EFTA00074599.pdf
Extracted Text (OCR)
In re Wild, 994 F.3d 1244 (2021)
28 Fla. L. Weekly Fed. C 2701
994 F.3d 1244
Editor's Note: Additions are indicated by Text and deletions
by Text .
United States Court of Appeals, Eleventh Circuit.
IN RE:
Petitioner.
No. 19-13843
(April 15, 2021)
Synopsis
Background: Alleged victim of child sexual abuse brought
civil action against federal government, alleging that
government violated Crime Victims' Rights Act (CVRA) by
failing to confer with alleged victim before entering into
non-prosecution agreement with alleged perpetrator. Alleged
perpetrator intervened. The United States District Court for
the Southern District of Florida, No. 9:08-cv-80736-KAM,
Kenneth A. Marra, Senior District Judge, 359 F.Supp.3d
1201, determined that government had violated CVRA, but
after alleged perpetrator's death, alleged victim's requested
remedies were denied and the action was dismissed, ' 41 I
F.Supp.3d 1321. Alleged victim petitioned for writ of
mandamus. The United States Court of Appeals for the
Eleventh Circuit, r 955 F.3d 1196, denied the petition.
(Holding:( On rehearing en banc, the Court of Appeals,
Newsom, Circuit Judge, as a matter of apparent first
impression, held that the CVRA did not create a private right
of action authorizing crime victim to file stand-alone civil
lawsuit to enforce CVRA rights.
Petition denied.
William H. Pryor, Chief Judge, filed concurring opinion, in
which Newsom, Lagoa, Tjoflat, Circuit Judges, joined.
Newsom, Circuit Judge, filed concurring opinion.
Tjoflat, Circuit Judge, filed concurring opinion, in which
William H. Pryor, Chief Judge, and Wilson, Newsom, and
Lagoa, Circuit Judges, joined.
Branch, Circuit Judge, filed dissenting opinion, in which
Martin, Jill Pryor, and Hull, Circuit Judges, joined.
Hull, Circuit Judge, filed dissenting opinion.
Procedural Posture(s): On Appeal; Petition for Writ of
Mandamus.
West Headnotes (21)
111
Federal Courts I
Questions of Law in
General
When the issues presented are questions of law,
an appellate court reviews them de novo.
121
Mandamus 0. Scope of inquiry and powers
of court
Government did not waive, for consideration by
Court of Appeals on alleged victim's petition
for writ of mandamus, an argument that Crime
Victims' Rights Act (CVRA) did not apply if
criminal proceedings had not been initiated,
though government did not file a cross-appeal
from district court's initial determination that
CVRA was applicable, which determination had
been made before district court dismissed alleged
victim's civil action against government because
alleged perpetrator of child sexual abuse died
while the civil action was pending; proceeding
initiated by alleged victim was not an "appeal,"
but mandamus petition, and while CVRA
directed Court of Appeals to apply ordinary
standards of appellate review in a mandamus
proceeding brought by a crime victim, CVRA
did not direct Court of Appeals to employ rules
of procedure for typical appeals. 18 U.S.C.A. §
3771(d)(3).
I Cases that cite this headnote
131
Action
Statutory rights of action
Criminal Law 0. Civil liabilities to persons
injured; reparation
The Crime Victims' Rights Act (CVRA) does
not create a private right of action authorizing
a crime victim to file stand-alone civil lawsuit
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to enforce CVRA rights, including the right to
confer with federal government's attorneys and
the right to be treated fairly by them, before
the commencement of, or in the absence of, any
preexisting criminal proceeding. 18 U.S.C.A. §§
3771(a), 3771(b), 3771(d)( 1).
3 Cases that cite this headnote
141
Action 0. Statutory rights of action
Like substantive federal law itself, private rights
of action to enforce federal law must be created
by Congress.
151
Action 4- Statutory rights of action
A reviewing court must interpret the statute
Congress has passed to determine whether it
displays an intent to create not just a private right
but also a private remedy, in determining whether
a statute creates a private right of action.
