The District Court dismissed an indictment against petitioners
and others on the basis of prosecutorial misconduct and
irregularities in the grand jury proceedings, finding that
dismissal was proper due to violations of Federal Rule of Criminal
Procedure 6 and under the "totality of the circumstances,"
including "numerous" violations of Rules 6(d) and (e); violations
of 18 U.S.C. §§ 6002 and 6003 and of the Fifth and Sixth
Amendments to the Federal Constitution; and the prosecution's
knowing presentation of misinformation to the grand jury and
mistreatment of witnesses. In an apparent alternative holding, the
District Court also ruled that dismissal, pursuant to its
supervisory authority, was necessary in order to deter future
conduct of this sort. The Court of Appeals reversed, ruling that
petitioners were not prejudiced by the Government's conduct, and
that, absent prejudice, the District Court lacked the authority to
invoke its supervisory power to dismiss the indictment.
Held:
1. As a general matter, a district court may not dismiss an
indictment for errors in grand jury proceedings unless such errors
prejudiced the defendants. Pp.
487 U. S.
254-257.
(a) A federal court may not invoke its supervisory power to
circumvent the harmless error inquiry prescribed by Federal Rule of
Criminal Procedure 52(a). Since Rule 52 was promulgated pursuant to
a statute which invested the Court with authority to prescribe
rules of pleading, practice, and procedure, and because that
statute provided that "all laws in conflict [with such a rule]
shall be of no further force and effect," 18 U.S.C. § 687
(1946 ed.), Rule 52 is, in every pertinent respect, as binding as
any federal statute. Courts have no more discretion to disregard
the Rule's mandate through the exercise of supervisory power than
they do to disregard constitutional or statutory provisions through
the exercise of such power. The conclusion that a showing of
prejudice is required is supported by
United States v.
Mechanik, 475 U. S. 66, which
also involved prosecutorial misconduct before a grand jury, and by
United States v. Hasting, 461 U.
S. 499, which, unlike the present cases,
Page 487 U. S. 251
involved constitutional error. A rule permitting federal courts
to deal more sternly with nonconstitutional harmless errors than
with constitutional errors that are likewise harmless would be
inappropriate. Pp.
487 U. S.
254-256.
(b) At least in cases involving nonconstitutional error, the
standard of prejudice that courts should apply in assessing whether
to dismiss an indictment prior to the trial's conclusion is that
articulated in
United States v. Mechanik, supra, at
475 U. S. 78
(O'CONNOR, J., concurring in judgment), whereby dismissal is
appropriate only "if it is established that the violations
substantially influenced the grand jury's decision to indict," or
if there is "grave doubt" that that decision was free from such
substantial influence. The present cases must be distinguished from
that class of cases in which indictments are dismissed because the
structural protections of the grand jury have been so compromised
as to render the proceedings fundamentally unfair, allowing the
presumption of prejudice without any particular assessment of
prejudicial impact.
See, e.g., Vasquez v. Hillery,
474 U. S. 254
(racial discrimination in selection of grand jury), and
Ballard
v. United States, 329 U. S. 187
(exclusion of women from grand jury). Pp.
487 U. S.
256-257.
2. The record does not support the conclusion that petitioners
were prejudiced by prosecutorial misconduct before the grand jury.
No constitutional error occurred during the grand jury proceedings,
and the instances of alleged nonconstitutional prosecutorial
misconduct were insufficient to raise a substantial question, much
less a grave doubt, as to whether they had a substantial effect on
the jury's decision to indict. Pp.
487 U. S.
257-263.
821 F.2d 1456, affirmed.
KENNEDY, J., delivered the opinion of the Court, in which
REHNQUIST, C.J., and BRENNAN, WHITE, BLACKMUN, STEVENS, O'CONNOR,
and SCALIA, JJ., joined. SCALIA, J., filed a concurring opinion,
post, p.
487 U. S. 264.
MARSHALL, J., filed a dissenting opinion,
post, p.
487 U. S.
264.
