UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF COLUMBIA
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UNITED STATES OF AMERICA, )
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v. ) Crim. Action No. 17-0201-01 (ABJ)
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PAUL J. MANAFORT, JR., )
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Defendant. )
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MEMORANDUM OPINION AND ORDER
Defendant Paul J. Manafort, Jr. has moved to suppress the evidence obtained when the FBI
executed a search warrant issued by the United States District Court for the Eastern District of
Virginia, and it seized business records contained in boxes and a filing cabinet in a self-storage
unit in Alexandria, Virginia. Manafort argues that the search was unlawful because the agents
entered the storage unit and looked around without a warrant the day before they presented their
request for a warrant to the court. While they did not open the boxes or review the papers filed in
the drawers on that day, they described the exterior of the containers they observed, including the
labels on the boxes, in the warrant application. Therefore, Manafort claims, the warrantless initial
entry tainted the later search of the files that was authorized by the warrant. He also argues that
the warrant itself was too broad to comport with the Constitution for a number of reasons,
including that it was not limited to a particular time period and it called for broad categories of
financial records.
The defendant’s motion will be denied. Law enforcement agents do not need a warrant to
enter a location if they have voluntary consent, and they do not need to have the consent of the
person under investigation if they receive permission from a third party who has, or who
reasonably appears to have, common authority over the place to be searched. Here, the agents
obtained a copy of the lease for the storage unit. The person identified as the lessee or “occupant”
of the storage unit was an employee of a company owned by Manafort who had a key to the
premises, and he unlocked the door for the agents and gave them written permission to enter.
Therefore, the preliminary inspection of the unit falls within the consent exception to the warrant
requirement.
Furthermore, the agents did obtain a search warrant in compliance with the Fourth
Amendment for the containers within the storage unit before they opened any of the boxes or
drawers or examined the records inside. A review of the warrant affidavit reveals that even if the
initial survey of the unit was unlawful, that finding would not invalidate the seizure of the records
that was carried out in accordance with the warrant. The affidavit in support of the warrant
application set out the agent’s reasons to believe that Manafort had been engaged in criminal
activity in the conduct of his business, and that his business records had been moved to, and
remained in, the locker rented for that purpose. So, if one were to excise the challenged
information from the application, and presume that the Magistrate Judge was presented with a
warrant application that did not include the few paragraphs describing the contents of the storage
unit and the labels on the boxes, the affidavit would still support a finding of probable cause to
believe that a crime or crimes had been committed and that records related to those crimes were
likely to be found in the unit.
Finally, the warrant was not overbroad since it called for records related to specific offenses
detailed in the application and in the warrant itself. And even if this Court were to conclude that
the warrant could or should be have been more tightly drawn, the agents relied in good faith on a
warrant that had been reviewed and signed by a United States Magistrate Judge, and therefore, the
evidence seized during the execution of the warrant should not, and will not, be excluded.
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BACKGROUND
I. Procedural History
On April 6, 2018, defendant filed his motion to suppress evidence seized pursuant to the
warrant authorizing the search of the premises located at 370 Holland Lane, Unit 3013, in
Alexandria, Virginia on the grounds that the search violated his Fourth Amendment rights. Def.’s
Mot. to Suppress Evid. and All Fruits Thereof Relating to the Gov’t Search of the Storage Unit
Located in Alexandria, Virginia [Dkt. # 257] (“Def.’s Mot.”) at 1, 19–20. The government
opposed the motion, Gov’t Mem. in Opp. to Def.’s Mot. [Dkt. # 283] (“Gov’t Opp.”), defendant
replied, Def.’s Reply to Gov’t Opp. [Dkt. #287] (“Def.’s Reply”), and the Court heard argument
on May 23, 2018.
II. Applicable Facts
On May 26, 2017, an FBI agent met with a former employee of Davis Manafort Partners,
who is currently a salaried employee of Steam Mountain, LLC, another business operated by the
defendant. Aff. in Supp. of an Appl. for a Search Warrant [Dkt. # 257-1] (“FBI Aff.”) ¶ 28. The
employee stated “that he performs a variety of functions for Manafort and his companies as
directed by Manafort.” Id. He reported that “in approximately 2015, at the direction of Manafort,
[he] moved a series of office files of Manafort’s business contained in boxes from one smaller
storage unit at 370 Holland Lane, Alexandria, Virginia to a larger storage unit, at the same storage
facility, also at 370 Holland Lane, Alexandria, Virginia. [The employee] advised that he
personally moved the office files into Unit 3013 at that location, and that the files were still in that
unit.” Id.
Later the same day, the employee led the agent to the storage facility, where the agent
obtained a copy of the lease for Unit 3013 from the manager of the facility. FBI Aff. ¶ 29. The
lease identifies the employee as the “Occupant” of the unit, and also identifies defendant as
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“Occupant’s Authorized Access Person[]”and Richard Gates, with whom defendant worked in
Ukraine, as “Alternate Contact.” 1 Id. ¶¶ 29, 35; Lease Agreement [Dkt. # 257-3] (“Lease”) at 1.
The lease states: “By INITIALING HERE [the employee] Occupant acknowledges that the above
information is correct, that unless Occupant is identified above as a business[,] Occupant is a
consumer,” Lease at 1, and that “the Owner agrees to let the Occupant use and occupy a space in
the self-service storage facility.” Lease ¶ 1. It further provides that “[t]he space named in the
agreement is to be used by the Occupant solely for the purpose of storing any personal property
belonging to the Occupant,” Lease ¶ 5, and that “Occupant shall not assign or sublease the
Premises.” Lease ¶ 15(e).
The employee provided law enforcement with a key to unlock the unit, and he described
the contents of the unit: boxes of office files from defendant’s business and a metal filing cabinet
containing additional, more recent office files from defendant’s business. FBI Aff. ¶ 30. He
explained that he moved the filing cabinet from defendant’s former residence in Virginia in the
spring of 2015, and he “indicated that Manafort was using his former residence as an office at the
time.” Id. The agent noted in his affidavit that the employee stated that the cabinet was extremely
heavy, “indicating that it contained a large amount of records.” Id. The employee was unable to
describe the contents of the filing cabinet in detail, but he stated that Manafort occasionally sent
him emails directing him to put certain records, which the employee described as “brown, legal-
sized files,” into the filing cabinet on Manafort’s behalf. Id. His recollection was that he last
added to the filing cabinet in the spring of 2016. Id.
1 On February 23, 2018, Gates pled guilty to conspiring with Manafort to defraud the United
States and to making false statements. See Superseding Information [Dkt. # 195]; Plea Agreement
[Dkt. # 205] at 1.
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The agent provided the employee with a written consent form which stated:
1. I have been asked by Special Agents of the Federal Bureau of
Investigation to permit a complete search of [the unit].
2. I have been advised of my right to refuse consent.
3. I give this permission voluntarily.
4. I authorize the agents to take any items which they determine may be
related to their investigation.
Consent Form [Dkt. # 283-2]. The form identified the storage unit, and the employee signed the
consent form. See Consent Form; FBI Aff. ¶ 31. The employee then used the key in his possession
to open the unit in the presence of the agent. FBI Aff. ¶ 31. The agent reports that “[w]ithout
opening any boxes or filing cabinet drawers,” he observed “approximately 21 bankers’ boxes that
could contain documents, as well as a five-drawer metal filing cabinet” inside the unit. Id. None
of the file drawers were marked as to their contents, but some of the boxes bore labels such as
“Admin,” with subcategories including “Tax Returns,” and “Box 12 Ukraine Binders,” including
subcategories such as “Surrogates,” “Political,” and “Media,” which led the agent to conclude that
they contained information related to, among other things, taxes, finances, and international
activities connected to Ukraine and a company called Manhattan Productions International, in
which defendant has a stake. Id. ¶¶ 31–35.
Afterwards, the unit was locked and surveilled while the agent sought a warrant authorizing
the search of the unit and its contents. Id. ¶¶ 38, 46; Application for a Search Warrant [Dkt.
# 257-1]. United States Magistrate Judge Theresa Carroll Buchanan signed the warrant on May
27, 2017. Search and Seizure Warrant [Dkt. # 257-2] (“Warrant”).
The warrant authorized agents to search the storage unit, including “any locked drawers,
locked containers, safes, computers, electronic devices, and storage media,” Warrant, Attach. A,
and to seize certain records. Specifically, the warrant authorized seizure of eight categories of
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“[r]ecords relating to violations of 31 U.S.C. §§ 5314, 5322(a) (Failure to File a Report of Foreign
Bank and Financial Accounts), 22 U.S.C. § 618 (Foreign Agent Registration Act), and 26 U.S.C.
