The US Supreme Court will hear oral arguments by telephone conference on May 4, 5, 6, 11, 12 and 13 in a limited number of previously postponed cases. The following cases will be assigned argument dates after the Clerk’s Office has confirmed the availability of counsel:
18-9526, McGirt v. Oklahoma 19-46, United States Patent and Trademark Office v. Booking.com B.V. 19-177, Agency for International Development v. Alliance for Open Society International, Inc. 19-267, Our Lady of Guadalupe School v. Morrissey-Berru, and 19-348, St. James School v. Biel 19-431, Little Sisters of the Poor Saints Peter and Paul Home v. Pennsylvania, and 19-454, Trump v. Pennsylvania 19-465, Chiafalo v. Washington 19-518, Colorado Department of State v. Baca 19-631, Barr v. American Association of Political Consultants, Inc. 19-635, Trump v. Vance 19-715, Trump v. Mazars USA, LLP, and 19-760, Trump v. Deutsche Bank AG
In keeping with public health guidance in response to COVID-19, the Justices and counsel will all participate remotely. The Court anticipates providing a live audio feed of these arguments to news media. Details will be shared as they become available.
The Court Building remains open for official business, but most Court personnel are teleworking. The Court Building remains closed to the public until further notice.
The Court will use a teleconferencing system that will call counsel the morning of argument. All counsel for the cases to be argued that day will be called simultaneously at approximately 9:15 a.m. and will all be placed on a conference call with the Clerk of the Court, Scott Harris, to receive any last-minute instructions and to ask any remaining questions they may have. Once that briefing is completed, the phone lines for counsel will be muted, and counsel will remain on this same line until approximately 9:50 a.m. At that time, counsel will all be moved to the main conference call to await the beginning of argument.
At 10 a.m., the Justices will enter the main conference call, and the Marshal of the Court, Pamela Talkin, will cry the Court. The Chief Justice will call the first case, and he will acknowledge the first counsel to argue. Following the usual practice, the Court generally will not question lead counsel for petitioners and respondents during the first two minutes of argument. Where argument is divided and counsel represents an amicus or an additional party, the Court generally will not ask questions for one minute. At the end of this time, the Chief Justice will have the opportunity to ask questions. When his initial questioning is complete, the Associate Justices will then have the opportunity to ask questions in turn in order of seniority. If there is time remaining once all Justices have had the opportunity to question counsel, there may be additional questioning.
Once the time for the first counsel’s argument has expired, the Chief Justice will thank counsel for their argument, and acknowledge the next attorney. This process will continue until argument in the case is complete. Counsel for the petitioner in each case will be allotted three minutes for rebuttal. If there is a second case to be argued that day, the Chief Justice will call that case promptly after the end of the first argument, and the same process will be followed. The Marshal will announce the conclusion of arguments.
Monday, May 4: Booking.com trademark
10 a.m. ET: U.S. Patent and Trademark Office v. Booking.com B.V.
Summary: Generic terms cannot be trademarked, but Booking.com wants to trademark its name.This case is about whether generic terms can become protected trademarks by the addition of a generic “.com” domain.
Attorneys: Government attorney Erica Ross, Booking.com attorney Lisa Blatt.
Tuesday, May 5: Aid for HIV program
10 a.m.. ET: USAID v. Alliance for Open Society International
Summary: A new twist on an old case. In 2013, the justices said the government had violated the First Amendment by making funding for U.S. nonprofits contingent on those nonprofits trumpeting the government’s policy position on key issues. The case is back, but this time the question before the court is whether it’s unconstitutional if the government makes funding contingent for foreign-based affiliates of those same U.S. nonprofits.
Wednesday, May 6: Birth control access & Robocalls
10 a.m.ET: Little Sisters of the Poor v. Pennsylvania consolidated with Trump v. Pennsylvania
Summary: The court considers a Trump administration rule that would allow employers with religious or moral objections to birth control to limit their employees’ access to free birth control under the Affordable Care Act.
11 a.m. ET:Barr v. American Association of Political Consultants
Summary: In 1991, Congress passed a law that prohibits most robocalls. In 2015, Congress created an exception for government debt collection. Political groups, which want to use robocalls to raise money and turn out voters, are challenging the act as a violation of their First Amendment free speech rights.
Monday, May 11: Native American land & Religious freedom
10 a.m. ET:McGirt v. Oklahoma
Summary: On the surface, this case is about whether states, like Oklahoma, can prosecute members of Native American tribes for crimes committed in the historical bounds of tribal land. But it has implications for state power over thousands of miles of land in Oklahoma that has historically belonged to Creek, Cherokee, Seminole, Chickasaw and Choctaw tribes.