Page 487 U. S. 252
JUSTICE KENNEDY delivered the opinion of the Court.
The issue presented is whether a district court may invoke its
supervisory power to dismiss an indictment for prosecutorial
misconduct in a grand jury investigation, where the misconduct does
not prejudice the defendants.
I
In 1982, after a 20-month investigation conducted before two
successive grand juries, eight defendants, including petitioners
William A. Kilpatrick, Declan J. O'Donnell, Sheila C. Lerner, and
The Bank of Nova Scotia, were indicted on 27 counts. The first 26
counts charged all defendants with conspiracy and some of them with
mail and tax fraud. Count 27 charged Kilpatrick with obstruction of
justice. The United States District Court for the District of
Colorado initially dismissed the first 26 counts for failure to
charge a crime, improper pleading, and, as to charges against the
bank, for failure to allege that the bank or its agents had the
requisite knowledge and criminal intent. Kilpatrick was tried and
convicted on the obstruction of justice count.
The Government appealed the dismissal of the first 26 counts.
Before oral argument, however, the Court of Appeals granted a
defense motion to remand the case to the District Court for a
hearing on whether prosecutorial misconduct and irregularities in
the grand jury proceedings were additional grounds for dismissal.
United States District Judge Fred M. Winner first presided over the
post-trial motions and granted a new trial to Kilpatrick on the
obstruction of justice count. The cases were later reassigned to
United
Page 487 U. S. 253
States District Judge John L. Kane, Jr., to complete the
post-trial proceedings. After 10 days of hearings, Judge Kane
dismissed all 27 counts of the indictment. The District Court held
that dismissal was required for various violations of Federal Rule
of Criminal Procedure 6.
594 F.
Supp. 1324,
1353
(Colo.1984). Further, it ruled dismissal was proper under the
"totality of the circumstances," including the
"numerous violations of Rule 6(d) and (e), Fed.R.Crim.P.,
violations of 18 U.S.C. §§ 6002 and 6003, violations of
the Fifth and Sixth Amendments to the United States Constitution,
knowing presentation of misinformation to the grand jury and
mistreatment of witnesses."
Ibid. We shall discuss these findings in more detail
below.
The District Court determined that,
"[a]s a result of the conduct of the prosecutors and their
entourage of agents, the indicting grand jury was not able to
undertake its essential mission"
to act independently of the prosecution.
Ibid. In an
apparent alternative holding, the District Court also ruled
that
"[t]he supervisory authority of the court must be used in
circumstances such as those presented in this case to declare with
unmistakable intention that such conduct is neither 'silly' nor
'frivolous,' and that it will not be tolerated."
Ibid.
The Government appealed once again, and a divided panel of the
Court of Appeals reversed the order of dismissal. 821 F.2d 1456
(CA10 1987). The Court of Appeals first rejected the District
Court's conclusion that the violations of Federal Rule of Criminal
Procedure 6 were an independent ground for dismissal of the
indictment. It then held that "the totality of conduct before the
grand jury did not warrant dismissal of the indictment,"
id. at 1473, because
"the accumulation of misconduct by the Government attorneys did
not significantly infringe on the grand jury's ability to exercise
independent judgment."
Id. at 1474. Without a showing of such an infringement,
the court held, the District Court could
Page 487 U. S. 254
not exercise its supervisory authority to dismiss the
indictment.
Id. at 1474-1475.
The dissenting judge rejected the
"view of the majority that prejudice to the defendant must be
shown before a court can exercise its supervisory powers to dismiss
an indictment on the basis of egregious prosecutorial
misconduct."
Id. at 1476. In her view, the instances of
prosecutorial misconduct relied on by the District Court pervaded
the grand jury proceedings, rendering the remedy of dismissal
necessary to safeguard the integrity of the judicial process
notwithstanding the absence of prejudice to the defendants.
Id. at 1479-1480.
We hold that, as a general matter, a district court may not
dismiss an indictment for errors in grand jury proceedings unless
such errors prejudiced the defendants.