§ 7206(a) (Filing a False Tax Return).” Warrant, Attach. B ¶ 1. It further authorized seizure of
“[c]omputers or storage media used as a means to commit the Target Offenses,” id. ¶ 2, as well as
thirteen categories of evidence relating to the use and control of those items. Id. ¶ 3. The warrant
limited the seizure of evidence concerning who used, owned, or controlled a computer or storage
medium to evidence relating to that use, ownership, or control “at the time the things described in
this warrant were created, edited, or deleted,” id. ¶ 3(a), but otherwise, the warrant did not include
date-range limitations on what could be seized.
Law enforcement agents executed the warrant on May 27, 2017, and created an inventory
listing nine categories of records seized: eight labeled “documents” and one labeled “documents
and binders.” Warrant at 2. There is no indication that any computers or electronic storage media
were seized. See id.
LEGAL STANDARD
The Fourth Amendment to the United States Constitution guarantees “[t]he right of the
people to be secure in their persons, houses, papers, and effects, against unreasonable searches and
seizures.” U.S. Const. amend. IV. This protection extends beyond the walls of a private dwelling:
“[t]he privacy that is invaded may be sheltered by the walls of a warehouse or other commercial
establishment.” Michigan v. Tyler, 436 U.S. 499, 504–05 (1978). The government bears the
burden in a challenge to a warrantless search, United States v. Hassanshahi, 75 F. Supp. 3d 101,
108 (D.D.C. 2014); see United States v. Peyton, 745 F.3d 546, 552 (D.C. Cir. 2014), and the
defendant bears the burden when a search is authorized by a warrant. See Rakas v. Illinois, 439
U.S. 128, 130 n.1 (1978); United States v. de la Fuente, 548 F.2d 528, 533–34 (5th Cir. 1977).
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ANALYSIS
Defendant asserts that the search of the storage unit violated his Fourth Amendment rights
because the initial entry and inspection of the unit was conducted without a warrant, the warrant
obtained based on the initial search was overbroad, and the agents who executed the search
exceeded the warrant’s search parameters. Def.’s Mot. at 1.
I. The agents had the consent of a person with the authority, or apparent authority, to
consent to their initial warrantless entry into the storage unit.
A search without a warrant is presumed to be unreasonable, but law enforcement agents
may rebut that presumption with a showing that a person with authority to do so permitted them
to enter the premises. Illinois v. Rodriguez, 497 U.S. 177, 181 (1990). The Supreme Court has
made it clear that
when the prosecution seeks to justify a warrantless search by proof of
voluntary consent, it is not limited to proof that consent was given by the
defendant, but may show that permission to search was obtained from a
third party who possessed common authority over or other sufficient
relationship to the premises or effects sought to be inspected.
United States v. Matlock, 415 U.S. 164, 171 (1974); see also United States v. Law, 528 F.3d 888,
904 (D.C. Cir. 2008), quoting Matlock, 415 U.S. at 170 (“[C]onsent of one who possesses common
authority over premises or effects is valid as against the absent, nonconsenting person with whom
that authority is shared.”).
As the D.C. Circuit emphasized in Peyton, “‘[c]ommon authority’ does not refer to some
kind of ‘technical property interest.’” 745 F.3d at 552, quoting Georgia v. Randolph, 547 U.S.
103, 110 (2006); see also Matlock, 415 U.S. at 171 n.7 (“Common authority is . . . not to be implied
from the mere property interest a third party has in the property. The authority which justifies the
third-party consent does not rest on the law of property . . . .”). Rather, the Court of Appeals said,
common authority
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arises simply from “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.”
Peyton, 745 F.3d at 552, quoting Matlock, 415 U.S. at 171 n.7. The parties are agreed that this
case must be decided in accordance with Matlock. See Def.’s Reply at 1.
It is the government’s burden to establish that the third party had the authority to consent
to a search. Rodriguez, 497 U.S. at 181; United States v. Whitfield, 939 F.2d 1071, 1075 (D.C.
Cir. 1991). But “[e]ven a person who does not actually use the property can authorize a search if
it is reasonable for the police to believe she uses it. Such ‘apparent authority’ is sufficient to
sustain a search because the Fourth Amendment requires only that officers’ factual determinations
in such situations ‘always be reasonable,’ ‘not that they always be correct.’” Peyton, 745 F.3d at
552 (emphasis in original) (citation omitted), quoting Rodriguez, 497 U.S. at 185–87; see also
Randolph, 547 U.S. at 110, citing Rodriguez, 497 U.S. at 181–82 (“The common authority that
counts under the Fourth Amendment may thus be broader than the rights accorded by property
law.”).
Applying these principles, the Court finds that the initial warrantless entry into the storage
unit was lawful.
A. The person who leased the unit possessed actual authority over the premises.
The starting point of the analysis in this case is the fact that the “occupant” who signed the
lease for the premises located at 370 Holland Lane, Unit 3013, was a person other than Paul
Manafort. See Lease at 1. It was that person who gave the agents written permission to enter, see
Consent Form, and it was that person who opened the door with his key and let them in. FBI Aff.
¶¶ 30–31. The person is “a salaried employee of Manafort’s company,” FBI Aff. ¶ 28, and
Manafort’s name appears on the lease only as the “Occupant’s Authorized Access Person[].”
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Lease at 1. Thus, the record supports a finding that permission to search was obtained from a
person who possessed – at the very least – common authority over the premises to be inspected,
and a warrant was not required. 2
Manafort points to the statements in the agent’s affidavit concerning the actions taken by
the employee “at the direction of Manafort.” FBI Aff. ¶ 28; see also id. (“[H]e performs a variety
of functions for Manafort and his companies as directed by Manafort.”). He argues that the
affidavit thereby reveals that the employee was only permitted to enter the unit when he was given
an express direction to do so. See Tr. of Mots. Hr’g (May 23, 2018) [Dkt. # 305] (“Tr.”) at 12
(“We know from the affidavit that he’s only acting at the direction of Mr. Manafort . . . .”); Tr.
at 15 (“[W]e’re just looking at the affidavit and what’s sworn to by the agent. He’s saying that
only at Mr. Manafort’s direction and control. And not just once or twice, but three times, . . . .”).
But the affidavit does not say that.
In paragraph 28 of his affidavit, the agent reports that the employee “advised that in
approximately 2015, at the direction of Manafort, [he] moved a series of office files of Manafort’s
business” from a small unit at Holland Lane to the larger one at issue in this case. FBI Aff. ¶ 28.
Paragraph 30 reports that the employee moved a filing cabinet from Manafort’s former residence
to the unit in the spring of 2015, and that he “advised that Manafort occasionally sent emails to
[him] directing [him] to put certain records into the filing cabinet on Manafort’s behalf.” FBI
Aff. ¶ 30. So the affidavit connects the defendant to the storage unit by establishing that he
2 The prosecution did not argue here that the defendant does not have standing to object to
the search and seizure of his business records.
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instructed the employee to place materials in it, but it does not explicitly or implicitly delineate
any limits on the employee’s right of access at any other time. 3
This conclusion that the employee had the authority to consent is consistent with the legal
precedent amassed by both parties. The briefs in this case were thorough, and it appears that there
have been few reported cases from any circuit that present similar facts. The only two cases
3 In his motion, Manafort asserts that the employee lacked actual authority:
Here, the former employee was named as an occupant on the lease
agreement simply for administrative convenience and only because he
happened to be the DMP employee tasked with setting up the storage lease
on DMP’s behalf and moving DMP’s business records into the unit. This
is bolstered by the fact that the former employee’s DMP email address was
listed on the lease agreement and the fact that Mr. Manafort appears on the
agreement as the only person with authorized access to the storage unit.
***
It was clear to the former employee and others at DMP that he had no
authority to enter the storage unit for any reason absent prior express
permission from Mr. Manafort. On no occasion did Mr. Manafort do or say
anything that manifested an express or implied desire to allow the former
employee to consent to a law enforcement search of the premises for DMP’s
records. Put simply, he did not have actual authority in connection with the
storage unit and did not have the actual authority to consent to the FBI
Agent’s search.
Def. Mot. at 5 (emphasis in original); see also Tr. 11 (Defense Counsel: “[T]hat is a summation,
essentially, of what is reported here in the affidavit . . . .”).