11 a.m.ET: Our Lady of Guadalupe School v. Morrissey-Berru consolidated with St. James School v. Biel
Summary: A freedom of religion case that tests whether lay teachers at parochial schools are protected by federal laws barring discrimination based on race, gender, age and disability; or whether, as the schools here maintain, their lay teachers are exempt from the protection of those laws. The case has potential implications for the millions of Americans employed not just by parochial schools but also by religiously affiliated hospitals, charities and universities.
Tuesday, May 12: Trump finances
10 a.m. ET: Trump v. Mazars consolidated with Trump v. Deutsche Bank AG; Trump v. Vance
Summary: These cases involve subpoenas for some of Trump’s pre-presidential financial records. Two consolidated cases — Trump v. Mazars and Trump v. Deutsche Bank — ask whether Congress has the power to subpoena the president’s personal records except during an impeachment proceeding; Trump v. Vance addresses a New York grand jury subpoena for those same records in the course of a criminal investigation.
Wednesday, May 13: Faithless electors
10 a.m. ET: Chiafalo v. Washington; Colorado Department of State v. Baca
Summary: Both cases involve so-called faithless electors — Electoral College delegates who fail to vote for the presidential candidate they were pledged to support. At issue is whether states can punish or remove such electors in order to ensure that the state’s electors accurately represent the state’s vote.
If the court that hears a case could profit from the fines imposed upon and paid by defendants, that’s a violation of the Due Process Clause of the Constitution.
The rulings have capable implications for similar conflicts of interest in the criminal criminal justice system.
In two rulings recently issued the US Court of Appeals for the Fifth Circuit ruled that criminal court judges in New Orleans, Louisiana have an unconstitutional conflict of interest, because the money collected from fees and fines imposed on defendants goes to subsidize their courts’ operations.
Nick Sibilla of the Institute for Justice summarizes the two cases in an article for Forbes:
Despite Congress abolishing debtors’ prisons in 1833, and the U.S. Supreme Court declaring them unconstitutional 150 years later, today, thousands of Americans are locked up for failing to pay their debts to the state. But in a one-two punch against modern-day debtor’s prisons, the U.S. Fifth Circuit Court of Appeals issued two unanimous decisions that declared that criminal court judges in New Orleans have an unconstitutional conflict of interest in collecting fines and fees.
Due to their “institutional interest” in generating court revenue (a “substantial portion” of their budget), the judges of the Orleans Parish Criminal District Court “failed to provide a neutral forum,” which in turn violated the constitutional right to due process.
The first case,Cain v. White,centered around half a dozen criminal defendants who pled guilty and subsequently faced fines and fees ranging from $148 to $901.50. When they couldn’t pay up, OPCDC authorized warrants for their arrest, threw them in jail, and set their bond at $20,000….
Distressingly, some of the fines and fees were deposited into a “Judicial Expense Fund,” which the Orleans Parish judges have “exclusive authority” over. One quarter of the Fund’s revenue—around $1 million—comes directly from the fines and fees the court collects.
Though judges can’t use the Fund to pad their own salaries, they can use it to pay the salaries and benefits of court personnel, as well as a wide array of miscellaneous expenses, including conferences, coffee, drug testing, and pest control.
In a similar vein, the second decision,Caliste v. Cantrell, involved a Louisiana law that sent 1.8% of a commercial bail bond’s value towards the same Fund.
As the Fifth Circuit noted, “The bond fees are a major funding source for the Judicial Expense Fund, contributing between 20–25% of the amount spent in recent years.”
Judge Gregg Costa’s opinion inCalistesummarizes the legal issue involved:
“No man can be judge in his own case.” Edward Coke, INSTITUTES OF THE LAWS OF ENGLAND, § 212, 141 (1628). That centuries-old maxim comes from Lord Coke’s ruling that a judge could not be paid with the fines he imposed.Dr. Bonham’s Case, 8 Co. Rep. 107a, 118a, 77 Eng. Rep. 638, 652 (C.P. 1610). Almost a century ago, the Supreme Court recognized that principle as part of the due process requirement of an impartial tribunal.Tumey v. Ohio,273 U.S. 510, 523 (1927).
This case does not involve a judge who receives money based on the decisions he makes. But the magistrate in the Orleans Parish Criminal District Court receives something almost as important: funding for various judicial expenses, most notably money to help pay for court reporters, judicial secretaries, and law clerks. What does this court funding depend on? The bail decisions the magistrate makes that determine whether a defendant obtains pretrial release. When a defendant has to buy a commercial surety bond, a portion of the bond’s value goes to a fund for judges’ expenses. So the more often the magistrate requires a secured money bond as a condition of release, the more money the court has to cover expenses. And the magistrate is a member of the committee that allocates those funds….
“Every procedure which would offer a possible temptation to theaverageman as a judgeto forget the burden of proof required to convict the defendant… denies the latter due process of law.” [Tumey,273 U.S.] at 532…..
Judge Cantrell has a direct and personal interest in the fiscal health of the public institution that benefits from the fees his court generates and that he also helps allocate….