II
In the exercise of its supervisory authority, a federal court
"may, within limits, formulate procedural rules not specifically
required by the Constitution or the Congress."
United States v.
Hasting, 461 U. S. 499,
461 U. S. 505
(1983). Nevertheless, it is well established that "[e]ven a
sensible and efficient use of the supervisory power . . . is
invalid if it conflicts with constitutional or statutory
provisions."
Thomas v. Arn, 474 U.
S. 140,
474 U. S. 148
(1985). To allow otherwise "would confer on the judiciary
discretionary power to disregard the considered limitations of the
law it is charged with enforcing."
United States v.
Payner, 447 U. S. 727,
447 U. S. 737
(1980). Our previous cases have not addressed explicitly whether
this rationale bars exercise of a supervisory authority where, as
here, dismissal of the indictment would conflict with the harmless
error inquiry mandated by the Federal Rules of Criminal
Procedure.
We now hold that a federal court may not invoke supervisory
power to circumvent the harmless error inquiry prescribed by
Federal Rule of Criminal Procedure 52(a). Rule
Page 487 U. S. 255
52(a) provides that "[a]ny error, defect, irregularity or
variance which does not affect substantial rights shall be
disregarded." The Rule was promulgated pursuant to 18 U.S.C. §
687 (1946 ed.) (currently codified, as amended, at 18 U.S.C. §
3771), which invested us with authority
"to prescribe, from time to time, rules of pleading, practice,
and procedure with respect to any or all proceedings prior to and
including verdict. . . ."
Like its present-day successor, § 687 provided that, after
a Rule became effective "all laws in conflict therewith shall be of
no further force and effect." It follows that Rule 52 is, in every
pertinent respect, as binding as any statute duly enacted by
Congress, and federal courts have no more discretion to disregard
the Rule's mandate than they do to disregard constitutional or
statutory provisions. The balance struck by the Rule between
societal costs and the rights of the accused may not casually be
overlooked "because a court has elected to analyze the question
under the supervisory power."
United States v. Payner,
supra, at
447 U. S.
736.
Our conclusion that a district court exceeds its powers in
dismissing an indictment for prosecutorial misconduct not
prejudicial to the defendant is supported by other decisions of
this Court. In
United States v. Mechanik, 475 U. S.
66 (1986), we held that there is
"no reason not to apply [Rule 52(a)] to 'errors, defects,
irregularities, or variances' occurring before a grand jury just as
we have applied it to such error occurring in the criminal trial
itself."
Id. at
475 U. S. 71-72.
In
United States v. Hasting, 461 U.S. at
461 U. S. 506,
we held that
"[s]upervisory power to reverse a conviction is not needed as a
remedy when the error to which it is addressed is harmless since,
by definition, the conviction would have been obtained
notwithstanding the asserted error."
We stated that deterrence is an inappropriate basis for reversal
where "means more narrowly tailored to deter objectionable
prosecutorial conduct are available."
Ibid. We also
recognized that, where the error is harmless, concerns about the
"integrity of the [judicial] process" will carry less weight,
ibid., and that a
Page 487 U. S. 256
court may not disregard the doctrine of harmless error simply
"in order to chastise what the court view[s] as prosecutorial
overreaching."
Id. at
461 U. S. 507.
Unlike the present cases,
see infra at
487 U. S.
258-259,
Hasting involved constitutional error.
It would be inappropriate to devise a rule permitting federal
courts to deal more sternly with nonconstitutional harmless errors
than with constitutional errors that are likewise harmless.
Having concluded that our customary harmless error inquiry is
applicable where, as in the cases before us, a court is asked to
dismiss an indictment prior to the conclusion of the trial, we turn
to the standard of prejudice that courts should apply in assessing
such claims. We adopt for this purpose, at least where dismissal is
sought for nonconstitutional error, the standard articulated by
JUSTICE O'CONNOR in her concurring opinion in
United States v.