161
Constitutional Law
Creation of rights of
action
Absent clear expression of congressional intent
to authorize would-be plaintiff to sue, a private
cause of action does not exist and courts may not
create one, no matter how desirable that might be
as a policy matter, or how compatible with the
statute.
Constitutional Law 0. Creation of rights of
action
A reviewing court may not plumb a statute's
supposed purposes and policies in search of the
requisite intent to create a private cause of action;
rather, inquiry both begins and ends with careful
examination of the statute's language.
Statutes 4- Express mention and implied
exclusion; expressio unius est exclusio alterius
A statute's express provision of one method
of enforcing a substantive rule suggests that
Congress intended to preclude others.
191
Statutes 0. Plain language; plain, ordinary,
common, or literal meaning
In all cases involving statutory construction,
court assumes that the legislative purpose is
expressed by the ordinary meaning, not the
idiosyncratic meaning, of the words used.
(10)
United States 0. Necessity of waiver or
consent
The United States is generally immune from suit,
unless sovereign immunity is expressly waived.
[11]
District and Prosecuting
Attorneys 4- Charging discretion
The core of prosecutorial discretion is the
decision whether or not to charge an individual
with a criminal offense in the first place.
1121
Constitutional Law 4- Nature and scope in
general
The executive branch has exclusive authority
and absolute discretion to decide whether to
prosecute a criminal case.
I Cases that cite this headnote
[13[
Constitutional Law 4- Nature and scope in
general
Prosecutorial discretion flows not from desire to
give carte blanche to law enforcement officials
but from recognition of constitutional principle
of separation of powers. U.S. Const. art. 3, § I
et seq.
[14[
District and Prosecuting
Attorneys 4- Charging discretion
The discretionary power of the attorney for
the United States in determining whether a
prosecution shall be commenced or maintained
may depend upon matters of policy wholly apart
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from any question of probable cause. U.S. Const.
Amend. 4.
1151
District and Prosecuting
Attorneys 0. Charging discretion
Although as a member of the bar, the attorney
for the United States is an officer of the
court, he is nevertheless an executive official
of the Government, and it is as an officer of
the executive department that he exercises a
discretion as to whether or not there shall be a
prosecution in a particular case.
1161
Constitutional Law 4- Prosecutors
As an incident of the constitutional separation
of powers, courts are not to interfere with the
free exercise of the discretionary powers of the
attorneys of the United States in their control
over criminal prosecutions. U.S. Const. art. 2, §
3; U.S. Const. art. 3, § I et seq.
1171
Criminal Law 0. Civil liabilities to persons
injured; reparation
Any individual asserting rights under the Crime
Victims' Rights Act (CVRA) must, at the very
outset, demonstrate to the district court that she is
a "crime victim" entitled to statutory protection.
18 U.S.C.A. §§ 3771(a), 3771(eX2)(A).
2 Cases that cite this headnote
[18[
Constitutional Law 0. Nature and scope in
general
District and Prosecuting
Attorneys 0. Charging discretion
The commencement of criminal proceedings
marks a clear and sensible boundary on
the prosecutorial•discretion spectrum; before
charges are filed, when the government is still
in the process of investigating and deciding
whether to prosecute, the prosecutoes authority
and discretion are understood to be exclusive and
absolute. U.S. Const. art. 2, § 3; U.S. Const. art.
3, § I et seq.
I Cases that cite this headnote
1191
Constitutional Law 4- Encroachment on
Judiciary
Once the charging decision is made, the
prosecutor steps into the court's jurisdiction,
its house, so to speak, and thus necessarily
cedes some of her control of the course and
management of the criminal case. U.S. Const. art.
3, § I et seq.
1201
Criminal Law 0•- Grand jury; indictment,
information, or complaint
For Sixth Amendment right-to-counsel purposes,
prosecution does not begin with criminal
complaint's filing. U.S. Const. Amend. 6.
