic copy of individual files. When a computer
file is saved to a storage disk, it is saved in randomly scattered sectors on
the disk rather than in contiguous, consolidated blocks; when the file is retrieved,
the scattered pieces are reassembled from the disk in the computer's memory
and presented as a single file. Imaging the disk copies the entire disk exactly
as it is, including all the scattered pieces of various files (as well as other
data such as deleted file fragments). The image allows a computer technician
to recreate (or "mount") the entire storage disk and have an exact copy just
like the original. In contrast, a file-by-file copy (also known as a "logical
file copy") merely creates a copy of an individual file by reassembling and
then copying the scattered sectors of data associated with the particular file.
7.
Such distinctions may also be important from the perspective of asset forfeiture.
Property used to commit or promote an offense involving obscene material may
be forfeited criminally pursuant to 18 U.S.C. § 1467. Property used to
commit or promote an offense involving child pornography may be forfeited criminally
pursuant to 18 U.S.C. § 2253 and civilly pursuant to 18 U.S.C. § 2254.
Agents and prosecutors can contact the Asset Forfeiture and Money Laundering
Section at (202) 514-1263 for additional assistance.
8.
The Steve Jackson Games
litigation raised many important issues involving the PPA and ECPA before the
district court. On appeal, however, the only issue raised was "a very narrow
one: whether the seizure of a computer on which is stored private E-mail that
has been sent to an electronic bulletin board, but not yet read (retrieved)
by the recipients, constitutes an 'intercept' proscribed by 18 U.S.C. § 2511(1)(a)."
Steve Jackson Games, 36 F.3d
at 460. This issue is discussed in the electronic surveillance chapter. See
Chapter 4, infra.
9.
This raises a fundamental distinction overlooked in Steve
Jackson Games: the difference between a Rule 41 search warrant that authorizes
law enforcement to execute a search, and an ECPA search warrant that compels
a provider of electronic communication service or remote computing service to
disclose the contents of a subscriber's network account to law enforcement.
Although both are called "search warrants," they are very different in practice.
ECPA search warrants required by 18 U.S.C. § 2703(a) are court orders that
are served much like subpoenas: ordinarily, the investigators transmit the warrant
to the provider, and the provider then divulges to the investigators within
a certain period of time the information described in the warrant. In contrast,
normal Rule 41 search warrants typically authorize agents to enter onto private
property, search for and then seize the evidence described in the warrant. Compare
Chapter 2 (discussing search and seizure with a Rule 41 warrant) with
Chapter 3 (discussing electronic evidence that can be obtained under ECPA).
This distinction is especially important when a court concludes that ECPA was
violated and then must determine the remedy. Because the warrant requirement
of 18 U.S.C. § 2703(a) is only a statutory standard, a non-constitutional
violation of § 2703(a) should not result in suppression of the evidence
obtained. See Chapter 3.H (discussing
remedies for violations of ECPA).
10.
In this respect, Rule 41 search warrants differ from federal ECPA search
warrants under 18 U.S.C. § 2703(a), which may be served outside the issuing
district. See Chapter 3.D.5,
infra.
11.
Focusing on the computers rather than the information may also lead to a
warrant that is too narrow. If relevant information is in paper or photographic
form, agents may lack authority to seize it.
12.
An unusual number of computer search and seizure decisions involve child
pornography. This is true for two reasons. First, computer networks provide
an easy means of possessing and transmitting contraband images of child pornography.
Second, the fact that possession of child pornography transmitted over state
lines is a felony often leaves defendants with little recourse but to challenge
the procedure by which law enforcement obtained the contraband images. Investigators
and prosecutors should contact the Child Exploitation and Obscenity Section
at (202) 514-5780 or an Assistant U.S. Attorney designated as a Child Exploitation
and Obscenity Coordinator for further assistance with child exploitation investigations
and cases.
13.
Of course, the reality that agents legally may retain hardware for an extended
period of time does not preclude agents from agreeing to requests from defense
counsel for return of seized hardware and files. In several cases, agents have
offered suspects electronic copies of innocent files with financial or personal
value that were stored on seized computers. If suspects can show a legitimate
need for access to seized files or hardware and the agents can comply with suspects'
requests without either jeopardizing the investigation or imposing prohibitive
costs on the government, agents should consider offering their assistance as
a courtesy.