Mechanik, supra. Under this standard, dismissal of the
indictment is appropriate only "if it is established that the
violation substantially influenced the grand jury's decision to
indict," or if there is "grave doubt" that the decision to indict
was free from the substantial influence of such violations.
United States v. Mechanik, supra, at
475 U. S. 78.
This standard is based on our decision in
Kotteakos v. United
States, 328 U. S. 750,
328 U. S.
758-759 (1946), where, in construing a statute later
incorporated into Rule 52(a),
see United States v. Lane,
474 U. S. 438,
474 U.S. 454-455 (1986)
(BRENNAN, J., concurring and dissenting), we held that a conviction
should not be overturned unless, after examining the record as a
whole, a court concludes that an error may have had "substantial
influence" on the outcome of the proceeding. 328 U.S. at
328 U. S.
765.
To be distinguished from the cases before us are a class of
cases in which indictments are dismissed, without a particular
assessment of the prejudicial impact of the errors in each case,
because the errors are deemed fundamental. These cases may be
explained as isolated exceptions to the harmless error rule. We
think, however, that an alternative and
Page 487 U. S. 257
more clear explanation is that these cases are ones in which the
structural protections of the grand jury have been so compromised
as to render the proceedings fundamentally unfair, allowing the
presumption of prejudice.
See Rose v. Clark, 478 U.
S. 570,
478 U. S.
577-578 (1986). These cases are exemplified by
Vasquez v. Hillery, 474 U. S. 254,
474 U. S.
260-264 (1986), where we held that racial discrimination
in selection of grand jurors compelled dismissal of the indictment.
In addition to involving an error of constitutional magnitude,
other remedies were impractical, and it could be presumed that a
discriminatorily selected grand jury would treat defendants
unfairly.
See United States v. Mechanik, supra, at
475 U. S. 70-71,
n. 1. We reached a like conclusion in
Ballard v. United
States, 329 U. S. 187
(1946), where women had been excluded from the grand jury. The
nature of the violation allowed a presumption that the defendant
was prejudiced, and any inquiry into harmless error would have
required unguided speculation. Such considerations are not
presented here, and we review the alleged errors to assess their
influence, if any, on the grand jury's decision to indict in the
factual context of the cases before us.
III
Though the standard we have articulated differs from that used
by the Court of Appeals, we reach the same conclusion, and affirm
its decision reversing the order of dismissal. We review the record
to set forth the basis of our agreement with the Court of Appeals
that prejudice has not been established.
The District Court found that the Government had violated
Federal Rule of Criminal Procedure 6(e) by: (1) disclosing grand
jury materials to Internal Revenue Service employees having civil
tax enforcement responsibilities; (2) failing to give the court
prompt notice of such disclosures; (3) disclosing to potential
witnesses the names of targets of the investigation; and (4)
instructing two grand jury witnesses, who had represented some of
the defendants in a separate investigation
Page 487 U. S. 258
of the same tax shelters, that they were not to reveal the
substance of their testimony or that they had testified before the
grand jury. The court also found that the Government had violated
Federal Rule of Criminal Procedure 6(d) in allowing joint
appearances by IRS agents before the grand jury for the purpose of
reading transcripts to the jurors.
The District Court further concluded that one of the prosecutors
improperly argued with an expert witness during a recess of the
grand jury after the witness gave testimony adverse to the
Government. It also held that the Government had violated the
witness immunity statute, 18 U.S.C. §§ 6002, 6003, by the
use of "pocket immunity" (immunity granted on representation of the
prosecutor, rather than by order of a judge), and that the
Government caused IRS agents to mischaracterize testimony given in
prior proceedings. Furthermore, the District Court found that the
Government violated the Fifth Amendment by calling a number of
witnesses for the sole purpose of having them assert their
privilege against self-incrimination, and that it had violated the
Sixth Amendment by conducting postindictment interviews of several
high-level employees of The Bank of Nova Scotia. Finally, the court
concluded that the Government had caused IRS agents to be sworn as
agents of the grand jury, thereby elevating their credibility.
