DISSENTING OPINION OF
OGATA, J.I agree with the majority that the District Court clearly has no jurisdiction to entertain an accused’s motion to suppress under Rule 46(e) of the District Court Rules of Penal Procedure, unless, of course, the District Court also has jurisdiction to try the offense with which accused is charged. However, I disagree with the majority’s holding that the District Court does, nevertheless, possess power to entertain, and grant, a motion to strike, notwithstanding that very explicit language in Rule 46(e). Until such time as the District Court Rules of Penal Procedure and Rules 5(d) (2) and 41(e) of the Hawaii Rules of Criminal Procedure (hereinafter H.R.Cr.P.) may be changed by promulgation of new rules by this Court pursuant to HRS § 602-21, I would hold that a District Court has no jurisdiction to entertain or grant a motion to strike, intended to be used in lieu of a motion to suppress, made at a preliminary hearing by the accused who is to be tried in the Circuit Court.
*319Rule 5(d) (2), H.R.Cr.P., which is relied upon so heavily by the majority, is not dispositive of the issue before us. The crucial portion of the Rule is:
“.. . . If from the evidence it appears to the magistrate that there is probable cause to believe that a felony has been committed and that the defendant has committed it, the magistrate shall forthwith hold him to answer in the circuit court; otherwise the magistrate shall discharge him. ...” (Emphasis added.)
With regard to the interpretation of this crucial portion of Rule 5(d) (2), the majority opinion contains the following ipse dixit explaining the phrase “the evidence”:
“We are of the opinion that in a proceeding under Rule 5(d) (2), the district court, a court of record, must adhere to the general rules of evidence which include objections to the admissibility of unconstitutionally seized evidence.”
The majority’s interpretation of Rule 5(d) (2), H.R.Cr.P., is not supported either in logic or by adequate citations to authority, and in my opinion such an interpretation cannot be so supported.
The exclusionary rule, which requires that no evidence seized in violation of the Fourth Amendment of the U.S. Constitution be admitted in a criminal proceeding against an accused for a criminal offense, was first explicated in the landmark decision of Weeks v. United States, 232 U.S. 383 (1914). In Weeks, the exclusionary rule was made mandatory in federal criminal proceedings; because of Hawaii’s status as a territory the rule always applied here, and an opportunity to develop a variant on the rule or to reject its applicability entirely, a practice prevalent in a number of states and sanctioned by Wolf v. Colorado, 338 U.S. 25 (1949), was never a reality for Hawaii. See, State v. Pokini, 45 Haw. 295, 308-09, 367 P.2d 499, 506 (1961). Mapp v. Ohio, 367 U.S. 643 (1961), made the exclusionary rule mandatory in state criminal proceedings. Linkletter v. Walker, 381 U.S. 618 (1965), declined the opportunity presented to make the rule retrospective from the date of the Mapp decision.
*320The implication of the majority’s decision is that Mapp v. Ohio, supra, controls the issue involved herein. It does not. The preliminary hearing involves no adjudication of guilt or innocence; it is simply an inquiry which involves only a determination of “probable casue’ ’, Rule 5(d) (2), H.R.Cr.P., and is no more a criminal proceeding within the meaning of Mapp or Weeks than is any other determination of “probable cause”, e.g., such as that made by a police officer in the course of his duties. Since theMapp and Weeks cases are not dispositive of the issue here, they are persuasive only, and only so persuasive as the soundness of any analogy between the situation involved therein, and that involved herein. In other words, the operative force of the logic of the decisions must be evaluated by careful study of the evil to be remedied by the promulgation of the exclusionary rule.
The nature of the holdings in Weeks and Mapp is revealed in Linkletter, supra, where the Supreme Court directly implied that the exclusionary rule did not and could not make whole the damage from the unconstitutional breach of the victims’ Fourth Amendment rights because the exclusionary rule was to be applied, and was applicable, far too late. Linkletter v. Walker, supra, at 637. Even though Rule 41(e) of the Federal Rules of Criminal Procedure (hereinafter F.R.Cr.P.) and Rule 41(e), H.R.Cr.P., strongly encourage (and, to a large extent, require) an early adjudication of the constitutional question of whether evidence was unconstitutionally seized, even the granting of a motion to suppress under 41(e) occurs far too late to be serviceable as a protective device assuring the privacy of the particular individual whose rights have been infringed by improper police conduct.
The implications of Linkletter have become clear and unambiguous language in United States v. Calandra, 42 U.S.L.W. 4104 (U.S., January 8, 1974). In Calandra, the Court emphasized that the exclusionary rule is overwhelmingly concerned not with a vain attempt to redress the particular wrong done to the victim of the unconstitutional search, but rather with the deterrence of future unlawful police conduct. 42 U.S.L.W. at 4106-07. Thus, focusing on the reason for the rule, and remembering that the rule can *321extend no further than the reason for its existence, the U.S. Supreme Court held in Calandra, that, in the particular context therein, it was reversible error to grant the defendant’s suppression motion. Even had the evidence sought to be suppressed been seized unconstitutionally, it was nonetheless admissible in the deliberations of the grand jury. The exclusionary rule did not apply.