His dual role—the sole source of essential court funds and an appropriator of them—creates a direct, personal, and substantial interest in the outcome of decisions that would make the average judge vulnerable to the “temptation . . . not to hold the balance nice, clear, and true.”Tumey, 273 U.S. at 532. The current arrangement pushes beyond what due process allows.
A recent Michigan Supreme Court ruling on police searches of passengers during traffic stops can give people more power to challenge such probes and is expected to affect police training in Metro Detroit and across the state, officials and legal experts say.
“The opinion protects Michigan citizens and visitors against unreasonable police searches,” said Michael Faraone, the Lansing-based attorney for the passenger whose case sparked the decision. “It is a change in Michigan law. State and local police will need to be retrained on what is allowed.”
On Monday, the court ruled in favor of a passenger, Larry Mead, who claimed his rights were violated when police in Jackson County searched his backpack in May 2014 without his consent.
A sheriff’s deputy had stopped the car he was riding in with an expired plate driven by a woman Mead had met earlier that night. The driver was giving him a lift, the ruling said.
The deputy looked in Mead’s backpack after the driver consented to a search of her car. The backpack held marijuana and methamphetamine.
Mead eventually was arrested, convicted as a fourth-offense habitual offender and sentenced to serve two to 10 years in prison.
In its unanimous decision, the state Supreme Court said the search was unconstitutional.
“…A passenger’s personal property is not subsumed by the vehicle that carries it for Fourth Amendment purposes,” the ruling stated, referring to the amendment that protects against unreasonable searches and seizures. “…A person can get in a car without leaving his Fourth Amendment rights at the curb.”
The decision overruled the court’s previous 2007 decision that stopped passengers from challenging a search of a car in which they were traveling.
McCormack compared the situation to someone using a ride-sharing service.
“Because (the driver) did not have apparent common authority over the backpack, the search of the backpack was not based on valid consent and is per se unreasonable unless another exception to the warrant requirement applies,” the court ruled.
The ruling is significant “because it cleared up an area in which the Supreme Court had gotten the law wrong,” said David Moran, a University of Michigan law professor who leads theMichigan Innocence Clinic. “…The Fourth Amendment is all about common sense and reasonable expectations of privacy and social norms. It’s just common sense that the police will now need to ask passengers: ‘Mind if I search that bag?’”
In a statement,Michigan State Policespokeswoman Shanon Banner said: “We are reviewing the ruling and will publish a legal update to ensure our members are aware of the case-specific circumstances of this ruling.”
Komorn Law has associated our law firm expanding its cannabis and hemp industry services across the globe. If you are thinking about starting a business in this area you will need legal guidance and corporate counsel.
WASHINGTON — Siding with a small-time drug offender in Indiana whose $42,000 Land Rover was seized by law enforcement officials, the Supreme Court on Wednesday ruled that the Constitution places limits on civil forfeiture laws that allow states and localities to take and keep private property used to commit crimes.
Civil forfeiture is a popular way to raise revenue, and its use has been the subject of widespread criticism across the political spectrum.
The SCOTUS has ruled that the Eighth Amendment, which bars “excessive fines,” limits the ability of the federal government to seize property. On Wednesday, the court ruled that the clause also applies to the states.
Previously, the Supreme Court had not really addressed that question. It had addressed the status of the Excessive Fines Clause, but only in the context of the federal government.
The court had, however, previously ruled that most protections under the Bill of Rights apply to the states — or were incorporated against them, in the legal jargon — under the 14th Amendment.
Justice Ruth Bader Ginsburg, writing for eight justices, said the question was an easy one. “The historical and logical case for concluding that the 14th Amendment incorporates the Excessive Fines Clause is overwhelming,” she wrote.
“For good reason, the protection against excessive fines has been a constant shield throughout Anglo-American history: Exorbitant tolls undermine other constitutional liberties,” she wrote. “Excessive fines can be used, for example, to retaliate against or chill the speech of political enemies.”
Justice Scalia delivered the opinion of the Court, except as to Part IV.
We decide whether violation of the “knock-and-announce” rule requires the suppression of all evidence found in the search.
I
Police obtained a warrant authorizing a search for drugs and firearms at the home of petitioner Booker Hudson. They discovered both. Large quantities of drugs were found, including cocaine rocks in Hudson’s pocket. A loaded gun was lodged between the cushion and armrest of the chair in which he was sitting. Hudson was charged under Michigan law with unlawful drug and firearm possession.
This case is before us only because of the method of entry into the house. When the police arrived to execute the warrant, they announced their presence, but waited only a short time—perhaps “three to five seconds,” App. 15—before turning the knob of the unlocked front door and entering Hudson’s home. Hudson moved to suppress all the inculpatory evidence, arguing that the premature entry violated his Fourth Amendment rights.