[211
Criminal Law 0. Preliminary examination;
arraignment; appearance; bail
The Sixth Amendment right to counsel does not
attach, because a prosecution does not begin,
until, at the earliest, a suspect's initial appearance
before a judicial officer. U.S. Const. Amend. 6.
*1246 On Petition for Writ of Mandamus to the United
States District Court for the Southern District of Florida, D.C.
Docket No. 9:08-cv-80736-KAM
Attorneys and Law Firms
Paul Cassell, University of Utah College of Law, SALT
LAKE CTY, UT, Bradley James Edwards, Edwards Pottinger,
LLC, FORT LAUDERDALE, FL, for Petitioner.
Richard Christian Komando, Bradley Garrison & Komando,
ORANGE PARK, FL, for Amicus Curiae NATIONAL
CRIME VICTIM LAW INSTITUTE.
Jill E. Steinberg, Nathan Parker Kitchens, U.S. Attorney's
Office, ATLANTA, GA, for Mandamus Respondent.
Allyson Newton Ho, Bradley George Hubbard, Gibson Dunn
& Crutcher, LLP, DALLAS, TX, for Amici Curiae DIANE
FEINSTEIN, ORRIN HATCH and JON KYL.
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EFTA00074601
In re Wild, 994 F.3d 1244 (2021)
28 Fla. L. Weekly Fed. C 2701
Before WILLIAM PRYOR, Chief Judge, and WILSON,
MARTIN, JILL PRYOR, NEWSOM, BRANCH, LUCK,
LAGOA, BRASHER, TJOFLAT, and HULL, Circuit
Judges.*
Opinion
NEWSOM, Circuit Judge, delivered the opinion of the Court,
in which WILLIAM PRYOR, Chief Judge, and WILSON,
LAGOA, BRASHER, and TJOFLAT, Circuit Judges, joined,
and in which in LUCK, Circuit Judge, joined as to Parts IB,
II, III, IVA, IVB I-3a, IVC, IVD I, and V.
WILLIAM PRYOR, Chief Judge, filed a concurring opinion,
in which NEWSOM, LAGOA, and TJOFLAT, Circuit
Judges, joined.
NEWSOM, Circuit Judge, filed a concurring opinion.
TJOFLAT, Circuit Judge, filed a concurring opinion, in which
WILLIAM PRYOR, Chief Judge, and WILSON, NEWSOM,
and LAGOA, Circuit Judges, joined.
BRANCH, Circuit Judge, filed a dissenting opinion, in which
MARTIN, JILL PRYOR, and HULL, Circuit Judges, joined.
HULL, Circuit Judge, filed a dissenting opinion.
NEWSOM, Circuit Judge:
*1247 This petition for writ of mandamus arises under the
Crime Victims' Rights Act, 18 U.S.C. § 3771. Petitioner
is one of more than 30 women who, according
to allegations that we have no reason to doubt and therefore
accept as true in deciding this case, were victimized by
notorious sex trafficker and child abuser Jeffrey Epstein.
In her mandamus petition, Ms. Wild asserts that when
federal prosecutors secretly negotiated and executed a non-
prosecution agreement with Epstein in 2007, they violated her
rights under the CVRA—in particular, her rights to confer
with and to be treated fairly by the government's lawyers.
We have the profoundest sympathy for Ms. Wild and others
like her, who suffered unspeakable horror at Epstein's hands,
only to be left in the dark—and, so it seems, affirmatively
misled—by government attorneys. Even so, we find ourselves
constrained to deny Ms. Wild's petition. While the CVRA
permits a crime victim like Ms. Wild to "mov[e]" for relief
within the context of a preexisting proceeding—and, more
generally, to pursue administrative remedies—it does not
authorize a victim to seek judicial enforcement of her CVRA
rights in a freestanding civil action. Because the government
never filed charges against Epstein, there was no preexisting
proceeding in which Ms. Wild could have moved for relief
under the CVRA, and the Act does not sanction her stand-
alone suit.