The Supreme Court explained the basic framework of the analysis involved in the Calandra case as follows:
“Despite its broad deterrent purpose, the exclusionary rule has never been interpreted to proscribe the use of illegally-seized evidence in all proceedings or against all persons. As with any remedial device, the application of the rule has been restricted to those areas where its remedial objectives are thought most efficaciously served.” U.S. v. Calandra, supra, at 4107.
Remembering that the remedial objective of the rule is the creation of incentive to keep police conduct within constitutional bounds, Linkletter, supra, at 636-37, Calandra, supra, at 4106-07, the question posed by the case at bar is whether the grant of power to the District Court to suppress evidence in cases where the District Court will not try the offense is a necessary grant of power to effectuate the exclusionary rule’s remedial objective. The answer is clearly that such grant of power is not necessary for that purpose, and Rule 41(e), H.R. Cr.P., and Rule 46(e) of the District Court Rules of Penal Procedure so provide.
An accused has the right to an adjudication of the constitutionality of the search and seizure that resulted in the possession by the State of the evidence that the accused seeks to have suppressed. Rule 41(e), H.R.Cr.P., provides this opportunity to the accused. To grant a concurrent power to the District Court is not necessary. The deterrence of unconstitutional police conduct is equally well accomplished when the evidence is suppressed by the trial court. So long as a conviction is rendered, or may likely be rendered, more difficult or even impossible, due to the suppression, the time at which the suppression occurs is not a substantial or importantly determinative factor in police conduct. It would seem *322to me that Rule 41(e), H.R.Cr.P., and Rule 46(e) of the District Court Rules of Penal Procedure are simply designed to promote normal procedural orderliness.
Other viewpoints are considered, infra, but the result is the same.
The accused’s point of view. Early suppression by the District Court in its preliminary hearing to determine probable cause would apparently not seem to be required to protect any Fourth Amendment constitutional rights that accused could personally assert. Giordenello v. United States, 357 U.S. 480 (1958); United States v. Calandra, supra. An indictment by a grand jury on the same evidence could still occur, since lower standards prevail for admissibility of evidence before a grand jury. United States v. Blue, 384 U.S. 251 (1966); United States v. Lawn, 355 U.S. 339 (1958); United States v. Calandra, supra. The majority opinion would thus illogically permit preliminary hearing standards for admissibility of evidence to rise higher than grand jury standards, even though indictment by a grand jury occurs later and is the more seriously detrimental state action against the accused.
The administrative point of view. When the issue herein is considered with the basic assumption that maximization of administrative efficiency is an important consideration, absent resultant harm to an accused’s constitutional rights, we ought to interpret procedural rules to minimize, not maximize, the number of pre-trial motions. Whether or not they masquerade as “motions to strike”, if suppression motions, although not termed motions to suppress, can be made and granted in District Court and in Circuit Court under Rule 41(e), H.R.Cr.P., a situation is created in which motions proliferate and conflicting rulings thereon in the same case become more likely. This chaotic state of affairs will be undesirable as a further clog in our already congested court calendars.
The likely consequences of today’s ruling. The implications of today’s decision are as unacceptable as the holding itself. The result of the majority’s ruling will be to convert a preliminary hearing into a suppression hearing, for while a motion to suppress wiE not be allowed in a preliminary hear*323ing, a motion to strike will be. This is a distinction without a substantial difference as far as the State is concerned.
The new grant of power to the District Courts that is effectuated by the majority opinion may very well have the consequence that, whenever possible, the prosecution may seek to avoid any preliminary hearing. The pressures in this direction will be irresistible once a sufficient number of accuseds disappear following erroneous grants of suppression through motions to strike. Two serious consequences flow from a policy of avoiding preliminary hearings, (a) The accused will lose: (1) both an opportunity for some early discovery of the nature of the case against him and also (2) the occasion to create and preserve evidence for later use, e.g., as impeachment. See, Coleman v. Burnett, 477 F.2d 1187, 1198-1200(D.C. Cir. 1973); State v. Faafiti, 54 Haw. 637, 641, 513 P.2d 697, 701, fn. 4 (1973). Whether or not the express purposes of the preliminary hearing include its usage as a discovery and preservation device for an accused, the preliminary hearing can and does function in this capacity. 8 Moore’s Federal Practice—Cipes, Criminal Rules, § 5.1.02 [2]. (b) More obviously, the accused loses, through his loss of the ability to have preliminary hearing prior to grand jury proceeding, the opportunity to have a determination made as to “probable cause” as soon as possible. Sucha result should not be countenanced.