14.
This is true for two reasons. First, account holders may not retain a "reasonable
expectation of privacy" in information sent to network providers because sending
the information to the providers may constitute a disclosure under the principles
of United States v. Miller,
425 U.S. 435, 440-43 (1976) (holding that bank records are disclosed information
and thus not subject to Fourth Amendment protection), and Smith
v. Maryland, 442 U.S. 735, 741-46 (1979) (finding no reasonable expectation
of privacy in dialed telephone numbers). See
Chapter 1.B.3 ("Reasonable Expectation of Privacy and Third Party Possession").
Second, the Fourth Amendment generally permits the government to issue a subpoena
compelling the disclosure of information and property even if it is protected
by a Fourth Amendment "reasonable expectation of privacy." When the government
does not actually conduct the search for evidence, but instead merely obtains
a court order that requires the recipient of the order to turn over evidence
to the government within a specified period of time, the order complies with
the Fourth Amendment so long as it is not overbroad, seeks relevant information,
and is served in a legal manner. See
United States v. Dionisio, 410
U.S. 1, 7-12 (1973); In re Horowitz,
482 F.2d 72, 75-80 (2d Cir. 1973) (Friendly, J.). This analysis also applies
when a suspect has stored materials remotely with a third party, and the government
serves the third party with the subpoena. The cases indicate that so long as
the third party is in possession of the target's materials, the government may
subpoena the materials from the third party without first obtaining a warrant
based on probable cause, even if it would need a warrant to execute a search
directly. See United
States v. Barr, 605 F. Supp. 114, 119 (S.D.N.Y. 1985) (subpoena served
on private third-party mail service for the defendant's undelivered mail in
the third party's possession); United
States v. Schwimmer, 232 F.2d 855, 861-63 (8th Cir. 1956) (subpoena served
on third-party storage facility for the defendant's private papers in the third
party's possession); Newfield v. Ryan,
91 F.2d 700, 702-05 (5th Cir. 1937) (subpoena served on telegraph company for
copies of defendants' telegrams in the telegraph company's possession).
15.
The inclusion of wire communications (e.g. voice mail) in this category,
made effective by the PATRIOT Act, will sunset on December 31, 2005, unless
extended by Congress. See PATRIOT
Act §§ 209, 224, 115 Stat. 272, 283, 295 (2001).
16.
The government may extend the delay of notice for additional 90-day periods
on application to a court. See
18 U.S.C. § 2705(a)(4).
17.
Unless extended by Congress, the PATRIOT Act's definition of "court of competent
jurisdiction" in 18 U.S.C. §§ 2711(3) will sunset on December 31, 2005, and
§ 2703(d)'s reference to "a court of competent jurisdiction" will again reference
§ 3127(2)(A) directly. See PATRIOT
Act §§ 220, 224, 115 Stat. 272, 291-92, 295 (2001).
18.
The inclusion of wire communications (e.g. voice mail) in this category
will sunset on December 31, 2005, unless extended by Congress. See PATRIOT Act
§§ 209, 224, 115 Stat. 272, 283, 295 (2001).
19.
The inclusion of wire communications (e.g. voice mail) in this category
will sunset on December 31, 2005, unless extended by Congress. See PATRIOT Act
§§ 209, 224, 115 Stat. 272, 283, 295 (2001).
20.
The amendment to ECPA providing for out of district search warrants will
sunset on December 31, 2005, unless extended by Congress. See
PATRIOT Act §§ 220, 224, 115 Stat. 272, 291-92, 295 (2001).
21.
Even a public provider may disclose customers' non-content
records freely to any person other than a government entity. See
18 U.S.C. §§ 2702(a)(3), (c)(5).
22.
The emergency disclosure provisions of § 2702(b)(6)(C) and § 2702(c)
were added by the PATRIOT Act. The PATRIOT Act also simplified the treatment
of voluntary disclosures of non-content records by providers (by moving all
such provisions from § 2703(c) to § 2702) and clarifying that service providers
have the authority to disclose non-content records to protect their rights and
property. All these changes will sunset on December 31, 2005, unless extended
by Congress. See PATRIOT Act
§§ 212, 224, 115 Stat. 272, 284-85, 295 (2001).