Obviously the statement that Manafort was the “only” person on the lease with authorized
access to the storage unit is belied by the lease itself, which was in the employee’s name. The
lease provides that “Occupant shall provide, at Occupant’s own expense, a lock for the
premises . . . . Occupant shall not provide a key and/or combination to Occupant’s lock to Owner
or Owner’s agents.” Lease ¶ 15(a). The employee provided the agents with access to the unit with
a key in his possession; there is no evidence in the record about whether Manafort or anyone else
possessed a duplicate key.
The rest of the factual recitation in defendant’s pleading is devoid of any citations to the
record, and the defense presented no testimony or evidence of its own at the hearing, agreeing with
the government that the motion could be decided based on the face of the affidavit alone. Tr. at 6.
Thus, the Court need not consider these wholly unsubstantiated assertions concerning the scope of
the employee’s agency in its assessment of the evidence.
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presented to the Court involving storage units both concluded that an individual with joint control
had actual authority to consent to the search of the unit, and in each of those cases, the facts
supporting common authority were not even as strong as they are here.
In United States v. Kim, 105 F.3d 1579 (9th Cir. 1997), the Ninth Circuit upheld the district
court’s refusal to suppress evidence seized from a storage locker that had been leased by an
associate of the defendant, named Wee, at the defendant’s direction. Id. at 1580 (“Wee also told
[an agent] that Kim had hired him to rent the storage units . . . .”). The associate rented several
units from a storage unit facility, and the lease agreements indicated that other people, including
the defendant, were named as additional persons with access to the units. Id. Wee advised law
enforcement agents that he believed the defendant had placed stolen goods inside of the units. Id.
He did not have a key to the units, but he authorized the agents to cut off the locks, and he consented
to a search of the contents. Id. “Agent[s] also learned that Wee had been the only individual
present during the unloading of some of the allegedly stolen goods and that Wee had temporarily
kept the keys to the storage units afterwards.” Id.
The Court in Kim began its analysis with the Supreme Court’s opinion in Matlock:
“[t]he Court defined common authority as ‘joint access or control for most purposes.’” 105 F.3d
at 1582, quoting Matlock, 415 U.S. at 171 n.7. The government pointed to the fact that Wee’s
name was on the lease and that he had a key at one time. Id. But the court was troubled by the
fact that Kim “had the only key to the lock and had general control over the unit,” and it concluded
that “[t]hese factors put the case outside the ‘joint access or control for most purposes’ test.” Id.
Nonetheless, after taking note of the “assumption of risk” language in Matlock, see 415 U.S. at
171 n.7, the Court found that Wee had actual authority to consent to a search of the units. Kim,
105 F.3d at 1582–83.
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Here, Kim dispatched Wee to rent the storage units. By instructing Wee to
lease the units in Wee’s name, Kim assumed the risk that Wee could
exercise his rights as lessee to have the storage company open the unit. In
addition, Kim allowed Wee to keep possession of the leases, supervise
unloading of the goods and retain keys on occasion. At any time, Wee could
have accessed the storage locker without Kim’s knowledge or permission.
Because Kim ceded partial control of the [] lockers to Wee at all times, and
allowed him total control on occasion, he assumed the risk that Wee would
allow a search of the units.
Id. at 1582.
The Tenth Circuit reached a similar conclusion ten years later in United States v. Trotter,
483 F.3d 694 (10th Cir. 2007). In that case, an alleged co-conspirator of the defendants named
King rented a storage unit in his own name at the direction of one of the defendants, and the
defendants held on to the keys. Id. at 697. “[O]n numerous occasions, Mr. King was temporarily
given a key so that he could retrieve drugs and drug paraphernalia from the unit. At some point,
Mr. King surreptitiously copied or stole one of the keys.” Id. He later began cooperating with the
police and gave them the key along with permission to enter the unit at any time. Id. As in Kim,
the appellate court upheld the district court’s decision to deny a motion to suppress evidence
recovered from the storage unit on the grounds that King had actual authority.
Because the storage unit at issue was leased in Mr. King’s name, he could
at any time have exercised his rights as lessee to have the storage company
open the unit, without Appellants’ knowledge or permission. Additionally,
Appellants allowed Mr. King access to the storage unit . . . to retrieve or
drop off items. We conclude the Mr. King’s position as lessee of the unit
and his active participation in renting and using the facility gave him a
‘sufficient relationship to the premises’ to justify the searches based upon
his consent.
483 F.3d at 699.
This case presents the factors that pointed towards common authority in Kim and Trotter
without any of the complications. As in Kim, the third party here rented the storage unit in his
own name; the defendant was simply listed on the lease as an additional authorized person; and
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the employee loaded items into the unit on his own. FBI Aff. ¶¶ 28–29. Neither the Ninth Circuit
nor the Tenth expressed reservations based on the fact that the associates in those cases rented the
units at the defendants’ direction; what was persuasive in each situation was the fact that each
lessee could have exercised his right to enter the premises at any time, and that each had actually
made use of his right of access by depositing material in the unit. Those facts are present here as
well.
Most important, unlike the associates in Kim and Trotter, the employee in this case retained
possession of a key. FBI Aff. ¶ 31. It was defendant Kim’s retention of the only key to the unit
that led the Kim court to characterize Wee’s control over the premises as something other than
“joint control for most purposes” under Matlock. 105 F.3d at 1582. But one can easily find joint
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control, and therefore, actual authority, on the facts present here. 4 Moreover, the lessee of the unit
here was not simply an “associate” hired solely for the purpose of facilitating illegal activity; he
was and continues to be an employee of the business, which strengthens the finding that Manafort
entrusted him with control over the unit.
4 This is true whether or not this Circuit joins the Ninth Circuit and others to recognize
“assumption of the risk” as an independent predicate for the finding.
In United States v. Cos, 498 F.3d 1115, 1125 (10th Cir. 2007), the Court reviewed the
varying language utilized by circuits around the country when applying the Matlock test for actual
authority, noting that both the Ninth Circuit in Kim and the Seventh Circuit in United States v.
Cook, 530 F.2d 145, 149 (7th Cir. 1976), have recognized an assumption of risk approach. But
see United States v. Davis, 332 F.3d 1163, 1169 n.4 (9th Cir. 2003) (stating that “the few cases”
in which the Ninth Circuit applied assumption of risk analysis “involved situations where the
person whose property was searched clearly ceded authority over the property, either partially or
totally, to the consenting third party”). The Tenth Circuit then advanced its own take on the issue:
“we have read Matlock to establish the following standards for assessing actual authority to
consent to a search of a residence: ‘(1) mutual use of the property by virtue of joint access, or (2)
control for most purposes over it.’” Cos, 498 F.3d at 1125, quoting United States v. Rith, 164 F.3d
1323, 1329 (10th Cir. 1999) (emphasis in Cos). The Court concluded that neither the assumption
of risk language in Kim, nor the “sufficient relationship” language in Trotter appropriately framed
the necessary inquiry, particularly when the inquiry was to be applied to the search of a home. Id.
at 1126–27.
The defendant urges this Court, then, to forego any reliance on Kim and Trotter, see Def.’s
Reply at 2–3, but the Court finds the analysis in those cases to be useful even if one does not adopt
the same approach to the Matlock test, and it notes that in Cos, the Tenth Circuit concluded that
the facts in Trotter warranted a finding of actual authority under the correct standard as well. Cos,
498 F.3d at 1126–27.
The D.C. Circuit has not weighed in on this issue directly, but the Court notes that Matlock
is not the only Supreme Court case where assumption of risk language appears. In Frazier v.
Cupp, 394 U.S. 731(1969), the Court made quick work of the petitioner’s claim that the police did
not have valid consent to search a duffel bag that was being used by both the petitioner and his
cousin Rawls. Id. at 740. The bag had been left at the cousin’s house, and the cousin authorized
the police to look inside. Petitioner claimed that Rawls only had permission to use one
compartment in the bag, and therefore his right to consent was similarly limited. Id. The Supreme
Court ruled: “[w]e will not . . . engage in such metaphysical subtleties in judging the efficacy of
Rawls’ consent. Petitioner, in allowing Rawls to use the bag and in leaving it in his house, must
be taken to have assumed the risk that Rawls would allow someone else to look inside.” Id. at
740; see also Randolph, 547 U.S. at 110, quoting Frazier, 394 U.S. at 740.