The federal system. A look at the workings of the federal criminal process only serves to bolster the view that a Hawaii District Court judge has no authority to entertain motions to strike unconstitutionally seized evidence when the accused will not come to trial in District Court. The Federal Rules of Criminal Procedure, which govern the federal criminal process, are in almost all respects at least similar, and often identical, to the Hawaii Rules of Criminal Procedure. In 1972, to clarify the former Rule 5(c), “Rule 5.1. Preliminary Examination” was added to the Federal Rules of Criminal Procedure. Rule 5.1, F.R.Cr.P., provides in pertinent part:
Rule 5.1. Preliminary examination
(a) Probable Cause Finding. If from the evidence it appears that there is probable cause to believe that an *324offense has been committed and that the defendant committed it, the federal magistrate shall forthwith hold him to answer in district court. The finding of probable cause may be based upon hearsay evidence in whole or in part. The defendant may cross-examine witnesses against him and may introduce evidence in his own behalf. Objections to evidence on the ground that it was acquired by unlawful means are not properly made at the preliminary examination. Motions to suppress must be made to the trial court as provided in Rule 12.
(b) Discharge Of Defendant. If from the evidence it appears that there is no probable cause to believe that an offense has been committed or that the defendant committed it, the federal magistrate shall dismiss the complaint and discharge the defendant. The discharge of the defendant shall not preclude the government from instituting a subsequent prosecution for the same offense. . . . (Emphasis added.)
Except for differences in style, and the substitution of “magistrate” in the Hawaii rule (meaning now “District Court Judge” following enactment of the current ch. 604 of HRS by S.L.H. 1970, Act 188) for “federal magistrate”, in the federal rule, and “felony’ ’ in the Hawaii rules (devised for our two-tier trial court system) for “offense” in the Federal Rules (for its one-tiertrial court system), Rule 5.1, F.R.Cr.P., is identical to Rule 5(d)(2), H.R.Cr.P., except that the federal rule expalins and clarifies what should and should not occur at the “preliminary hearing.” It is clear that “evidence” in the federal system’s preliminary hearing is not to be excluded because unconstitutional, unlawful means were used to obtain it. Rule 5.1(a), F.R.Cr.P.
Rule 5.1(a), F.R.Cr.P., is neither aberration nor experiment, but is codification of a long prevailing practice, since even prior to 1972, and even under the former language of Rule 5(c), F.R.Cr.P., from which Rule 5(d) (2), H.R.Cr.P., was derived, the United States Supreme Court in 1958 held that the commissioner had no authority in a preliminary examination to determine the admissibility of illegally seized evidence and that the proper procedure was to put that issue *325before the Federal District Court by a motion to suppress under Rule 41(e), F.R.Cr.P., Committee Note to Rule 5.1, F.R.Cr.P.; Giordenello v. United States, supra, at 484; cf. United States v. Klapholz, 230 F.2d 494 (2nd Cir. 1956), cert. den. 351 U.S. 924 (1956). See also, Costello v. United States, 350 U.S. 359, 363-64 (1956)(dicta); United States v. Blue, 384 U.S. 251, 255 (1966) (dicta).
The law of evidence. Finally, the majority misunderstands the nature of a “motion to strike” evidence. A “motion to strike” is not, as stated in fn. 4 of the majority opinion, “essentially the same” as a “motion to suppress.” Riddle v. State, Ind. , 275 N.E.2d 788 (1971) is no authority for that proposition. The issue dealt with in the quoted portion of that opinion is not the issue posed in the case at bar. In Riddle, the Indiana court merely commented that unconstitutionally obtained evidence should be excluded, either before or during trial. Certainly this is the law in Hawaii, and Rule 41(e), H.R.Cr.P., governs the point. Since Riddle was not concerned with the preliminary hearing, it is unreasonable to read Riddle as establishing a total congruence between the law involving motions to suppress and the law involving motions to strike.
It is true that current trends in the law are blurring the distinctions between, and definitions of, certain key phrases used in dealing with problems involving admission by promulgating as a part thereof, and pursuant to HRS § 602-21, Rule 5.1(a) F. R. Cr. P., as a new part to H.R.Cr.P. and/or the District Court Rules of Penal Procedure.2
The course of adopting the procedures of the federal criminal prosecution system has already been followed in this respect in Arizona. 17 A.R.S. [1973 Arizona] Rules of Criminal Procedure, rule 5.3, Nature of the preliminary hearing:
b. Inapplicability of Suppression Motions. Rules or objections calling for the exclusion of evidence on the ground that it was obtained unlawfully shall be inapplicable in preliminary hearings.
The adoption of this rule in effect reverses State v. Jacobson, 106 Ariz. 129, 471 P.2d 1021 (1970).