The Michigan trial court granted his motion. On interlocutory review, the Michigan Court of Appeals reversed, relying on Michigan Supreme Court cases holding that suppression is inappropriate when entry is made pursuant to warrant but without proper “ ‘knock and announce.’ ” App. to Pet. for Cert. 4 (citing People v. Vasquez, 461 Mich. 235, 602 N. W. 2d 376 (1999) (per curiam);People v. Stevens, 460 Mich. 626, 597 N. W. 2d 53 (1999)). The Michigan Supreme Court denied leave to appeal. 465 Mich. 932, 639 N. E. 2d 255 (2001). Hudson was convicted of drug possession. He renewed his Fourth Amendment claim on appeal, but the Court of Appeals rejected it and affirmed the conviction. App. to Pet. for Cert. 1–2. The Michigan Supreme Court again declined review. 472 Mich. 862, 692 N. W. 2d 385 (2005). We granted certiorari. 545 U. S. ___ (2005).
II
The common-law principle that law enforcement officers must announce their presence and provide residents an opportunity to open the door is an ancient one. See Wilson v. Arkansas,514 U. S. 927, 931–932 (1995) . Since 1917, when Congress passed the Espionage Act, this traditional protection has been part of federal statutory law, see 40 Stat. 229, and is currently codified at 18 U. S. C. §3109. We applied that statute in Miller v. United States,357 U. S. 301 (1958) , and again in Sabbath v. United States,391 U. S. 585 (1968) . Finally, in Wilson, we were asked whether the rule was also a command of the Fourth Amendment . Tracing its origins in our English legal heritage, 514 U. S., at 931–936, we concluded that it was.
We recognized that the new constitutional rule we had announced is not easily applied. Wilson and cases following it have noted the many situations in which it is not necessary to knock and announce. It is not necessary when “circumstances presen[t] a threat of physical violence,” or if there is “reason to believe that evidence would likely be destroyed if advance notice were given,” id., at 936, or if knocking and announcing would be “futile,” Richards v. Wisconsin,520 U. S. 385,394 (1997) . We require only that police “have a reasonable suspicion … under the particular circumstances” that one of these grounds for failing to knock and announce exists, and we have acknowledged that “[t]his showing is not high.” Ibid.
When the knock-and-announce rule does apply, it is not easy to determine precisely what officers must do. How many seconds’ wait are too few? Our “reasonable wait time” standard, see United States v. Banks, 540 U. S. 31, 41 (2003) , is necessarily vague. Banks (a drug case, like this one) held that the proper measure was not how long it would take the resident to reach the door, but how long it would take to dispose of the suspected drugs—but that such a time (15 to 20 seconds in that case) would necessarily be extended when, for instance, the suspected contraband was not easily concealed. Id., at 40–41. If our ex post evaluation is subject to such calculations, it is unsurprising that, ex ante, police officers about to encounter someone who may try to harm them will be uncertain how long to wait.
Happily, these issues do not confront us here. From the trial level onward, Michigan has conceded that the entry was a knock-and-announce violation. The issue here is remedy. Wilson specifically declined to decide whether the exclusionary rule is appropriate for violation of the knock-and-announce requirement. 514 U. S., at 937, n. 4. That question is squarely before us now.
III
A
In Weeks v. United States,232 U. S. 383 (1914) , we adopted the federal exclusionary rule for evidence that was unlawfully seized from a home without a warrant in violation of the Fourth Amendment . We began applying the same rule to the States, through the Fourteenth Amendment, in Mapp v. Ohio,367 U. S. 643 (1961) .
Suppression of evidence, however, has always been our last resort, not our first impulse. The exclusionary rule generates “substantial social costs,” United States v. Leon,468 U. S. 897, 907(1984) , which sometimes include setting the guilty free and the dangerous at large. We have therefore been “cautio[us] against expanding” it, Colorado v. Connelly,479 U. S. 157, 166 (1986) , and “have repeatedly emphasized that the rule’s ‘costly toll’ upon truth-seeking and law enforcement objectives presents a high obstacle for those urging [its] application,” Pennsylvania Bd. of Probation and Parole v. Scott,524 U. S. 357, 364–365 (1998) (citation omitted). We have rejected “[i]ndiscriminate application” of the rule, Leon, supra, at 908,and have held it to be applicable only “where its remedial objectives are thought most efficaciously served,” United States v. Calandra,414 U. S. 338, 348 (1974) —that is, “where its deterrence benefits outweigh its ‘substantial social costs,’ ” Scott,supra, at 363 (quoting Leon, supra, at 907).