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Manafort likens the situation to a search of a hotel room authorized by a hotel employee,
and he points to authority that holds that the mere fact that the employee has a key to a guest’s
room does not establish that the employee had the right to admit others and intrude upon the guest’s
reasonable expectation of privacy in his room during his stay. Def.’s Mot. at 7–8; Tr. at 12, citing
United States v. Toan Phuong Nghe, 925 F. Supp. 2d 1142 (W.D. Wash. 2013). This precedent
would have some force if the agents had gained entry through an employee of Public Storage, the
owner and lessor of the storage facility on Holland Lane, which reserved its right to enter the unit
under certain circumstances. See Lease ¶ 9 (“Right to Inspect and Repair”). But here, the third
party who granted the FBI access to the premises was the lessee, the individual with the right “to
use and occupy a space in the self-service storage facility.” Lease ¶ 1. Thus, he is more similar
to the hotel guest himself than he is to the bellman or the person manning the front desk. 5
5 The facts of this case are also not analogous to the other situation invoked by counsel:
when a person gives a key to his home to a pet sitter or cleaning service. See Tr. at 12. Courts
take particular care when scrutinizing claims of third party consent to enter a defendant’s home,
the personal sanctuary where he has the greatest expectation of privacy. See Peyton, 745 F.3d at
552, quoting Silverman v. United States, 365 U.S. 505, 511 (1961) (“At the very core [of the Fourth
Amendment] stands the right of a man to retreat into his own home and there be free from
unreasonable governmental intrusion.”); Cos, 498 F.3d at 1127 (emphasizing “the heightened
protection afforded to the home under the Fourth Amendment”). But even if one were to accord
a businessman’s expectation of privacy in a rented storage unit the same weight, the situation in
counsel’s hypothetical involves granting a third party access to premises over which the
homeowner retains and exercises primary access and control, and granting that access at specific
times and for a limited purpose. Here, the employee, and not Manafort, was the designated
occupant of the premises; he was free to come and go at any time. Manafort could have easily
maintained sole dominion over the unit by signing the lease himself, purchasing the lock, and
holding on to the key, but he did not do so. And, he chose to put no evidence in the record
concerning any instructions or limitations he imposed on the employee, who, as far as the record
is concerned, was entirely free to permit others to enter, for example, to assist him in delivering
the heavy filing cabinet. See FBI Aff. ¶ 30. It is true that the government has the burden to
establish the third party’s authority to consent, but the government carried its burden here, and the
defendant cannot ask the Court to reject the obvious inferences from the record in favor of contrary,
unsupported suppositions, particularly after he elected to forego an opportunity to examine either
the agent or the employee.
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B. It was reasonable for the agent to believe that the occupant of the unit had
the right to permit the inspection of the premises.
The facts that underlie the Court’s view that the search was approved by a third party with
authority over the premises also made it reasonable for the agent to conclude that the occupant of
the unit had the authority to consent to the search, even if that conclusion was incorrect. In other
words, whether he had the actual authority or not, the occupant had the apparent authority to
consent, and that made the entry into the premises lawful. The touchstone for resolving a challenge
to government action under the Fourth Amendment is reasonableness, and the Court finds that the
agent’s actions were reasonable in this case.
Manafort argues, though, that the information provided to the agent – in particular, the
statement that the employee moved items into the storage unit “at the direction of Manafort,” FBI
Aff. ¶ 28 – made the terms of the employee’s control of the premises sufficiently ambiguous that
it was unreasonable for the agent to conclude that the employee could grant permission to enter
without additional investigation. But a common sense analysis of the situation points in the
opposite direction, and the cases Manafort relies upon are not analogous.
It is worth noting that the agent’s understanding was not simply derived from the
unambiguous lease and the key; the other significant fact in the calculus is that the agent presented
the employee with a formal consent to entry form and the employee signed it. See Consent Form.
If the person who signed the lease did not equivocate, and he did not act as if he perceived the
situation to be ambiguous, why would it have been unreasonable for the agent to fail to treat it as
if it was?
Defendant points to Whitfield, 939 F.2d at 1074, Def.’s Reply at 2, but there were specific
facts in the record in that case that led the D.C. Circuit to conclude as a matter of fact that the
agents could not have reasonably believed that the third party had authority to consent to the
16
search. 6 First of all, the case does not involve joint control over a single undifferentiated space,
like a storage unit; in Whitfield, the question was whether the defendant’s mother, who leased the
6 Manafort relies upon Whitfield for the proposition that agents confronted with an ambiguous
situation must make further inquiries. It is true that the Whitfield opinion states: “[i]f the agents
do not learn enough, if the circumstances make it unclear whether the property about to be searched
is subject to ‘mutual use’ by the person giving consent, ‘then warrantless entry is unlawful without
further inquiry.’” 939 F.2d at 1075, quoting Rodriguez, 497 U.S. at 188–89 (emphasis in
Whitfield). But if one looks at the context from which those phrases from Rodriguez were lifted,
it becomes clear that the principle does not apply here, and the agents acted reasonably in this case.
In Rodriguez, the defendant’s daughter summoned the police to report that he had assaulted
her earlier that day at an apartment where he could still be found. 497 U.S. at 179. The daughter
led the officers to that location, referred to it as “our” apartment, and unlocked the door with her
own key. Id. at 179–80. Based on facts that were introduced at the hearing indicating that the
daughter had actually moved out and taken the key without permission, the lower court invalidated
the search, ruling as a matter of law that an officer’s reasonable belief could not support a
warrantless entry if the belief had been shown to be incorrect. Id. at 180. The Supreme Court
reversed and remanded, holding that a search could be valid if the officer had reasonable grounds
to believe at the time that the third party had the necessary authority, even if a fuller examination
of the facts later revealed it was lacking. Id. at 188–89. In announcing its ruling, the Court
cautioned that “what we hold today does not suggest that law enforcement officers may always
accept a person’s invitation to enter premises. Even when the invitation is accompanied by an
explicit assertion that the person lives there, the surrounding circumstances could conceivably be
such that a reasonable person would doubt its truth and not act upon it without further inquiry.”
Id. at 188.
But that hypothetical, “conceivable” situation does not pertain here. In this case, there
were no “surrounding circumstances” that would have given the agent reason to doubt the
employee’s apparent ability to enter.
As with other factual determinations bearing upon search and seizure,
determination of consent to enter must ‘be judged against an objective
standard: would the facts available to the officer at the moment . . . warrant
a man of reasonable caution in the belief’ that the consenting party had
authority over the premises? . . . If not, then warrantless entry without
further inquiry is unlawful unless authority actually exists. But if so, the
search is valid.
497 U.S. at 188–89, quoting Terry v. Ohio, 392 U.S. 1, 21–22 (1968). The only ambiguity the
defense can point to here is based on suppositions that have no support in the record. The situation
might have been less clear if the lease had been in Manafort’s name, the lease was in the name of
the company, the employee had no key in his possession, or the employee demurred when he was
asked for written consent. But no such facts were presented to the agent at the moment.
17
apartment where her 29-year-old son also resided, had the authority to consent to a search of his
bedroom within the apartment, and more particularly, to the search of the pockets of the son’s
clothing, found inside a closet, in the son’s bedroom. 939 U.S. at 1074. The Court found:
The bedroom itself was not a “common area” and the agents had no grounds
for believing otherwise. . . . The agents never asked Mrs. Whitfield whether
she cleaned her son’s room, visited with him there, stored any of her
possessions in the room, watched television there, or made use of the room
at any time for any purpose.
Id. Furthermore, the Court observed that since the son was no longer a minor, one could not
presume that the mother came and went from his room regularly; the officers needed to ask
questions to discover whether this particular mother and her adult son had an understanding that
he enjoyed exclusive use of the bedroom or whether there was some other arrangement. Id. at
1075. Here, the storage unit as a whole was a “common area.”
Second, the Court of Appeals in Whitfield was struck by the lack of clarity in the record.
The Court reported:
One of the agents . . . asked Mrs. Whitfield whether the defendant’s room
was open or locked. She said it was open. The agent testified that his
purpose in asking this question was to determine whether Mrs. Whitfield
had “free access” to her son’s room. He construed her answer to mean that
she did, although she did not use those exact words. Whether the agents
asked Mrs. Whitfield anything else is unclear.
