United States Court of Appeals For The Ninth Circuit
United States Court of Appeals For The Ninth Circuit
United States Court of Appeals For The Ninth Circuit
FOR PUBLICATION
UNITED STATES COURT OF APPEALS
FOR THE NINTH CIRCUIT
11859
11860 UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC.
COUNSEL
Argued by Elliot R. Peters, Keker & Van Nest LLP, San Fran-
cisco, California, who was joined on the briefs by Ethan
Atticus Balogh, Coleman & Balogh LLP, San Francisco, Cali-
fornia; G. W. Leigh, Gonzalez & Leigh, LLP, San Francisco,
California; Gary C. Moss, Las Vegas, Nevada, and Ronald G.
Russo, Herzfeld & Rubin, P.C., New York, New York, for
Major League Baseball Players Association.
OPINION
Facts
The day that the motion to quash was filed, the government
obtained a warrant in the Central District of California autho-
rizing the search of CDT’s facilities in Long Beach. Unlike
the subpoena, the warrant was limited to the records of the ten
players as to whom the government had probable cause.
When the warrant was executed, however, the government
seized and promptly reviewed the drug testing records for
hundreds of players in Major League Baseball (and a great
many other people).
Discussion
[1] The three judge panel unanimously held that the gov-
ernment’s appeal from the Cooper Order was untimely. Com-
prehensive Drug Testing, 513 F.3d at 1096-1101, 1128. We
agree with the panel and adopt its analysis of the issue, seeing
no reason to burden the pages of the Federal Reporter by re-
doing the work the panel already performed so well. On that
basis, we dismiss the government’s appeal in No. 05-55354.
[2] This does not end our discussion of the Cooper Order,
however, because it has substantial consequences for the
remaining two cases before us. As Judge Thomas pointed out
in his panel dissent, once the Cooper Order became final, the
government became bound by the factual determinations and
issues resolved against it by that order. Comprehensive Drug
UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC. 11871
Testing, 513 F.3d at 1130. Specifically, Judge Cooper found
that the government failed to comply with the conditions of
the warrant designed to segregate information as to which the
government had probable cause from that which was swept up
only because the government didn’t have the time or facilities
to segregate it at the time and place of the seizure. Cooper
Order at 4. Relatedly, Judge Cooper determined that the gov-
ernment failed to comply with the procedures outlined in our
venerable precedent, United States v. Tamura, 694 F.2d 591
(9th Cir. 1982), which are designed to serve much the same
purpose as the procedures outlined in the warrant. Finally,
Judge Cooper concluded that the government’s actions dis-
played a callous disregard for the rights of third parties, viz.,
those players as to whom the government did not already have
probable cause and who could suffer dire personal and profes-
sional consequences from a disclosure.
[6] Putting aside the fact that Judges Cooper and Illston,
whose courts issued the warrants and whose orders are now
final, rejected this argument, it is at any rate too clever by
half. The point of the Tamura procedures is to maintain the
privacy of materials that are intermingled with seizable mate-
rials, and to avoid turning a limited search for particular infor-
mation into a general search of office file systems and
computer databases. If the government can’t be sure whether
data may be concealed, compressed, erased or booby-trapped
without carefully examining the contents of every file—and
we have no cavil with this general proposition—then every-
thing the government chooses to seize will, under this theory,
automatically come into plain view. Since the government
agents ultimately decide how much to actually take, this will
create a powerful incentive for them to seize more rather than
UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC. 11877
less: Why stop at the list of all baseball players when you can
seize the entire Tracey Directory? Why just that directory and
not the entire hard drive? Why just this computer and not the
one in the next room and the next room after that? Can’t find
the computer? Seize the Zip disks under the bed in the room
where the computer once might have been. See United States
v. Hill, 322 F. Supp. 2d 1081 (C.D. Cal. 2004). Let’s take
everything back to the lab, have a good look around and see
what we might stumble upon.
Concluding Thoughts
***
I.