We did not always speak so guardedly. Expansive dicta in Mapp, for example, suggested wide scope for the exclusionary rule. See, e.g., 367 U. S., at 655 (“[A]ll evidence obtained by searches and seizures in violation of the Constitution is, by that same authority, inadmissible in a state court”). Whiteley v. Warden, Wyo. State Penitentiary,401 U. S. 560, 568–569 (1971) , was to the same effect. But we have long since rejected that approach. As explained in Arizona v. Evans,514 U. S. 1, 13 (1995) : “In Whiteley, the Court treated identification of a Fourth Amendment violation as synonymous with application of the exclusionary rule to evidence secured incident to that violation. Subsequent case law has rejected this reflexive application of the exclusionary rule.” (Citation omitted.) We had said as much in Leon, a decade earlier, when we explained that “[w]hether the exclusionary sanction is appropriately imposed in a particular case, . . . is ‘an issue separate from the question whether the Fourth Amendment rights of the party seeking to invoke the rule were violated by police conduct.’ ” 468 U. S., at 906 (quoting Illinois v. Gates, 462 U. S. 213, 223 (1983) ).
In other words, exclusion may not be premised on the mere fact that a constitutional violation was a “but-for” cause of obtaining evidence. Our cases show that but-for causality is only a necessary, not a sufficient, condition for suppression. In this case, of course, the constitutional violation of an illegal manner of entry was not a but-for cause of obtaining the evidence. Whether that preliminary misstep had occurred or not, the police would have executed the warrant they had obtained, and would have discovered the gun and drugs inside the house. But even if the illegal entry here could be characterized as a but-for cause of discovering what was inside, we have “never held that evidence is ‘fruit of the poisonous tree’ simply because ‘it would not have come to light but for the illegal actions of the police.’ ” Segura v. United States,468 U. S. 796,815 (1984) . See also id., at 829 (Stevens, J., dissenting) (“We have not … mechanically applied the [exclusionary] rule to every item of evidence that has a causal connection with police misconduct”). Rather, but-for cause, or “causation in the logical sense alone,” United States v. Ceccolini, 435 U. S. 268, 274 (1978) , can be too attenuated to justify exclusion, id., at 274–275. Even in the early days of the exclusionary rule, we declined to
“hold that all evidence is ‘fruit of the poisonous tree’ simply because it would not have come to light but for the illegal actions of the police. Rather, the more apt question in such a case is ‘whether, granting establishment of the primary illegality, the evidence to which instant objection is made has been come at by exploitation of that illegality or instead by means sufficiently distinguishable to be purged of the primary taint.’ ” Wong Sun v. United States,371 U. S. 471,487–488 (1963) (quoting J. Maguire, Evidence of Guilt 221 (1959) (emphasis added)).
Attenuation can occur, of course, when the causal connection is remote. See, e.g.,Nardone v. United States, 308 U. S. 338, 341 (1939) . Attenuation also occurs when, even given a direct causal connection, the interest protected by the constitutional guarantee that has been violated would not be served by suppression of the evidence obtained. “The penalties visited upon the Government, and in turn upon the public, because its officers have violated the law must bear some relation to the purposes which the law is to serve.” Ceccolini, supra, at 279. Thus, in New York v. Harris,495 U. S. 14 (1990) , where an illegal warrantless arrest was made in Harris’ house, we held that
“suppressing [Harris’] statement taken outside the house would not serve the purpose of the rule that made Harris’ in-house arrest illegal. The warrant requirement for an arrest in the home is imposed to protect the home, and anything incriminating the police gathered from arresting Harris in his home, rather than elsewhere, has been excluded, as it should have been; the purpose of the rule has thereby been vindicated.” Id., at 20.
For this reason, cases excluding the fruits of unlawful warrantless searches, see, e.g., Boyd v. United States,116 U. S. 616 (1886) ; Weeks, 232 U. S. 383 ; Silverthorne Lumber Co. v. United States,251 U. S. 385 (1920) ; Mapp, supra, say nothing about the appropriateness of exclusion to vindicate the interests protected by the knock-and-announce requirement. Until a valid warrant has issued, citizens are entitled to shield “their persons, houses, papers, and effects,” U. S. Const., Amdt. 4, from the government’s scrutiny. Exclusion of the evidence obtained by a warrantless search vindicates that entitlement. The interests protected by the knock-and-announce requirement are quite different—and do not include the shielding of potential evidence from the government’s eyes.
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One of those interests is the protection of human life and limb, because an unannounced entry may provoke violence in supposed self-defense by the surprised resident. See, e.g., McDonald v. United States,335 U. S. 451, 460–461 (1948) (Jackson, J., concurring). See also Sabbath, 391 U. S., at 589; Miller, 357 U. S., at 313, n. 12. Another interest is the protection of property. Breaking a house (as the old cases typically put it) absent an announcement would penalize someone who “ ‘did not know of the process, of which, if he had notice, it is to be presumed that he would obey it … .’ ” Wilson, 514 U. S., at 931–932 (quoting Semayne’s Case, 5 Co. Rep. 91a, 91b, 77 Eng. Rep. 194, 195–196 (K. B. 1603)). The knock-and-announce rule gives individuals “the opportunity to comply with the law and to avoid the destruction of property occasioned by a forcible entry.”Richards, 520 U. S., at 393, n. 5. See also Banks, 540 U. S., at 41. And thirdly, the knock-and-announce rule protects those elements of privacy and dignity that can be destroyed by a sudden entrance. It gives residents the “opportunity to prepare themselves for” the entry of the police.Richards, 520 U. S., at 393, n. 5. “The brief interlude between announcement and entry with a warrant may be the opportunity that an individual has to pull on clothes or get out of bed.” Ibid. In other words, it assures the opportunity to collect oneself before answering the door.