As we have noted, no constitutional error occurred during the
grand jury proceedings. The Court of Appeals concluded that the
District Court's findings of Sixth Amendment postindictment
violations were unrelated to the grand jury's independence and
decisionmaking process because the alleged violations occurred
after the indictment. We agree that it was improper for
the District Court to cite such matters in dismissing the
indictment. The Court of Appeals also found that no Fifth Amendment
violation occurred as a result of the Government's calling seven
witnesses to testify despite an avowed intention to invoke their
Fifth Amendment privilege. We agree that, in the circumstances of
these cases,
Page 487 U. S. 259
calling the witnesses was not error. The Government was not
required to take at face value the unsworn assertions made by these
witnesses outside the grand jury room. Once a witness invoked the
privilege on the record, the prosecutors immediately ceased all
questioning. Throughout the proceedings, moreover, the prosecution
repeated the caution to the grand jury that it was not to draw any
adverse inference from a witness' invocation of the Fifth
Amendment. App. 109, 130-131, 131-132, 155, 169-170.
In the cases before us, we do not inquire whether the grand
Jury's independence was infringed. Such an infringement may result
in grave doubt as to a violation's effect on the grand jury's
decision to indict, but we did not grant certiorari to review this
conclusion. We note that the Court of Appeals found that the
prosecution's conduct was not "a significant infringement on the
grand jury's ability to exercise independent judgment," 821 F.2d at
1475, and we accept that conclusion here. Finally, we note that we
are not faced with a history of prosecutorial misconduct, spanning
several cases, that is so systematic and pervasive as to raise a
substantial and serious question about the fundamental fairness of
the process which resulted in the indictment.
We must address, however, whether, despite the grand jury's
independence, there was any misconduct by the prosecution that
otherwise may have influenced substantially the grand jury's
decision to indict, or whether there is grave doubt as to whether
the decision to indict was so influenced. Several instances of
misconduct found by the District Court -- that the prosecutors
manipulated the grand jury investigation to gather evidence for use
in civil audits; violated the secrecy provisions of Rule 6(e) by
publicly identifying the targets and the subject matter of the
grand jury investigation; and imposed secrecy obligations in
violation of Rule 6(e) upon grand jury witnesses -- might be
relevant to an allegation of a purpose or intent to abuse the grand
jury process. Here, however, it is plain that these alleged
breaches could
Page 487 U. S. 260
not have affected the charging decision. We have no occasion to
consider them further.
We are left to consider only the District Court's findings that
the prosecutors: (1) fashioned and administered unauthorized
"oaths" to IRS agents in violation of Rule 6(c); (2) caused the
same IRS agents to "summarize" evidence falsely and to assert
incorrectly that all the evidence summarized by them had been
presented previously to the grand jury; (3) deliberately berated
and mistreated an expert witness for the defense in the presence of
some grand jurors; (4) abused its authority by providing "pocket
immunity" to 23 grand jury witnesses; and (5) permitted IRS agents
to appear in tandem to present evidence to the grand jury in
violation of Rule 6(d). We consider each in turn.
The Government administered oaths to IRS agents, swearing them
in as "agents" of the grand jury. Although the administration of
such oaths to IRS agents by the Government was unauthorized, there
is ample evidence that the jurors understood that the agents were
aligned with the prosecutors. At various times, a prosecutor
referred to the agents as "my agent(s)," App. 96, 98, 99, 108, 110,
113, 114, 115, 117, 137, 153, 163, 165, 171, 176, and, in
discussions with the prosecutors, grand jurors referred to the
agents as "your guys" or "your agents."
Id. at 117, 157.
There is nothing in the record to indicate that the oaths
administered to the IRS agents caused their reliability or
credibility to be elevated, and the effect, if any, on the grand
jury's decision to indict was negligible.
The District Court found that, to the prejudice of petitioners,
IRS agents gave misleading and inaccurate summaries to the grand
jury just prior to the indictment. Because the record does not
reveal any prosecutorial misconduct with respect to these
summaries, they provide no ground for dismissing the indictment.
