[J-42-2016][M.O. – Todd, J.]
IN THE SUPREME COURT OF PENNSYLVANIA
MIDDLE DISTRICT
COMMONWEALTH OF PENNSYLVANIA, : No. 63 MAP 2015
:
Appellee : Appeal from the Order of the Superior
: Court at No. 396 MDA 2014 dated
v. : 10/8/14 reconsideration denied 12/2/14
: affirming the judgment of sentence of
: Dauphin County Court of Common
KHIRI ARTER, : Pleas, Criminal Division, at No. CP-22-
: CR-0001297-2012, dated 2/4/14
Appellant :
:
: ARGUED: April 5, 2016
DISSENTING OPINION
CHIEF JUSTICE SAYLOR DECIDED: December 28, 2016
I respectfully dissent, since, as a predicate to application of the exclusionary rule
in the context of parole revocation proceedings, I would require a factual determination
concerning whether officers involved proceeded with an improper motive.
Since state courts, in the 1970s, began to ground departures from federal
constitutional doctrine upon interpretations of their own state constitutions’ counterparts
to provisions of the United States Constitution, this “new judicial federalism” has been
the subject of substantial debate. A prominent line of controversy centers upon the
imposition, by state courts, of an exclusionary rule where the United States Supreme
Court has determined that none should apply. See, e.g., Lawrence Friedman, Reactive
and Incompletely Theorized State Constitutional Decision-Making, 77 MISS. L.J. 265,
300 (2007) (positing that this Court’s seminal decision in Commonwealth v. Edmunds,
526 Pa. 374, 586 A.2d 887 (1991), failed to supply “a coherent theory to explain how
the exclusionary rule should be understood and applied” for purposes of state
constitutional law).
In terms of considering when the Pennsylvania Constitution should be invoked to
justify suppression of evidence in the search-and-seizure setting, I agree with those who
emphasize that Article I, Section 8 of the state charter and the Fourth Amendment to the
United States Constitution reflect what, to their respective framers, was the same
normative protection. See Commonwealth v. Schaeffer, 370 Pa. Super. 179, 238-39 &
nn.6-7, 536 A.2d 354, 384 & nn.6-7 (1987) (Kelly, J., concurring and dissenting)
(explaining that the terms presently reposed in Article I, Section 8 were adopted by the
Pennsylvania General Assembly in 1790, contemporaneous with the Legislature’s
ratification of the Fourth Amendment, and highlighting the close similarity of such
respective provisions); accord Arthur Leavens, State Constitutionalism: State-Court
Deference or Dissonance?, 33 W. NEW ENG. L. REV. 81, 82-83 (2011) (making the same
point concerning the Massachusetts analogue to the Fourth Amendment). I also believe
that prominent decisions in the Pennsylvania line of the new judicial federalism have
inordinately ignored or downplayed the nearly-200 years of history throughout which this
Court had maintained the common law approach of refusing to impose an exclusionary
precept, over and against arguments advocating for its recognition under the
Pennsylvania Constitution. See generally Commonwealth v. Russo, 594 Pa. 119, 134,
934 A.2d 1199, 1208 (2007) (collecting cases and explaining that “no decision of this
Court has squarely purported to examine and disapprove of the long and unbroken line
of pre-Mapp [v. Ohio, 367 U.S. 643, 81 S. Ct. 1684 (1961)] decisions holding that, far
[J-42-2016][M.O. – Todd, J.] - 2
from recognizing greater exclusionary-rule-related privacy rights, Article I, Section 8
contained no exclusionary remedy whatsoever” (emphasis in original)).1
From my point of view, the failure to remediate the early lapses in the above
respects -- as the new judicial federalism has matured and the Court has continued to
selectively sanction instances of departure from federal constitutional doctrine -- has left
the Court vulnerable to criticisms of revisionism and diminished legitimacy in this line of
decisions. See, e.g., McCarthy, Counterfeit Interpretations, 58 SYRACUSE L. REV. at
135-36; cf. James W. Diehm, New Federalism and Constitutional Criminal Procedure:
Are We Repeating the Mistakes of the Past?, 55 MD. L. REV. 223, 244 (1996) (referring
to a “perplexing melange of disparate constitutional principles” reflected in state
constitutional law decisions); James A. Gardner, The Failed Discourse of State
Constitutionalism, 90 MICH. L. REV. 761, 763 (1992) (characterizing various departure
pronouncements under state constitutions as reflecting a “vast wasteland of confusing,
conflicting, and essentially unintelligible pronouncements”). Since the exclusionary rule
1
For example, the majority references Commonwealth v. Sell, 504 Pa. 46, 470 A.2d
457 (1983), for the proposition that the survival of the normative protection embodied in
Article I, Section 8 “through over 200 years of profound change in other areas
demonstrates that the paramount concern for privacy . . . continues to enjoy the
mandate of the people of this Commonwealth.” Majority Opinion, slip op. at 12 (quoting
Sell, 504 Pa. at 65, 470 A.2d at 467). As in a number of this Court’s previous decisions,
however, this manner of presentation downplays the fact that, throughout most of this
200-year history, this Court did not believe that such mandate should encompass any
requirement that evidence secured in violation of constitutional rights must be
suppressed. See Russo, 594 Pa. at 133, 934 A.2d at 1207 (“[A]ny historical survey
respecting . . . any suppression case under the Pennsylvania charter, hits a brick wall in
1961; there is no relevant history to support a broader state constitutional interpretation
because there was no point in seeking such an interpretation, at least in a criminal case,
since there was no exclusionary remedy available.” (emphasis in original)); accord
Francis Barry McCarthy, Counterfeit Interpretations of State Constitutions in Criminal
Procedure, 58 SYRACUSE L. REV. 79, 117 (2007) (“Any claim by one of the fourteen
states that rejected the exclusionary rule that the state has a long history of protecting
state constitutional rights must ring hollow.”).