What the knock-and-announce rule has never protected, however, is one’s interest in preventing the government from seeing or taking evidence described in a warrant. Since the interests that were violated in this case have nothing to do with the seizure of the evidence, the exclusionary rule is inapplicable.
B
Quite apart from the requirement of unattenuated causation, the exclusionary rule has never been applied except “where its deterrence benefits outweigh its ‘substantial social costs,’ ” Scott,524 U. S., at 363 (quoting Leon, 468 U. S., at 907). The costs here are considerable. In addition to the grave adverse consequence that exclusion of relevant incriminating evidence always entails (viz., the risk of releasing dangerous criminals into society), imposing that massive remedy for a knock-and-announce violation would generate a constant flood of alleged failures to observe the rule, and claims that any asserted Richards justification for a no-knock entry, see 520 U. S., at 394, had inadequate support. Cf. United States v. Singleton, 441 F. 3d 290, 293–294 (CA4 2006). The cost of entering this lottery would be small, but the jackpot enormous: suppression of all evidence, amounting in many cases to a get-out-of-jail-free card. Courts would experience as never before the reality that “[t]he exclusionary rule frequently requires extensive litigation to determine whether particular evidence must be excluded.” Scott, supra, at 366. Unlike the warrant or Miranda requirements, compliance with which is readily determined (either there was or was not a warrant; either the Miranda warning was given, or it was not), what constituted a “reasonable wait time” in a particular case, Banks, supra, at 41 (or, for that matter, how many seconds the police in fact waited), or whether there was “reasonable suspicion” of the sort that would invoke the Richards exceptions, is difficult for the trial court to determine and even more difficult for an appellate court to review.
Another consequence of the incongruent remedy Hudson proposes would be police officers’ refraining from timely entry after knocking and announcing. As we have observed, see supra, at 3, the amount of time they must wait is necessarily uncertain. If the consequences of running afoul of the rule were so massive, officers would be inclined to wait longer than the law requires—producing preventable violence against officers in some cases, and the destruction of evidence in many others. See Gates, 462 U. S., at 258. We deemed these consequences severe enough to produce our unanimous agreement that a mere “reasonable suspicion” that knocking and announcing “under the particular circumstances, would be dangerous or futile, or that it would inhibit the effective investigation of the crime,” will cause the requirement to yield. Richards, supra, at 394.
Next to these “substantial social costs” we must consider the deterrence benefits, existence of which is a necessary condition for exclusion. (It is not, of course, a sufficient condition: “[I]t does not follow that the Fourth Amendment requires adoption of every proposal that might deter police misconduct.” Calandra, 414 U. S., at 350; see also Leon, supra, at 910.) To begin with, the value of deterrence depends upon the strength of the incentive to commit the forbidden act. Viewed from this perspective, deterrence of knock-and-announce violations is not worth a lot. Violation of the warrant requirement sometimes produces incriminating evidence that could not otherwise be obtained. But ignoring knock-and-announce can realistically be expected to achieve absolutely nothing except the prevention of destruction of evidence and the avoidance of life-threatening resistance by occupants of the premises—dangers which, if there is even “reasonable suspicion” of their existence, suspend the knock-and-announce requirement anyway. Massive deterrence is hardly required.
It seems to us not even true, as Hudson contends, that without suppression there will be no deterrence of knock-and-announce violations at all. Of course even if this assertion were accurate, it would not necessarily justify suppression. Assuming (as the assertion must) that civil suit is not an effective deterrent, one can think of many forms of police misconduct that are similarly “undeterred.” When, for example, a confessed suspect in the killing of a police officer, arrested (along with incriminating evidence) in a lawful warranted search, is subjected to physical abuse at the station house, would it seriously be suggested that the evidence must be excluded, since that is the only “effective deterrent”? And what, other than civil suit, is the “effective deterrent” of police violation of an already-confessed suspect’s Sixth Amendment rights by denying him prompt access to counsel? Many would regard these violated rights as more significant than the right not to be intruded upon in one’s nightclothes—and yet nothing but “ineffective” civil suit is available as a deterrent. And the police incentive for those violations is arguably greater than the incentive for disregarding the knock-and-announce rule.
