dissenting.
I disagree with the majority opinion because I believe that the identity and location of the Confidential Informant (Cl), as an informer-participant, should have been provided to the appellant. That information was relevant and necessary to the appellant’s defense and essential to his right to due process as guaranteed by the United States and Georgia Constitutions.
At trial, the appellant raised a defense of entrapment. He claimed that he was approached and induced, by the Cl, to be the “middleman” in a series of cocaine transactions. The appellant alleged that the Cl, while working for the Georgia Bureau of Investigation (GBI), initiated contact with the appellant, introduced the appellant to an undercover officer of the GBI, and delivered an amount of cocaine to that undercover agent which the Cl stated was purchased from the appellant. During this initial contact between the Cl and the appellant, no other person was present. As a result of a series of continuing transactions stemming from that initial contact, the appellant was arrested for trafficking in cocaine. The Cl was subsequently *537transported out-of-state, at the state’s expense, and despite the appellant’s motion, pursuant to Brady v. Maryland, 373 U. S. 83 (83 SC 1194, 10 LE2d 215) (1963), seeking the Cl’s identity and whereabouts, the trial court declined to compel the prosecution to release that information.
OCGA § 16-3-25 provides:
A person is not guilty of a crime if, by entrapment, his conduct is induced or solicited by a government officer or employee, or agent of either, for the purpose of obtaining evidence to be used in prosecuting the person for commission of the crime. Entrapment exists where the idea and intention of the commission of the crime originated with a government officer or employee, or with an agent of either, and he, by undue persuasion, incitement, or deceitful means, induced the accused to commit the act which the accused would not have committed except for the conduct of such officer.
I believe that the appellant’s testimony, along with other facts developed at trial, established enough of a question of entrapment that the trial court should have compelled the prosecution to release to the appellant the identity and location of the Cl for subpoena purposes. The majority opinion infers that the appellant’s testimony was the only relevant defense evidence proffered and that it did not sufficiently support the appellant’s contention of entrapment. However, the record shows: first, the undercover agent did not search the Cl prior to the initial transaction or witness the negotiations or conversations between the Cl and the appellant at the initial buy, second, the Cl, not the appellant, provided the undercover agent with the contraband then, and third, on at least one occasion the undercover agent acknowledged the alleged Cl’s participation in the ongoing transactions. This statement is from a taped conversation entered as state’s evidence:
Undercover Agent: Well, is it — is it okay if I get in touch with you sometime without, because he’s [the Cl] always so hard to . . . [contact].
The appellant: Yeah, let me give you a number. . . .
The cumulative effect of this evidence is to create several questions sufficient to warrant that the appellant should have been able to subpoena the Cl for testimony.
In Roviaro v. United States, 353 U. S. 53, 60-61 (77 SC 623, 1 LE2d 639) (1957), the United States Supreme Court held:
*538Decided November 15, 1990. Kenneth E. Futch, Jr., for appellant. Harry D. Dixon, Jr., District Attorney, George E. Barnhill, Assistant District Attorney, for appellee.Where disclosure of an informer’s identity ... is relevant and helpful to the defense of an accused, or is essential to a fair trial, the Government’s privilege to withhold disclosure of the informer’s identity must give way.
Because the prosecution secreted the Cl to another state, the appellant’s defense was severely hindered. Since the Cl was the only other witness to the initial transaction, he was the only person, aside from the appellant, who could testify as to what the negotiations at the initial buy entailed. Thus, he was the only witness in a position to, “amplify or contradict the testimony of the government witnesses.” Id. at 64. The full effect of this sequestration came to bear when the trial court disallowed any testimony by the appellant as to his conversations with the Cl during that initial meeting. Thus, the appellant was denied any means of introducing evidence crucial to his stated defense.
This is especially egregious in light of Brady, supra, which calls for the disclosure of evidence favorable to a defendant, “if the evidence is material to guilt or punishment.'’'’ Brady v. Maryland, 373 U. S. at 87. (Emphasis supplied.) See also Moore v. Illinois, 408 U. S. 786 (92 SC 2562, 33 LE2d 706) (1972). Here the ability to call the Cl for testimony might have, at the very least, resulted in information which could have mitigated the appellant’s punishment.
While I agree that Roviaro, supra, calls for a balancing test, that test is rooted in the due process concept of fundamental fairness. It balances the state’s interest in protecting the flow of information to law enforcement officials against the right of the accused to a full and fair opportunity to defend himself. Thornton v. State, 238 Ga. 160 (231 SE2d 729) (1977). It is clear, that in this case, the detriment to the appellant’s right to defend himself far outweighed the state’s interest in securing the flow of information from informants. Because the state’s sequestration of a crucial informer-participant prejudiced the appellant in his ability to receive a fair trial, I must respectfully dissent.