I
A
The facts underlying this case, as we understand them, are
beyond scandalous—they tell a tale of national disgrace.
Over the course of eight years, between 1999 and 2007,
well-heeled and well-connected financier Jeffrey Epstein
and multiple coconspirators sexually abused more than 30
young girls, including Ms. Wild, in Palm Beach, Florida and
elsewhere in the United States and abroad. Epstein paid his
employees to find girls and deliver them to him—some not
yet even 15 years old. Once Epstein had the girls, he either
sexually abused them himself, gave them over to be abused
by others, or both. Epstein, in turn, paid bounties to some of
his victims to recruit others into his ring.
Following a tip in 2005, the Palm Beach Police Department
and the FBI conducted a two-year investigation of Epstein's
conduct. After developing substantial incriminating evidence,
the FBI referred the matter to the United States Attorney's
Office for the Southern District of Florida. Beginning
in January 2007, and over the course of the ensuing
eight months, Epstein's defense team engaged in extensive
negotiations with government lawyers in an effort to avoid
indictment. At the same time, prosecutors were corresponding
with *1248 Epstein's known victims. As early as March
2007, they sent letters advising each one that "as a victim and/
or witness of a federal offense, you have a number of rights."
The letters, which the government distributed over the course
of about six months, went on to enumerate the eight CVRA
rights then in force—including, as particularly relevant here,
"[t]he reasonable right to confer with the attorney for the
[Government] in the case" and "[t]he right to be treated with
fairness and with respect for the victim's dignity and privacy."
By May 2007, government lawyers had completed both an
82-page prosecution memo and a 53-page draft indictment
alleging that Epstein had committed numerous federal sex
crimes. In July, Epstein's lawyers sent a detailed letter to
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prosecutors arguing that, in fact, Epstein hadn't broken any
federal laws. By mid-September, the sides had exchanged
multiple drafts of what would become an infamous non-
prosecution agreement (NPA). Pursuant to their eventual
agreement, Epstein would plead guilty in Florida court
to two state prostitution offenses, and, in exchange, he
and any coconspirators (at least four of whom have since
been identified) would receive immunity from federal
prosecution. I In June 2008, Epstein pleaded guilty to the
state crimes as agreed and was sentenced to 18 months'
imprisonment, 12 months' home confinement, and lifetime
sex-offender status.
The district court found that "[f]rom the time the FBI began
investigating Epstein until September 24, 2007"—when the
government formally executed the NPA with Epstein—
federal prosecutors "never conferred with the victims about
a[n] NPA or told the victims that such an agreement was under
consideration." Doe I v. United States, 359 F. Supp. 3d 1201,
1208 (S.D. Fla. 2019). Worse, it appears that prosecutors
worked hand-in-hand with Epstein's lawyers—er at the very
least acceded to their requests—to keep the NPA's existence
and terms hidden from victims. The NPA itself provided
that "[t]he parties anticipate that this agreement will not be
made part of any public record" and, further, that "[i]f the
United States receives a Freedom of Information Act request
or any compulsory process commanding the disclosure of the
agreement, it will provide notice to Epstein before making
that disclosure." Moreover, at approximately the same time
that the sides concluded the NPA, they began negotiating
about what prosecutors could (and couldn't) tell victims about
the agreement. Seemingly in deference to Epstein's lawyers'
repeated requests, the government held off—for nearly an
entire year—on notifying Epstein's victims of the NPA's
existence.
And to be clear, the government's efforts appear to have
graduated from passive nondisclosure to (or at least close
to) active misrepresentation. In January 2008, for example,
approximately four months after finalizing and executing the
NPA, the government sent a letter to Ms. Wild stating that
Epstein's case was "currently under investigation," explaining
that "[t]his can be a lengthy process," and "request[ing her]
continued patience while [it] *1249 conduct[ed] a thorough
investigation." The government sent a similar letter to another
victim in May 2008, some eight months after inking the
NPA. 2
If secrecy was the goal, it seems to have been achieved—there
is no indication that any of Epstein's victims were informed
about the NPA or his state charges until after he pleaded guilty.