We cannot assume that exclusion in this context is necessary deterrence simply because we found that it was necessary deterrence in different contexts and long ago. That would be forcing the public today to pay for the sins and inadequacies of a legal regime that existed almost half a century ago. Dollree Mapp could not turn to 42 U. S. C. §1983 for meaningful relief; Monroe v. Pape,365 U. S. 167 (1961) , which began the slow but steady expansion of that remedy, was decided the same Term as Mapp. It would be another 17 years before the §1983 remedy was extended to reach the deep pocket of municipalities, Monell v. New York City Dept. of Social Servs.,436 U. S. 658 (1978) . Citizens whose Fourth Amendment rights were violated by federal officers could not bring suit until 10 years after Mapp, with this Court’s decision in Bivens v. Six Unknown Fed. Narcotics Agents,403 U. S. 388 (1971) .
Hudson complains that “it would be very hard to find a lawyer to take a case such as this,” Tr. of Oral Arg. 7, but 42 U. S. C. §1988(b) answers this objection. Since some civil-rights violations would yield damages too small to justify the expense of litigation, Congress has authorized attorney’s fees for civil-rights plaintiffs. This remedy was unavailable in the heydays of our exclusionary-rule jurisprudence, because it is tied to the availability of a cause of action. For years after Mapp, “very few lawyers would even consider representation of persons who had civil rights claims against the police,” but now “much has changed. Citizens and lawyers are much more willing to seek relief in the courts for police misconduct.” M. Avery, D. Rudovsky, & K. Blum, Police Misconduct: Law and Litigation, p. v (3d ed. 2005); see generally N. Aron, Liberty and Justice for All: Public Interest Law in the 1980s and Beyond (1989) (describing the growth of public-interest law). The number of public-interest law firms and lawyers who specialize in civil-rights grievances has greatly expanded.
Hudson points out that few published decisions to date announce huge awards for knock-and-announce violations. But this is an unhelpful statistic. Even if we thought that only large damages would deter police misconduct (and that police somehow are deterred by “damages” but indifferent to the prospect of large §1988 attorney’s fees), we do not know how many claims have been settled, or indeed how many violations have occurred that produced anything more than nominal injury. It is clear, at least, that the lower courts are allowing colorable knock-and-announce suits to go forward, unimpeded by assertions of qualified immunity. See, e.g., Green v. Butler, 420 F. 3d 689, 700–701 (CA7 2005) (denying qualified immunity in a knock-and-announce civil suit); Holland ex rel. Overdorff v. Harrington, 268 F. 3d 1179, 1193–1196 (CA10 2001) (same); Mena v. Simi Valley, 226 F. 3d 1031, 1041–1042 (CA9 2000) (same); Gould v. Davis, 165 F. 3d 265, 270–271 (CA4 1998) (same). As far as we know, civil liability is an effective deterrent here, as we have assumed it is in other contexts. See, e.g., Correctional Services Corp. v. Malesko,534 U. S. 61, 70 (2001) (“[T]he threat of litigation and liability will adequately deter federal officers for Bivens purposes no matter that they may enjoy qualified immunity” (as violators of knock-and-announce do not)); see also Nix v. Williams,467 U. S. 431, 446 (1984) .
Another development over the past half-century that deters civil-rights violations is the increasing professionalism of police forces, including a new emphasis on internal police discipline. Even as long ago as 1980 we felt it proper to “assume” that unlawful police behavior would “be dealt with appropriately” by the authorities, United States v. Payner,447 U. S. 727 , n. 5 (1980), but we now have increasing evidence that police forces across the United States take the constitutional rights of citizens seriously. There have been “wide-ranging reforms in the education, training, and supervision of police officers.” S. Walker, Taming the System: The Control of Discretion in Criminal Justice 1950–1990, p. 51 (1993). Numerous sources are now available to teach officers and their supervisors what is required of them under this Court’s cases, how to respect constitutional guarantees in various situations, and how to craft an effective regime for internal discipline. See, e.g., D. Waksman & D. Goodman, The Search and Seizure Handbook (2d ed. 2006); A. Stone & S. DeLuca, Police Administration: An Introduction (2d ed. 1994); E. Thibault, L. Lynch, & R. McBridge, Proactive Police Management (4th ed. 1998). Failure to teach and enforce constitutional requirements exposes municipalities to financial liability. See Canton v. Harris,489 U. S. 378, 388 (1989) . Moreover, modern police forces are staffed with professionals; it is not credible to assert that internal discipline, which can limit successful careers, will not have a deterrent effect. There is also evidence that the increasing use of various forms of citizen review can enhance police accountability.
In sum, the social costs of applying the exclusionary rule to knock-and-announce violations are considerable; the incentive to such violations is minimal to begin with, and the extant deterrences against them are substantial—incomparably greater than the factors deterringwarrantless entries when Mapp was decided. Resort to the massive remedy of suppressing evidence of guilt is unjustified.
IV
A trio of cases—Segura v. United States,468 U. S. 796 (1984) ; New York v. Harris,495 U. S. 14(1990) ; and United States v. Ramirez, 523 U. S. 65 (1998) —confirms our conclusion that suppression is unwarranted in this case.