Id. at 1072–73. The agents then asked for permission to search the room and gave the mother a
consent form to sign; while she said she would consent and took them up to the room, she also
refused to sign the form. Id. at 1073. So the factual situation confronting the Whitfield agents was
murkier than the straightforward arrangement described to the agent in this case, and the Whitfield
agents never received a signed consent form.
Manafort places great emphasis on the statement in Whitfield that while Mrs. Whitfield
plainly had “access” to her son’s room, it was not clear to the agents at the time that she had
18
“mutual use” of it, and therefore, the agents could not have reasonably concluded that she had
authority to consent to the search under Matlock. See Def.’s Reply at 2, citing Whitfield, 939 F.2d
at 1074) (“Whitfield held that even if the third party’s ability (or legal right) to access the property
established the joint access or control element of common authority, it did not establish the mutual
use element.”). 7 The Court is not certain that the D.C. Circuit purported to refine Matlock to
establish a new, two-part test for “common authority” in Whitfield, 8 but the record in this case does
not give rise to the level of confusion present in Whitfield in any event. The Court of Appeals did
not hold that the prosecution would have to show that the mother occupied the room for strictly
7 The reply also states, “[t]his Circuit has held that the government must prove the existence
of both mutual use of the property and joint access to or control of the property by the third party
and the target of the search.” Def.’s Reply at 2 (emphasis in original). The Court does not believe
that the D.C. Circuit articulated the principle quite that crisply on the page cited, although the
absence of information concerning “mutual use” was certainly critical to its ultimate decision. In
Whitfield, and again in Peyton, the D.C. Circuit recited the Matlock test in its entirety, see 939 F.2d
at 1074; 745 F.3d at 552, and in this Court’s view, the defendant’s effort to read Matlock as a
recipe comprised of specific necessary ingredients is inconsistent with the broad language of the
Supreme Court opinion itself.
The Court stated in the body of the Matlock opinion that the prosecution may show that
permission to search was obtained from a third party who possessed common authority over the
premises, “or other sufficient relationship to the premises.” 415 U.S. at 171. The Court did not
provide further information about what “other” relationships could be “sufficient.” It did elaborate
on what it meant by “common authority” in a footnote, explaining that a finding of common
authority could be predicated on “mutual use of the property by persons generally having joint
access or control for most purposes,” so that it would be “reasonable” to conclude that one of the
co-inhabitants has the right to consent to a search and that the others have assumed the risk that
another “might” do so. Id. at 171 n.7. This formulation, like Fourth Amendment jurisprudence in
general, is founded on the concept of reasonableness, which must be assessed based upon a
consideration of all of the facts and circumstances presented to the agents at the time, and it does
not appear to turn on any one particular factor. See Rodriguez, 497 U.S. at 186 (stating that whether
the basis for authority to consent to a search exists “is the sort of recurring factual question to
which law enforcement officials must be expected to apply their judgment; and all the Fourth
Amendment requires is that they answer it reasonably”).
8 Counsel for the defendant agreed at the hearing that “whether we’re talking about Ninth
Circuit, D.C. Circuit, in the end Matlock is the test.” Tr. at 8.
19
personal purposes to make “mutual use” of it; it bemoaned the lack of any evidence that she
cleaned the room, visited her son in it, or “made use of [it] at any time for any purpose.” Whitfield,
939 F.2d at 1074 (emphasis added). By contrast, here, as in Trotter, the Manafort employee’s
“position as lessee of the unit and his active participation in renting and using the facility,”
483 F.3d at 699 (emphasis added) – that is, delivering items to it and placing them inside – gave
rise to a reasonable basis to conclude that the Matlock test had been satisfied. The Court also notes
that the Matlock formulation calls for a showing of joint control “for most purposes,” 415 U.S.
at 171 n.7; while a bedroom, as the Whitfield discussion suggests, could have multiple purposes, a
storage unit has only one, and the employee here had access to the unit for that specific purpose.
Finally, Manafort argues that the fact that the agent sought a warrant the day after he gained
entry into the unit without a warrant demonstrates that the agent knew that he had entered
unlawfully the day before. This is a mischaracterization of the circumstances. The application for
a warrant to search the storage unit sought the court’s express permission not only to enter the unit,
but to open the boxes and filing cabinet inside. The agent’s application for the warrant before he
did so is a manifestation of the government’s adherence to the cases cited by Manafort, in which
courts have recognized that an individual may have a heightened and separate expectation of
privacy in a container or enclosed space that is located within otherwise shared premises. See
Peyton, 745 F.3d at 552, citing Donovan v. A.A. Beiro Constr. Co., 746 F.2d 894, 901–02 (D.C.
Cir. 1984); see also Def.’s Mot. at 9 (summarizing Peyton: “The Court of Appeals held that the
co-occupant lacked common authority in connection with the shoebox, despite the fact that it was
located in the apartment that she shared with the defendant . . . .”). It is the agent’s application for
a warrant to search the containers within the storage unit that differentiates this case from those
20
precedents, and the seizure and examination of the records pursuant to a warrant satisfied the
requirements of the Fourth Amendment.
II. The affidavit would have supplied probable cause to justify the search even without
the additional information obtained inside the unit.
Even if the agents did not initially gain entry to the unit with the permission of a person
with the authority or apparent authority to consent, and the survey of the inside was therefore
unlawful, there would still be no need to suppress the evidence obtained when the warrant was
executed. Manafort argues that the agent’s warrantless observations tainted his application to the
Magistrate Judge and the resulting warrant. But the Supreme Court has held that “if sufficient
untainted evidence [is] presented in the warrant affidavit to establish probable cause, the warrant
[is] nevertheless valid.” United States v. Karo, 468 U.S. 705, 719 (1984), citing Franks v.
Delaware, 438 U.S. 154, 172 (1978). So the question becomes, was there sufficient information
in the affidavit to establish probable cause to search the unit even without the agent’s first-hand
account of what he saw inside?
An affidavit in support of a warrant application “must provide the magistrate with a
substantial basis for determining the existence of probable cause,” and it cannot consist of “wholly
conclusory statement[s].” Illinois v. Gates, 462 U.S. 213, 239 (1983). “[P]robable cause is a fluid
concept – turning on the assessment of probabilities in particular factual contexts – not readily, or
even usefully, reduced to a neat set of legal rules.” Id. at 232. The Supreme Court has recognized
that the “task of the issuing magistrate is simply to make a practical, common-sense decision
whether, given all the circumstances set forth in the affidavit before him, including the ‘veracity’
and ‘basis of knowledge’ of persons supplying hearsay information, there is a fair probability
that . . . evidence of a crime will be found in a particular place.” Id. at 238 (abandoning the rigid
two-prong test for determining informant veracity in favor of a totality of circumstances approach).
21
Thus, a magistrate is supposed to consider the “totality-of-the-circumstances” in making probable
cause determinations. Id.
An examination of the warrant application reveals that the affidavit contained sufficient
grounds to believe that there may be evidence of a crime in the storage unit, even without the
information the agent gathered after stepping inside the unit.
The affidavit starts by setting out the reasons behind the agent’s conclusion that there was
probable cause to believe that Manafort – at times in connection with his associate Richard W.
Gates – had been engaged in a series of criminal offenses related to his business as a consultant
and lobbyist. Those offenses included: violations of 31 U.S.C. §§ 5314, 5322(a) (Failure to File
a Report of Foreign Bank and Financial Accounts); 26 U.S.C. § 7206(a) (Filing a False Tax
Return); and 22 U.S.C. § 618 (Foreign Agent Registration Act), all of which were ultimately
charged in the indictment.
The affidavit then goes on to set forth the agent’s reasons to believe that evidence related
to those offenses, that is, Manafort’s business records, could be found on the premises.
In paragraph 28 of the affidavit, the agent reports that on May 26, 2017, he met the former
employee of Davis Manafort Partners, and current employee of Steam Mountain, LLC. FBI
Aff. ¶ 28. The employee “advised that, in approximately 2015, at the direction of Manafort, [he]
moved a series of office files of Manafort’s business contained in boxes” from a “smaller storage
unit” at the Holland Lane facility to a “larger storage unit, at the same storage facility.” Id. Of
importance to this aspect of defendant’s motion, the employee “advised that he personally moved
the office files into Unit 3013 at that location, and that the files were still in the unit.” Id.
Paragraph 30 of the affidavit also reports that the employee moved a filing cabinet from
Manafort’s former residence to the storage unit in the spring of 2015, and that “Manafort was using
22
his former residence as an office at the time.” FBI Aff. ¶ 30. Further, the employee reported that
he last added to the filing cabinet on Manafort’s behalf in the spring of 2016. Id.