On the day that Epstein entered his guilty plea in June 2008,
some (but by no means all) victims were notified that the
federal investigation of Epstein had concluded. But it wasn't
until July 2008—during the course of this litigation—that Ms.
Wild learned of the NPA's existence, and until August 2008
that she finally obtained a copy of the agreement.
We are doubtlessly omitting many of the sad details of this
shameful story. For our purposes, we needn't discuss the
particulars of Epstein's crimes, or the fact that the national
media essentially ignored for nearly a decade the jailing of
a prominent financier for sex crimes against young girls. 3
Today, the public facts of the case are well known—Epstein
was eventually indicted on federal sex-trafficking charges in
the Southern District of New York, and in August 2019, while
awaiting trial, he was found dead in his jail cell of an apparent
suicide.
B
In July 2008, Ms. Wild brought suit in the United States
District Court for the Southern District of Florida, styling
her initial pleading—which she filed er pane, without
naming a defendant—an "Emergency Victim's Petition for
Enforcement of Crime Victim's Rights Act." As the district
court explained, "because no criminal case was pending"
at the time—no federal charges having been filed against
Epstein or anyone else—Ms. Wild "filed [her] petition as a
new matter ... which the Clerk of Court docketed as a civil
action" against the United States.
Does v. United States,
817 F. Supp. 2d 1337, 1341 n.4 (S.D. Fla. 2011). Ms. Wild
alleged that she was a "crime victim" within the meaning of
the CVRA and that by keeping her in the dark about their
dealings with Epstein, federal prosecutors had violated her
rights under the Act—in particular, her rights "to confer with
the attorney for the Government in the case," 18 U.S.C. §
3771(a)(5), and "to be treated with fairness and with respect
for [her] dignity and privacy," id. § 3771(a)(8).4 She asked
the court to "order the United States Attorney to comply with
the provisions of the CVRA ...."
Over the course of the ensuing decade, the district court issued
a number of significant rulings. For our purposes, three of the
court's orders are particularly important.
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Initially, in 2011 the district court "addresse[d] the threshold
issue whether the CVRA attaches before the government
brings formal charges against the defendant." P i Does,
817 F. Supp. 2d at 1341. The court held that "it does
because the statutory language clearly contemplates pre-
charge proceedings."1 hi Having made that determination,
the district court "defer[red]" ruling on the question whether
federal prosecutors had violated the Act *1250 until the
parties could conduct additional discovery. ?l id at 1343.
Following another eight years of litigation, the district court
issued a pair of rulings that prompted the mandamus petition
now before us. In February 2019, the court found that the
government had infringed Ms. Wild's CVRA rights. See
Doe I, 359 F. Supp. 3d at 1222. In particular, the court
held that federal prosecutors violated the Act by "enter[ing]
into a[n] NPA with Epstein without conferring with [Ms.
Wild] during its negotiation and signing." Id. at 1218. "Had
[Ms. Wild] been informed about the Government's intention
to forego [sic] federal prosecution of Epstein in deference
to him pleading guilty to state charges," the district court
emphasized, she "could have conferred with the attorney for
the Government and provided input." Id. The court concluded
that it was precisely "this type of communication between
prosecutors and victims that was intended by the passage of
the CVRA."Id. at 1219.
Having found CVRA violations, the court directed the
parties—which by then included Epstein as an intervenor
—to address "the issue of what remedy, if any, should
be applied." Id. at 1222. In response, Ms. Wild proposed
multiple remedies, including: (I) rescission of the NPA;
(2) an injunction against further CVRA violations; (3) an
order scheduling a victim-impact hearing and a meeting
between victims and Alexander Acosta, the former United
States Attorney for the Southern District of Florida; (4)
discovery of certain grand jury materials, records regarding
prosecutors' decision to enter into the NPA, and files
concerning law-enforcement authorities' investigation of
Epstein; (5) mandatory CVRA training for employees of the
Southern District's United States Attorney's office; and (6)
sanctions, attorneys' fees, and restitution. In August 2019,
while the court was considering the parties' briefing regarding
remedies, Epstein died of an apparent suicide; his death
prompted another round of briefing on the issue of mootness.