Like today’s case, Segura involved a concededly illegal entry. Police conducting a drug crime investigation waited for Segura outside an apartment building; when he arrived, he denied living there. The police arrested him and brought him to the apartment where they suspected illegal activity. An officer knocked. When someone inside opened the door, the police entered, taking Segura with them. They had neither a warrant nor consent to enter, and they did not announce themselves as police—an entry as illegal as can be. Officers then stayed in the apartment for 19 hours awaiting a search warrant. 468 U. S., at 800–801; id., at 818–819 (Stevens, J., dissenting). Once alerted that the search warrant had been obtained, the police—still inside, having secured the premises so that no evidence could be removed—conducted a search. Id., at 801. We refused to exclude the resulting evidence. We recognized that only the evidence gained from the particular violation could be excluded, see id., at 799, 804–805, and therefore distinguished the effects of the illegal entry from the effects of the legal search: “None of the information on which the warrant was secured was derived from or related in any way to the initial entry into petitioners’ apartment . . . .” Id., at 814. It was therefore “beyond dispute that the information possessed by the agents before they entered the apartment constituted an independent source for the discovery and seizure of the evidence now challenged.” Ibid.
If the search in Segura could be “wholly unrelated to the prior entry,” ibid., when the only entry was warrantless, it would be bizarre to treat more harshly the actions in this case, where the only entry was with a warrant. If the probable cause backing a warrant that was issued later in timecould be an “independent source” for a search that proceeded after the officers illegally entered and waited, a search warrant obtained before going in must have at least this much effect.1
In the second case, Harris, the police violated the defendant’s Fourth Amendment rights by arresting him at home without a warrant, contrary to Payton v. New York,445 U. S. 573 (1980) . Once taken to the station house, he gave an incriminating statement. See 495 U. S., at 15–16. We refused to exclude it. Like the illegal entry which led to discovery of the evidence in today’s case, the illegal arrest in Harris began a process that culminated in acquisition of the evidence sought to be excluded. While Harris’s statement was “the product of an arrest and being in custody,” it “was not the fruit of the fact that the arrest was made in the house rather than someplace else.” Id., at 20. Likewise here: While acquisition of the gun and drugs was the product of a search pursuant to warrant, it was not the fruit of the fact that the entry was not preceded by knock and announce.2
United States v. Ramirez, supra, involved a claim that police entry violated the Fourth Amendment because it was effected by breaking a window. We ultimately concluded that the property destruction was, under all the circumstances, reasonable, but in the course of our discussion we unanimously said the following: “[D]estruction of property in the course of a search may violate the Fourth Amendment , even though the entry itself is lawful and the fruits of the search are not subject to suppression.” Id., at 71. Had the breaking of the window been unreasonable, the Court said, it would have been necessary to determine whether there had been a “sufficient causal relationship between the breaking of the window and the discovery of the guns to warrant suppression of the evidence.” Id., at 72, n. 3. What clearer expression could there be of the proposition that an impermissible manner of entry does not necessarily trigger the exclusionary rule?
* * *
For the foregoing reasons we affirm the judgment of the Michigan Court of Appeals.
It is so ordered.
Notes
1 Justice Breyer’s insistence that the warrant in Segura was “obtained independently without use of any information found during the illegal entry,” post, at 14 (dissenting opinion), entirely fails to distinguish it from the warrant in the present case. Similarly inapposite is his appeal to Justice Frankfurter’s statement in Wolf v. Colorado, 338 U. S. 25, 28 (1949) , that the “knock at the door, … as a prelude to a search, without authority of law … [is] inconsistent with the conception of human rights enshrined in [our] history,” see post, at 17. “How much the more offensive,” Justice Breyer asserts, “when the search takes place without any knock at all,” ibid. But a no-knock entry “without authority of law” (i.e., without a search warrant) describes not this case, but Segura—where the evidence was admitted anyway. Justice Breyer’s assertion that Segura, unlike our decision in the present case, had no effect on deterrence, see post, at 23, does not comport with the views of the Segura dissent. See, e.g., 468 U. S., at 817 (Stevens, J., dissenting) (“The Court’s disposition, I fear, will provide government agents with an affirmative incentive to engage in unconstitutional violations of the privacy of the home”).
2 Harris undermines two key points of the dissent. First, the claim that “whether the interests underlying the knock-and-announce rule are implicated in any given case is, in a sense, beside the point,” post, at 18. This is flatly refuted by Harris’s plain statement that the reason for a rule must govern the sanctions for the rule’s violation. 495 U. S., at 17, 20; see also supra, at 6. Second, the dissent’s attempt to turn Harris into a vindication of the sanctity of the home, see post, at 24. The whole point of the case was that a confession that police obtained by illegally removing a man from the sanctity of his home was admissible against him.
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