23.
In this regard, as in several others, ECPA mirrors the Right to Financial
Privacy Act, 12 U.S.C. § 3401 et
seq. ("RFPA"). See
Organizacion JD Ltda. v. United States
Department of Justice, 124 F.3d 354, 360 (2d Cir. 1997) (noting that
"Congress modeled . . . ECPA after the RFPA," and looking to the RFPA for guidance
on how to interpret "customer and subscriber" as used in ECPA); Tucker
v. Waddell, 83 F.3d 688, 692 (4th Cir.1996) (examining the RFPA in order
to construe ECPA). The courts have uniformly refused to read a statutory suppression
remedy into the analogous provision of the RFPA. See
United States v. Kington, 801
F.2d 733, 737 (5th Cir. 1986); United
States v. Frazin, 780 F.2d 1461, 1466 (9th Cir.1986) ("Had Congress intended
to authorize a suppression remedy [for violations of the RFPA], it surely would
have included it among the remedies it expressly authorized.")
24.
For example, the opinion contains several statements about ECPA's requirements
that are inconsistent with each other and individually incorrect. At one point,
the opinion states that ECPA required the Navy either to obtain a search warrant
ordering AOL to disclose McVeigh's identity, or else give prior notice to McVeigh
and then use a subpoena or a § 2703(d) court order. See
983 F. Supp. at 219. On the next page, the opinion states that the Navy needed
to obtain a "warrant or the like" to obtain McVeigh's name from AOL. See
id. at 220. However, pursuant
to the former 18 U.S.C. § 2703(c)(1)(C), the Navy could have obtained McVeigh's
name properly with a subpoena, and did not need to give notice of the subpoena
to McVeigh.
[t]he salient purpose
of requiring the application to the court for an order is to affix personal
responsibility for the veracity of the application (i.e., to ensure that the
attesting United States Attorney is readily identifiable and legally qualified)
and to confirm that the United States Attorney has sworn that the required investigation
is in progress. . . . As a form of deterrence and as a guarantee of compliance,
the statute provides . . . for a term of imprisonment and a fine as punishment
for a violation [of the statute].
any aural transfer
made in whole or in part though the use of facilities for the transmission of
communications by the aid of wire, cable, or other like connection between the
point of origin and the point of reception (including the use of such connection
in a switching station) furnished or operated by any person engaged in providing
or operating such facilities for the transmission of interstate or foreign communications
or communications affecting interstate or foreign commerce.
government officials
performing discretionary functions generally are shielded from liability for
civil damages insofar as their conduct does not violate clearly established
statutory or constitutional rights of which a reasonable person would have known.
25. The Ninth Circuit temporarily expanded the scope of "interceptions" to stored electronic communications in a pro se civil case, Konop v. Hawaiian Airlines, 236 F.3d. 1305 (9th Cir. 2001). In Konop, the court dismissed the reasoning of Smith and the pre-PATRIOT Act statutory distinction between wire and electronic communications and concluded that it would be "senseless" to treat wire communications and electronic communications differently. Id. at 1046. Accordingly, the court held that obtaining a copy of an electronic communication in "electronic storage" can constitute an interception of the communication. See id. The court, however, subsequently withdrew that opinion. See Konop v. Hawaiian Airlines, 262 F.3d. 972 (9th Cir. 2001).
26. Prohibited "use" and "disclosure" are beyond the scope of this manual.
27. State surveillance laws may differ. Some states forbid the interception of communications unless all parties consent.
28. The final clause of § 2511(2)(a)(i), which prohibits public telephone companies from conducting "service observing or random monitoring" unrelated to quality control, limits random monitoring by phone companies to interception designed to ensure that the company's equipment is in good working order. See1 James G. Carr, The Law of Electronic Surveillance, § 3.3(f), at 3-75. This clause has no application to non-voice computer network transmissions.
29.
Unlike other Title III exceptions, the extension telephone exception is
technically a limit on the statutory definition of "intercept." See
18 U.S.C. § 2510(4)-(5). However, the provision acts just like other exceptions
to Title III monitoring that authorize interception in certain circumstances.