Next, the affidavit outlines the reasons for the agent’s belief that the boxes and filing
cabinet contain evidence of the alleged crimes listed in the warrant application. The agent avers
that it was “reasonable to believe that this storage unit is a collection point for Manafort’s and
Gates’s business records from their work in Ukraine,” FBI Aff. ¶ 35, because “[the employee]
advised the affiant that he moved business records for Manafort into the storage unit, and . . .
Manafort and Gates – who is listed on the lease as a contact for the lessor – worked together in
Ukraine.” Id. The agent went on:
It is also reasonable to believe that these records and those in the filing
cabinet will include financial records for several reasons. These include,
but are not limited to, IRS guidelines recommending that persons and
corporations generally retain business records for three years from filing of
returns for and seven years if the tax payer had certain losses or bad debts.
FBI Aff. ¶ 35. Further, the agent was “aware” from training and experience “that individuals and
businesses often retain copies of contracts and other business and financial records in anticipation
of litigation,” and that “[p]ublic sources reveal that Manafort was sued by his former client, Oleg
Deripaska, sometime in or about 2008.” Id. ¶ 37. Therefore, the agent concluded that “it is
reasonable to believe historical records have been retained by Manafort and Gates.” Id. All of
this supported the Magistrate Judge’s “common-sense” determination, see Gates, 462 U.S. at 238,
that there was probable cause to believe that records related to the alleged crimes would be found
in the unit, and the Magistrate Judge had a “‘substantial basis for . . . concluding’ that a search
would uncover evidence of wrongdoing.” Gates, 462 U.S. at 236, quoting Jones v. United States,
362 U.S. 257, 271 (1960) (ellipses in Gates) (internal edit omitted).
At the hearing on the motion to suppress, counsel for the defendant questioned whether the
affidavit supplied probable cause to believe that relevant documents would still be in the storage
23
unit at the time the agent applied for the warrant. He made the point that the last date it was known
that the employee placed documents was a year before the search, and that the events at issue in
the investigation occurred years before that, and he pointed the Court to the D.C. Circuit’s recent
opinion in United States v. Griffith, 867 F.3d 1265 (D.C. Cir. 2017). Tr. at 22–23, 27–28. In that
case, the Court found a search to be unconstitutional even though it was conducted pursuant to a
warrant because the Court found the showing of probable cause to be woefully deficient.
The warrant for Griffith’s apartment called for the seizure of cell phones. Griffith, 867
F.3d at 1268. The Court was concerned there was no basis set out to believe that the defendant
possessed any cell phone, and certainly no evidence that he was in possession of the same cell
phone he might have used at the time of the particular murder under investigation – a year had
gone by since then, and Griffith had been incarcerated on other charges in the interim. Id. at 1272–
75. The Court was also concerned that even if Griffith owned a phone at the time the warrant was
obtained, there were no facts in the affidavit to give rise to a reason to believe that there would be
evidence on it related to the murder committed a year before. Id. at 1275.
But the comparison to the Griffith case is not apt. First of all, the property to be searched
here was not a friend’s apartment, but a storage unit – where, by definition, people place things to
secure them for some period of time. The affidavit explains that the boxes Manafort initially had
placed in the unit contained business records that had already been preserved for some period of
time and were simply being moved to a larger storage unit. FBI Aff. ¶ 28. The affidavit reflects
that Manafort continued to give the employee files to add to the unit after it was first leased in
2015, the lease was still in force in May of 2017, and the employee still had the key. Id. ¶¶ 28–
30. Moreover, there was no evidence that the employee who leased the unit and delivered items
24
to it had ever been directed to remove any of the files. Most important, he specifically informed
the agent that the items he loaded into the storage unit were still there. Id. ¶ 28.
Manafort argues that without the FBI agent’s description of the labels he observed on the
boxes in the unit, the Magistrate Judge “would have been left with bare assertions from an
informant whose reliability and current basis for knowledge (as a former DMP employee) had not
been established.” Def.’s Reply at 12. But the affidavit indicates that the employee acquired his
information concerning the contents of the storage unit “from personal knowledge, an inherently
reliable method of obtaining such information.” United States v. Davis, 617 F.2d 677, 693 (D.C.
Cir. 1979).
Defendant raises the question of whether, without the agent’s observations, there was
adequate reason to credit the employee’s description of the use and contents of the unit. See Def.’s
Reply at 12. But in evaluating the validity of the information the employee provided, the
Magistrate Judge was able to consider the fact that the Davis Manafort representative was
designated as the occupant on the lease of the storage unit to which Manafort and Gates also had
access. What is more, the employee held the key to that unit, and that lends credibility to his
claimed knowledge and statements that he moved the records and filing cabinet into it.
Even without any understanding of the employee’s motivation, his “explicit and detailed
description . . . , along with a statement that the event was observed first-hand, entitles his tip to
greater weight than might otherwise be the case.” Gates, 462 U.S. at 234; id. at 234–38
(discouraging “an excessively technical dissection of informants’ tips” and favoring a “totality-of-
the-circumstances” approach to probable cause determinations); see also United States v. Laws,
808 F.2d 92, 102 (D.C. Cir. 1986) (“It is clear from Gates that, in measuring overall reliability of
a tip, a fair indication of the informant’s basis of knowledge may compensate for a less than
25
conclusive demonstration of his credibility.”). 9 Here, a consideration of all of the facts and
circumstances would have given rise to “a fair probability that . . . evidence of a crime w[ould] be
found” in the storage unit, Gates, 462 U.S. at 238, and thus, even if the initial warrantless entry
into the storage unit was unconstitutional and none of the information obtained by the agent from
that search could legally be considered, the affidavit contained sufficient untainted information to
furnish probable cause for the issuance of the search warrant, and the items seized need not be
suppressed.
III. The search warrant was particularized and not overbroad.
The Constitution limits searches by law enforcement to “the specific areas and things for
which there is probable cause to search,” and it requires that a search “be carefully tailored to its
justifications” and “not take on the character of the wide-ranging exploratory searches the Framers
intended to prohibit.” Maryland v. Garrison, 480 U.S. 79, 84 (1987). Accordingly, “[s]earch
warrants must be specific.” United States v. Hill, 459 F.3d 966, 973 (9th Cir. 2006). “Specificity
has two aspects: particularity and breadth. Particularity is the requirement that the warrant must
clearly state what is sought. Breadth deals with the requirement that the scope of the warrant be
limited by the probable cause on which the warrant is based.” Id., quoting United States v.
Towne, 997 F.2d 537, 544 (9th Cir.1993). Defendant challenges the search warrant on both
grounds. Def.’s Mot. at 14–20.
A. The search warrant was particularized.
Search warrants must “‘particularly describ[e] the place to be searched, and the persons or
things to be seized,’ which operates to ‘prevent[ ] the seizure of one thing under a warrant
describing another.’” Jones v. Kirchner, 835 F.3d 74, 79 (D.C. Cir. 2016), quoting Marron v.
9 The Court also notes that the defendant points to no facts that would raise questions about
the employee’s credibility.
26
United States, 275 U.S. 192, 195–96 (1927) (edits in original). Defendant contends that the search
warrant does not satisfy this requirement. Def.’s Mot. at 14–16.
Manafort’s initial motion complained that the use of the words “any and all” or “any” in
several paragraphs of the attachment listing the items to be seized violated the Fourth Amendment.
Def.’s Mot. at 15 (emphasizing this language in quoting paragraphs 1.a., 1.b.(1), 1.b.(2), 1.c., and
1.g.). But in his reply brief and at oral argument, he focused his arguments solely on paragraph
1.a. See Def.’s Reply at 8 (emphasis in Reply); see also Tr. at 32. That paragraph authorized
seizure of:
1. Records relating to violations of 31 U.S.C. §§ 5314, 5322(a) (Failure to
File a Report of Foreign Bank and Financial Accounts), 22 U.S.C. § 618
(Foreign Agent Registration Act), and 26 U.S.C. § 7206(a) (Filing a
False Tax Return), including:
a. Any and all financial records for Paul Manafort, Richard Gates or
companies associated with Paul Manafort or Richard Gates,
including but not limited to records relating to any foreign financial
accounts[.]
Warrant, Attach. B ¶ 1.