The District Court's finding that the summaries offered by IRS
agents contained evidence that had not been presented to the grand
jury in prior testimony
Page 487 U. S. 261
boils down to a challenge to the reliability or competence of
the evidence presented to the grand jury. We have held that an
indictment valid on its face is not subject to such a challenge.
United States v. Calandra, 414 U.
S. 338,
414 U. S.
344-345 (1974). To the extent that a challenge is made
to the accuracy of the summaries, the mere fact that evidence
itself is unreliable is not sufficient to require a dismissal of
the indictment.
See Costello v. United States,
350 U. S. 359,
350 U. S. 363
(1956) (holding that a court may not look behind the indictment to
determine if the evidence upon which it was based is sufficient).
In light of the record, the finding that the prosecutors knew the
evidence to be false or misleading, or that the Government caused
the agents to testify falsely, is clearly erroneous. Although the
Government may have had doubts about the accuracy of certain
aspects of the summaries, this is quite different from having
knowledge of falsity.
The District Court found that a prosecutor was abusive to an
expert defense witness during a recess and in the hearing of some
grand jurors. Although the Government concedes that the treatment
of the expert tax witness was improper, the witness himself
testified that his testimony was unaffected by this misconduct. The
prosecutors instructed the grand jury to disregard anything they
may have heard in conversations between a prosecutor and a witness,
and explained to the grand jury that such conversations should have
no influence on its deliberations. App.191. In light of these
ameliorative measures, there is nothing to indicate that the
prosecutor's conduct toward this witness substantially affected the
grand jury's evaluation of the testimony or its decision to
indict.
The District Court found that the Government granted "pocket
immunity" to 23 witnesses during the course of the grand jury
proceedings. Without deciding the propriety of granting such
immunity to grand jury witnesses, we conclude the conduct did not
have a substantial effect on the grand jury's decision to indict,
and it does not create grave doubt as
Page 487 U. S. 262
to whether it affected the grand jury's decision. Some
prosecutors told the grand jury that immunized witnesses retained
their Fifth Amendment privilege, and could refuse to testify, while
other prosecutors stated that the witnesses had no Fifth Amendment
privilege, but we fail to see how this could have had a substantial
effect on the jury's assessment of the testimony or its decision to
indict. The significant point is that the jurors were made aware
that these witnesses had made a deal with the Government.
Assuming the Government had threatened to withdraw immunity from
a witness in order to manipulate that witness' testimony, this
might have given rise to a finding of prejudice. There is no
evidence in the record, however, that would support such a finding.
The Government told a witness' attorney that, if the witness
"testified for Mr. Kilpatrick, all bets were off." The attorney,
however, ultimately concluded that the prosecution did not mean to
imply that immunity would be withdrawn if his client testified for
Kilpatrick, but rather that his client would be validly subject to
prosecution for perjury. 594 F. Supp. at 1338. Although the
District Court found that the Government's statement was
interpreted by the witness to mean that, if he testified favorably
for Kilpatrick, his immunity would be withdrawn,
ibid.,
neither Judge Winner nor Judge Kane made a definitive finding that
the Government improperly threatened the witness. The witness may
have felt threatened by the prosecutor's statement, but his
subjective fear cannot be ascribed to governmental misconduct, and
was, at most, a consideration bearing on the reliability of his
testimony.
Finally, the Government permitted two IRS agents to appear
before the grand jury at the same time for the purpose of reading
transcripts. Although allowing the agents to read to the grand jury
in tandem was a violation of Rule 6(d), it was not prejudicial. The
agents gave no testimony of their own during the reading of the
transcripts. The grand jury was instructed not to ask any
questions, and the agents were
Page 487 U. S. 263
instructed not to answer any questions during the readings.
There is no evidence that the agents' reading in tandem enhanced
the credibility of the testimony or otherwise allowed the agents to
exercise undue influence.