[J-42-2016][M.O. – Todd, J.] - 3
was imposed on Pennsylvania under federal constitutional doctrine after a prolonged
period of Commonwealth-level rejection, see Russo, 594 Pa. at 132-34, 934 A.2d at
1207-08, it should be apparent that, when this Court has expanded the field of
mandatory suppression on state constitutional grounds, it has built upon a foundation
constructed by the Supreme Court of the United States, not one solidly premised upon
unique state sources. The Edmunds formulation notwithstanding, I submit that the
departure cases expanding the exclusionary rule ultimately distill to policy choices on
the part of the prevailing majorities pertaining to a non-textual, judge-made convention
which should be administered with great restraint. See Commonwealth v. Williams, 454
Pa. 368, 372, 312 A.2d 597, 600 (1973).2
The Court had recently moved to a more overt cost-benefit balancing between
the value of extending exclusion as a “remedy,”3 and the corresponding impairment to
the truth-determining process in the administration of justice. See Henderson, 616 Pa.
at 289, 47 A.3d at 804 (“The greatest difficulty in the enforcement of a prophylactic rule
intended to guard individual liberties is on account of the competing value in society’s
2
Parenthetically, I observe that this Court’s Article I, Section 8 jurisprudence otherwise
seemed to have been trending toward retrenchment in recent years. See, e.g.,
Commonwealth v. Gary, 625 Pa. 183, 242, 91 A.3d 102, 138 (2014) (plurality)
(reflecting the present culmination of decades of controversy via the adoption of the
federal automobile exception to the warrant requirement as a matter of state
constitutional law); Commonwealth v. Henderson, 616 Pa. 277, 289-90, 47 A.3d 797,
804-05 (2012) (refusing to enforce an independent-source requirement under the
Pennsylvania Constitution in the absence of police misconduct).
3
Notably, the remedial aspect of suppression is indirect, as the exclusion of evidence
does not, “strictly speaking, remedy the privacy, dignity, and security harms that the
relevant constitutional provisions seek to prevent.” Aziz Z. Huq, Judicial Independence
and the Rationing of Constitutional Remedies, 65 DUKE L.J. 1, 18 (2015). Nevertheless,
I recognize that “[e]xclusion is fairly ranked as a remedy to the extent it is sought by a
putatively injured party, and purports to eliminate an advantage that the state as
counterparty possesses as a consequence of the constitutional wrong.” Id.
[J-42-2016][M.O. – Todd, J.] - 4
interest in identifying and punishing wrongdoers.”). From my point of view, particularly
given that offenders in the parole revocation setting have a lesser expectation of
privacy, and in light of the strong societal interest in ensuring compliance with parole-
release requirements, I find that the more restrained and appropriate balance is to
decline to award suppression in parole-revocation proceedings in the absence of a
judicial determination that law enforcement or supervising officials acted with an
improper motive. See, e.g., Logan v. Commonwealth, 688 S.E.2d 275, 278-79 (Va.
2010) (implementing such an approach, while defining “bad faith” as directed to
scenarios in which “the search was motivated by bias, personal animus, a desire to
harass, a conscious intent to circumvent the law, or a similar improper motive”).
Finally, I would also suggest that such an approach would have a greater
potential for sustainability relative to a balancing assessment concerning which
reasonable minds will always differ. Accord Henderson, 616 Pa. at 290, 47 A.3d at 805
(positing that “the ‘twin aims’ of Article I, Section 8 – namely, the safeguarding of privacy
and enforcement of the probable-cause requirement – may be vindicated best, and
most stably, by taking a more conservative approach to the departure this Court has
taken from the established Fourth Amendment jurisprudence”).
[J-42-2016][M.O. – Todd, J.] - 5