The single case that the majority relies on for its application
of the issue preclusion doctrine, Steen v. John Hancock
Mutual Life Insurance Co., addressed whether issues decided
in an earlier decision had a preclusive effect in a subsequent
decision. See 106 F.3d 904, 908-09 (9th Cir. 1997). Steen
does not support the proposition that a later-in-time order has
a retroactive preclusive effect on an earlier one.2 Although
this case presents a peculiar backdrop for the application of
the issue preclusion doctrine, our decision in Nationwide
Mutual Insurance Company v. Liberatore, 408 F.3d 1158 (9th
Cir. 2005), is instructive. Liberatore was a member of the
U.S. Navy who was traveling on orders and picked up his
friend, Ivey, for a social evening during his trip. Liberatore
drank and drove, causing a traffic accident in which Ivey suf-
fered serious injuries. The accident resulted in two lawsuits:
(1) Ivey’s negligence action against Liberatore, the rental car
company, and the United States; and (2) a declaratory relief
action by Nationwide, Liberatore’s insurance company,
against Liberatore, the United States, the rental car company,
and Ivey. In Ivey’s negligence lawsuit, the government moved
for summary judgment on the grounds that Liberatore was not
acting within the scope of his employment and thus there was
no waiver of sovereign immunity under the Federal Tort
Claims Act. In Nationwide’s lawsuit, Nationwide moved for
2
The language from Steen cited by the majority discusses the circum-
stances under which issue preclusion extends to principles of law. For
example, a legal principle applied in an earlier action may have a preclu-
sive effect in a later action if the factual scenario in the earlier and later
action are the same. Steen, 106 F.3d at 913 & n.5. Steen does not support
the proposition that a decision in a later action has a preclusive effect on
an earlier action.
UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC. 11899
summary judgment on the grounds that insurance coverage
did not exist because Liberatore was acting within the scope
of his employment and thus the government had indemnifica-
tion responsibility; the government also filed a motion to dis-
miss for lack of subject matter jurisdiction. The central
question in both lawsuits was the scope of Liberatore’s
employment. See id. at 1160-61.
IV.
Thus, I agree with the majority and vote to affirm the dis-
trict courts’ orders. I write separately, however, because I can-
not concur in the proposed guidelines established by the
majority opinion, for three reasons.
sheet appeared on the screen, he would click on the “Edit” menu in the
new blank spreadsheet and choose “Paste.” The rows of the ten targeted
ballplayers selected in the original spreadsheet and only those rows—
would appear in the new spreadsheet. Novitsky would then scroll to the
right in the new blank spreadsheet and would see only the testing results
for the targeted ballplayers for whom he had probable cause to search and
seize.
UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC. 11915
U.S. 443, 464-466 (1971), overruled in part on other grounds,
Horton v. California, 496 U.S. 128 (1990), a plurality of the
Supreme Court explained that:
II
***
6
Coolidge, 403 U.S. at 465.
7
Id. at 466.
UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC. 11921
For the reasons discussed above, I concur in the majority’s
analysis of the facts and law as applied to this case. I do not,
however, concur in the majority’s proposed guidelines. It
would be nice to give magistrates clear “guidance” when pos-
sible. But that is true in all cases, and yet we still approach
that goal by issuing rulings on the facts before us, and nothing
more.
Since Mapp v. Ohio, 367 U.S. 643 (1961), the Court has
adopted numerous exceptions to the exclusionary rule, such as
the “good faith” exception first enunciated in Leon. Most sig-
nificant for this case, the Court has held that even illegally
seized evidence may be used for a variety of purposes. See
Calandra, 414 U.S. at 351-52 (holding that the exclusionary
rule does not apply to grand jury proceedings); see also
United States v. Havens, 446 U.S. 620, 627-28 (1980) (hold-
ing that evidence obtained in violation of the Fourth Amend-
11924 UNITED STATES v. COMPREHENSIVE DRUG TESTING, INC.
ment can be used to impeach a defendant’s testimony at trial);
Rakas v. Illinois, 439 U.S. 128, 148-49 (1978) (holding that
evidence obtained in violation of one person’s Fourth Amend-
ment rights can be used against another person whose Fourth
Amendment rights were not violated by the search or seizure).
Accordingly, under the Supreme Court’s precedents, remedies
for Fourth Amendment violations must be carefully tailored
to fit both the underlying violation and the government’s
legitimate competing interests in using the illegally seized
evidence. See Grimes, 82 F.3d at 291 (“Because the govern-
ment may now use illegally obtained evidence in a variety of
situations, it should be permitted to retain copies of such evi-
dence absent extreme circumstances not apparent from this
record.”); see also In re Search of Law Office, 341 F.3d 404,
412 (5th Cir. 2003) (noting that changes in the Court’s exclu-
sionary rule jurisprudence cast doubt on earlier opinions hold-
ing that victims of an unlawful search had right to obtain
return of all copies of documents).