In considering the prejudicial effect of the foregoing instances
of alleged misconduct, we note that these incidents occurred as
isolated episodes in the course of a 20-month investigation, an
investigation involving dozens of witnesses and thousands of
documents. In view of this context, those violations that did occur
do not, even when considered cumulatively, raise a substantial
question, much less a grave doubt, as to whether they had a
substantial effect on the grand jury's decision to charge.
Errors of the kind alleged in these cases can be remedied
adequately by means other than dismissal. For example, a knowing
violation of Rule 6 may be punished as a contempt of court.
See Fed.Rule Crim.Proc. 6(e)(2). In addition, the court
may direct a prosecutor to show cause why he should not be
disciplined, and request the bar or the Department of Justice to
initiate disciplinary proceedings against him. The court may also
chastise the prosecutor in a published opinion. Such remedies allow
the court to focus on the culpable individual, rather than granting
a windfall to the unprejudiced defendant.
IV
We conclude that the District Court had no authority to dismiss
the indictment on the basis of prosecutorial misconduct absent a
finding that petitioners were prejudiced by such misconduct. The
prejudicial inquiry must focus on whether any violations had an
effect on the grand jury's decision to indict. If violations did
substantially influence this decision, or if there is grave doubt
that the decision to indict was free from such substantial
influence, the violations cannot be deemed harmless. The record
will not support the
Page 487 U. S. 264
conclusion that petitioners can meet this standard. The judgment
of the Court of Appeals is affirmed.
It is so ordered.
* Together with No. 87-602,
Kilpatrick et al. v. United
States, also on certiorari to the same court.
JUSTICE SCALIA, concurring.
I agree that every United States court has an inherent
supervisory authority over the proceedings conducted before it,
which assuredly includes the power to decline to proceed on the
basis of an indictment obtained in violation of the law. I also
agree that we have authority to review lower courts' exercise of
this supervisory authority, insofar as it affects the judgments
brought before us, though I do not see the basis for any direct
authority to supervise lower courts.
Cf. Frazier v. Heebe,
482 U. S. 641,
482 U. S.
651-652 (1987) (REHNQUIST, C.J., dissenting). Even less
do I see a basis for any court's "supervisory powers to discipline
the prosecutors of its jurisdiction,"
United States v.
Hasting, 461 U. S. 499,
461 U. S. 505
(1983), except insofar as concerns their performance before the
court and their qualifications to be members of the court's
bar.
I join the opinion of the Court because I understand the
supervisory power at issue here to be of the first sort.
JUSTICE MARSHALL, dissenting.
I cannot concur in the Court's decision to apply harmless error
analysis to violations of Rule 6 of the Federal Rules of Criminal
Procedure. I already have outlined my objections to the Court's
approach, which converts "Congress' command regarding the proper
conduct of grand jury proceedings to a mere form of words, without
practical effect."
United States v. Mechanik, 475 U. S.
66,
475 U. S. 84
(1986) (MARSHALL, J., dissenting). Because of the strict protection
of the secrecy of grand jury proceedings, instances of
prosecutorial misconduct rarely come to light. This is especially
true in the pretrial setting, because defendants' chief source of
information about grand jury proceedings is governmental
disclosures under the Jencks Act, 18 U.S.C. § 3500, which do
not
Page 487 U. S. 265
occur until trial is underway. The fact that a prosecutor knows
that a Rule 6 violation is unlikely to be discovered gives the Rule
little enough bite. To afford the occasional revelation of
prosecutorial misconduct the additional insulation of harmless
error analysis leaves Rule 6 toothless. Moreover, as I argued in
Mechanik, in this context,
"[a]ny case-by-case analysis to determine whether the defendant
was actually prejudiced is simply too speculative to afford
defendants meaningful protection, and imposes a difficult burden on
the courts that outweighs the benefits to be derived."
475 U.S. at
475 U. S. 86.
Given the nature of grand jury proceedings, Rule 6 violations can
be deterred and redressed effectively only by a
per se
rule of dismissal. Today's decision reduces Rule 6 to little more
than a code of honor that prosecutors can violate with virtual
impunity. I respectfully dissent.