“[A] warrant generally satisfies the particularity requirement when it allows officers ‘to
seize only evidence of a particular crime.’” United States v. Young, 260 F. Supp. 3d 530, 546
(E.D. Va. 2017), quoting United States v. Fawole, 785 F.2d 1141, 1144 (4th Cir. 1986). The
Supreme Court has made clear that a phrase in a warrant must be read in the context of the rest of
the warrant. Andresen v. Maryland, 427 U.S. 463, 479–82 (1976) (holding that the phrase
“together with other fruits, instrumentalities and evidence of crime at this (time) unknown” read
in the context of the warrant’s “lengthy list of specified and particular items to be seized” showed
that the warrant “did not authorize the executing officers to conduct a search for evidence of other
crimes but only to search for and seize evidence relevant to the crime [alleged] and [the property
at issue]”).
27
Defendant’s argument ignores the introductory clause in paragraph 1, which provides that
the seven categories of records subject to seizure must relate to three specified offenses: failing to
file a foreign bank account report or “FBAR” under the 31 U.S.C. §§ 5314 and 5322(a), failing to
register as an agent of a foreign principal under the Foreign Agent Registration Act, 22 U.S.C.
§ 618 (“FARA”), and filing false tax return in violation of 26 U.S.C. § 7206(a). Warrant,
Attach. B ¶ 1. Thus, the warrant did not authorize the seizure of “any and all financial records” in
the storage unit, but “any and all financial records” related to filing FBAR and FARA statements
and false tax returns. This excluded other financial records in the storage unit not pertaining to
those offenses, such as, for example, the “Worker’s Comp” files. See FBI Aff. at 12.
Defendant argues the introductory clause in paragraph 1 cannot save the warrant because
the three federal offenses listed in it are themselves broad. Tr. at 33–34; Def.’s Reply at 10, citing
United States v. Maxwell, 920 F.2d 1028, 1033 (D.C. Cir. 1990). In Maxwell, the D.C. Circuit
held that a search warrant’s reference to 18 U.S.C. § 1343, the federal wire fraud statute, did not
sufficiently limit the scope of the warrant because “reference . . . to a broad federal statute, such
as the federal wire fraud statute . . . realistically constitute[s] no limitation at all on the scope of an
otherwise overbroad warrant.” 920 F.2d at 1033. But Maxwell recognizes that reference to a
particular statute may “limit the scope of the warrant sufficiently to satisfy the particularity
requirement,” id., and the Bank Secrecy Act, 10 FARA, 11 and 26 U.S.C. § 7206(a) are considerably
more focused than the “broad” wire fraud statute in Maxwell.
10 Section 5322 of Title 31, referenced in paragraph 1, sets forth criminal penalties for
willfully violating 31 U.S.C. § 5314.
11 Section 618 of Title 22, referenced in paragraph 1, sets forth criminal penalties for willfully
violating its provisions, and 22 U.S.C. 612 sets forth the reporting requirement.
28
Both the Bank Secrecy Act and FARA regulate a small set of people and entities. The
Bank Secrecy Act requires those with an interest in or control over a foreign account containing
more the $10,000 to report to the government specific information about their transactions. See
31 U.S.C. §§ 5314(a)(1)–(4). 12 FARA requires agents representing foreign principals to report
specific information about their work on behalf of those principals. See 22 U.S.C. § 612. Because
these statutes apply to narrow groups of people and impose specific reporting requirements, they
are not “broad federal statutes” under Maxwell.
And while the federal tax code covers a wide territory, and 26 U.S.C. § 7206(a) applies to
all tax filers, the D.C. Circuit has made it clear that an allegation of making a false statement in a
tax return would make a search for “any and all financial records” related to that offense valid
under the Fourth Amendment. See United States v. Dale, 991 F.2d 819, 848 (D.C. Cir. 1993) (per
curium) (stating that courts may “consider[ ] the circumstances of the crime in assessing the degree
of particularity that should be required of descriptions of items to be seized in the warrant”). The
Dale case involved allegations that the defendant, a corporation that supplied hard drives to the
Army, had evaded taxes and defrauded the United States by substituting other products for the
hard drives that were ordered under the contract. Id. The defendant challenged the particularity
of the search warrant, which authorized the seizure of “business records including, but not limited
to” various categories of documents “and other records which relate to the criminal scheme
outlined” in the agent’s affidavit. Id. at 846. The Court ruled that the warrant was sufficiently
particularized, in part, because it is not easy to be specific about the records to be seized when
12 Anyone “having a financial interest in, or signature or other authority over, a bank,
securities or other financial account [over $10,000] in a foreign country shall report such
relationship . . . for each year in which such relationship exists.” United States v. Kelley-Hunter,
281 F. Supp. 3d 121, 123 (D.D.C. 2017) (edit in original), citing 31 C.F.R. §§ 1010.350(a),
1010.306(c).
29
investigating financial crimes. See id. at 848. And “[i]n the case of . . . tax evasion allegations,
specificity is even more difficult because evidence of the crime[] can be found in almost every
type of business document conceivable.” Id.; see also United States v. Cardwell, 680 F.2d 75, 78
(9th Cir. 1982) (“One of the crucial factors to be considered is the information available to the
government. Generic classifications in a warrant are acceptable only when a more precise
description is not possible.”) (internal quotation marks and edits omitted); United States v. Yusuf,
461 F.3d 374, 395 (3d Cir. 2006) (noting that “the government is [ ] given more flexibility
regarding the items to be searched when the criminal activity deals with complex financial
transactions”). Given the narrow scope of the Bank Secrecy Act and FARA, and the fact that the
government was also looking into tax evasion, the Court holds that paragraph 1.a. was sufficiently
particularized under the Fourth Amendment.
Finally, the nature and volume of defendant’s international dealings supported the broad
request for records in paragraph 1.a. Law enforcement agents were investigating whether
defendant maintained or controlled foreign bank accounts and whether he performed work on
behalf of foreign principals without registering. Given what was set forth in the sealed and
unsealed portions of the affidavit, see FBI Aff. ¶ 21, it was necessary to examine a significant
number of records to obtain evidence of these alleged offenses. See United States v. Logan, 250
F.3d 350, 365 (6th Cir. 2001), cert. denied, 534 U.S. 895 (2001) (given the investigators’
understanding of the substance and scope of the defendant’s business, they were “necessarily
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involved in an examination of an extensive paper trail in order to discover which transactions may
have been illegal in nature”). 13
In sum, the Court holds the paragraph 1.a. was sufficiently particularized because the
categories of records to be seized were related to three specific criminal allegations that require an
examination of an extensive paper trail to determine the scope of any violations. 14
B. The search warrant was not overbroad.
Defendant also challenges the search warrant as overbroad. “Breadth deals with the
requirement that the scope of the warrant be limited by the probable cause on which the warrant is
based.” Hill, 459 F.3d at 973, quoting Towne, 997 F.2d at 544; see, e.g., United States v. Abboud,
13 Defendant also asserts that the limitation in the introductory clause cannot save the warrant
here because “there is no similar limiting language in the next clause” as the First Circuit relied on
in United States v. Kuc, 737 F.3d 129 (1st Cir. 2013). Def.’s Reply at 9. But the Kuc case does
not hold that limiting language must appear in two clauses to make a warrant constitutionally valid.
Rather, it applies the principal in Andresen that courts must read a warrant in context and cited the
additional clause in the warrant there as a basis for reading the phrase at issue narrowly. 737 F.3d
at 133, citing Andresen, 427 U.S. at 480–81 (“We recognized long ago that a warrant’s language
must be read in context, such that the ‘general’ tail of the search warrant will be construed so as
not to defeat the ‘particularity’ of the main body of the warrant.”) (some quotation marks omitted).
And while the final clause of paragraph 1.a. calling for “records relating to any foreign financial
accounts” does not strictly limit the scope of the search to only financial records relating to foreign
accounts, it does focus the search on that category of records. Cf. Kuc, 737 F.3d at 133 (holding
that a warrant using the phrase “including, without limitation” to link a broader clause to more a
particular one was not “constitutionally infirm”).
14 Given defendant’s failure to address the other subparagraphs of paragraph 1 in his reply
brief or at oral argument, it appears he abandoned his challenges to them. See Def.’s Reply at 8
(referring only to paragraph 1.a.); Tr. at 32 (“MR. ZEHNLE: So while I see what Your Honor is
saying in paragraph 1, the prefatory language to paragraph A, which talks about any and all
financial – THE COURT: That’s the language you challenge. MR. ZEHNLE: Yes, it is the
language that we’re challenging.”). He also complained in his motion that paragraph 2 was
overbroad, Def.’s Mot. at 15, but presented no argument in response to the government’s
opposition on the issue and did not address it at the hearing. See Def.’s Reply at 8–11; Tr. 4–39
(not addressing the issue of electronic devices as they relate to the search of the storage unit); cf.
Tr. 55–100 (addressing electronic devices in the context of the search of defendant’s residence).
Accordingly, the Court will not address these portions of the warrant. See United States v. Moore,
75 F. Supp. 3d 568, 574 n.1 (D.D.C. 2014) (rejecting argument, in part, because defendant
abandoned it in his replies).
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438 F.3d 554, 576 (6th Cir. 2006) (holding that a warrant covering a six-year period was invalid
because probable cause only supported the seizure of evidence pertaining to a three-month period).
Defendant asserts that the warrant’s failure to impose a time frame renders it
unconstitutional because it left “the decision of what to seize to the discretion of the agents.” Def.’s
Mot. at 16. He argues that the storage unit had file boxes bearing dates going back thirty years,
and the agents knew the relevant dates for the alleged crimes but failed to include a time limit in
the warrant. Def.’s Mot. at 16–17 (noting that warrant for the search of his residence included a
time limit), citing United States v. Ford, 184 F.3d 566, 576 (6th Cir. 1999); United States v. Blake,
868 F.3d 960, 974 (11th Cir. 2017); In re 650 Fifth Ave. & Related Props., 830 F.3d 66, 84 (2d
Cir. 2016); Yusuf, 461 F.3d at 395; United States v. Kow, 58 F.3d 423, 427 (9th Cir. 1995); United
States v. Leary, 846 F.2d 592, 604 (10th Cir. 1988); United States v. Abrams, 615 F.2d 541, 543
(1st Cir. 1980).
Warrants need not contain specific time limits, when “dates of specific documents”
relevant to the offenses at issue “could not have been known to the Government,” United States v.
Shilling, 826 F.2d 1365, 1369 (4th Cir. 1987) (per curium) (overruled on other grounds), or when
“evidence that date[s] from outside of the time period” described in a warrant affidavit “may be
relevant to the activity within the time period.” Abboud, 438 F.3d at 576 n.7 (cited in Def.’s Mot.
at 17), cert. denied, 549 U.S. 976 (2006). Indeed, earlier conduct can inform the assessment of
later alleged violations. See Shilling, 826 F.2d at 1369 (“[A]s for income tax violations, documents
from an earlier time may have bearing on the tax violations alleged in a later year.”). And both
FBAR and FARA violations require evidence of willful conduct, see 31 U.S.C. § 5322(a) and (b);
22 U.S.C. § 618(a), so evidence predating conduct can shed light on a defendant’s intent. See
United States v. Cohan, 628 F. Supp. 2d 355, 365 (E.D.N.Y. 2009) (explaining, where warrant
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lacked a date limit, how prior instances of conduct predating criminal scheme by as much as
fourteen years “would be potentially admissible under Federal Rule of Evidence 404(b) to
demonstrate intent or absence of mistake”). So while as a general matter, the better practice would
be to establish boundaries for the time period of the records to be seized, given the nature of the
offenses under investigation, the warrant was not so unreasonably broad as to violate the Fourth
Amendment. 15
But even if the warrant is overbroad given the absence of a specific time frame, the warrant
falls within the good faith exception established by United States v. Leon, 468 U.S. 897 (1984).
IV. The agents relied in good faith on a warrant signed by a federal Magistrate Judge
and therefore, the exclusionary rule does not apply.
Even if the warrant was drafted too broadly, the evidence will not be suppressed. The
agents were acting within the scope of a valid warrant when they conducted the search, and their
reliance on the warrant issued by the federal Magistrate Judge was objectively reasonable.
According to the Supreme Court, in those circumstances, the exclusionary rule does not apply.
Leon, 468 U.S. at 920–22. This good faith exception to the exclusionary rule applies not only
when a reviewing court concludes that the affidavit in support of the warrant lacked probable
cause, but also to warrants later found to be overbroad. Massachusetts v. Sheppard, 468 U.S. 981,
988–91 (1984); Maxwell, 920 F.2d at 1034.
In Leon, the Court made it clear that suppression is not available as a remedy in every
situation in which a reviewing court concludes that there has been a constitutional violation, and
15 Defendant argues that the agent’s affidavit cannot be considered in analyzing the warrant
because the warrant does not incorporate the affidavit, Def.’s Mot. at 18, citing Groh v. Ramirez,
540 U.S. 551, 557–58 (2004), but the Court’s ruling here relies primarily on the nature of the
continuing offenses being investigated and that defendant’s activities in prior years could provide
evidence of defendant’s intent.
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the D.C. Circuit has reiterated that a mere disagreement with the issuing court is not sufficient to
justify the exclusion of evidence. “That is because the ‘exclusionary rule was adopted to deter
unlawful searches by police, not to punish the errors of magistrates and judges.’” United States v.
Spencer, 530 F.3d 1003, 1006 (D.C. Cir. 2008), quoting Sheppard, 468 U.S. at 990. The Supreme
Court recognized that “[i]n the ordinary case, an officer cannot be expected to question the
magistrate’s probable-cause determination or his judgment that the form of the warrant is
technically sufficient.” Leon, 468 U.S. at 921. “Nevertheless, the officer’s reliance on the
magistrate’s probable-cause determination and on the technical sufficiency of the warrant he issues
must be objectively reasonable . . . .” Id. at 922.
Manafort maintains that it was not reasonable for the agent to rely on the warrant here
because it did not limit the records to be seized to any particular time period, and it authorized the
seizure of any and all financial records of defendant and his companies. See Def.’s Mot. at 16–18.
But as explained above, the warrant is sufficiently particularized, and the criminal offenses under
investigation justify a search for records that predated the alleged offense, so it was not objectively
unreasonable for the same reasons.
Defendant points the Court to the opinion of the D.C. Circuit in United States v. Griffith,
in which the Court found a search warrant to be both so lacking in probable cause to believe that
evidence would be found on the premises, and so overbroad in its description of the items to be
seized, that it ordered the evidence to be excluded notwithstanding Leon. Def.’s Mot. at 15–16,
citing 867 F.3d at 1276. But the defense relies too heavily on that decision, which did not purport
to – and could not – refine or limit the Leon principle, but simply found it to be “inapplicable in
the particular circumstances” of that case. Id. at 1278.
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Griffith is inapposite primarily because the decision to suppress was based on the unique
combination of the Court’s finding that the affidavit was “so lacking in indicia of probable cause
as to render official belief in its existence entirely unreasonable,” 867 F.3d at 1278, quoting Leon,
468 U.S. at 923, and its concerns about overbreadth. While Griffith, the individual under
investigation, lived in an apartment leased by his girlfriend, “the warrant did not stop with any
devices owned by Griffith, which already would have gone too far. It broadly authorized seizure
of all cell phones and electronic devices, without regard to ownership.” Id. at 1276 (emphasis in
original). This compounded the problem the Court of Appeals had already identified that “the
affidavit failed to establish probable cause to believe that any cell phone (or other electronic
device) containing incriminating information about [the defendant’s] suspected offense would be
found in the apartment.” Id. at 1279 (emphasis in original); see also id. at 1278 (“[T]he affidavit
sought, and the warrant granted, authorization to search for and seize every electronic device found
in the home. The warrant’s material overbreadth in that regard underscored the police’s
unawareness of the existence of any such devices in the first place (much less the existence of any
belonging to Griffith) . . . .”).
Thus, there is little in the opinion that bears on the case at hand. The claimed overbreadth
is not comparable since the application did not ask for devices or files with no connection to
Manafort. And the application did not seek the seizure of every device or container found in the
storage unit that might contain paper records or electronic information, but rather records stored
within the boxes and cabinet related to particular topics. And unlike the affidavit that failed to
aver that Griffith even had a cell phone, much less, a cell phone that might still contain messages
that had been exchanged about a murder a year before, the affidavit here supplied reason to believe
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that the business and banking records that were the object of the search were placed and remained
in the location to be searched.
CONCLUSION
For the reasons stated above, defendant’s motion to suppress the evidence obtained from
the search of the storage unit [Dkt. # 257] is DENIED.
AMY BERMAN JACKSON
United States District Judge
DATE: June 21, 2018
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