In September 2019, having considered the parties' briefing
and the impact of Epstein's death, the district court dismissed
Ms.
It
Wild's suit, denying each of her requested remedies.
See
1
Doe I v. United States, 411 R Supp. 3d 1321 (S.D.
Fla. 2019). In its order, the district court made a number of
rulings. First, it held that Epstein's death mooted any claim
regarding the NPA's continuing validity, as he was no longer
subject to prosecution. See ? l id. at 1326. Relatedly, the
court concluded that it lacked jurisdiction to consider Ms.
Wild's claim regarding the validity of the NPA as it applied
to Epstein's coconspirators; any opinion regarding that issue,
the court determined, would be merely advisory because
the coconspirators—as non-parties to the suit—couldn't be
estopped from asserting the NPA's validity at any future
prosecution. See? 1 id. at 1326-27. Second, the court denied
Ms. Wild's request for an injunction on the ground that she
had failed to show "continuing, present adverse effects" or
any "real and immediate" threat of future CVRA violations.
Id. at 1328. Third, the court rejected Ms. Wild's requests
for a victim-impact hearing and a meeting with Acosta on
the grounds that it lacked jurisdiction over Acosta, that she
had already had the opportunity to participate in an Epstein-
related hearing in New York, that the Epstein prosecution
had concluded, and that the government had already agreed
to confer with victims concerning any ongoing investigation
of Epstein's coconspirators. See
id. at 1328-29. Fourth,
the court denied Ms. Wild's discovery requests for grand-
jury materials and investigative files. See
id. at 1329-
30. Fifth, the court declined to order "educational remedies,"
as the government had already agreed to implement CVRA
training for employees of the Southern District's *1251
United States Attorney's office. I Id. at 1330. And finally,
the court rejected Ms. Wild's request for sanctions, fees, and
restitution. SeeP I id. at 1330-31.
Seeking review of the district court's order refusing every
remedy that she had sought, Ms. Wild filed—as the CVRA
directs—a petition for writ of mandamus with this Court.
See IS U.S.C. § 3771(d)(3) (stating that "[i]f the district
court denies the relief sought," a victim "may petition the
court of appeals for a writ of mandamus"). The government
filed a "brief in response" in which it not only opposed
Ms. Wild's arguments on the merits, but also raised several
threshold arguments concerning the scope of the CVRA and
the circumstances in which rights under the Act are judicially
enforceable. 5
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A divided panel of this Court denied Ms. Wild's mandamus
petition, holding "that the CVRA does not apply before the
commencement of criminal proceedings—and thus, on the
facts of this case, does not provide [Ms. Wild] any judicially
enforceable rights." Plik; re Wild, 955 F.3d 1196, 1220 (11th
Cir. 2020), reh'g en bane granted, opinion vacated, 967 F.3d
1285 (11th Cir. 2020).
A majority of the active judges of this Circuit voted to rehear
the case en banc, and we directed the parties to address
two questions: (1) Whether the CVRA creates rights that
attach and apply before the formal commencement of criminal
proceedings; and (2) Whether, even assuming that it does so,
the CVRA further creates a private right of action, such that
any pre-charge right is judicially enforceable in a freestanding
lawsuit.
In response to those questions, Ms. Wild contends that
her rights "to confer with the attorney for the Government
in the case," 18 U.S.C. § 3771(a)(5), and "to be treated
with fairness," id. § 3771(a)(8), attached even before the
commencement of—and as it turns out, in the absence of—
any criminal proceedings against Epstein and, further, that the
CVRA authorized her to seek judicial enforcement of those
rights in a stand-alone civil action. The government disputes
both propositions. 6
III We conclude that we needn't decide whether, in the
abstract, the rights to confer *1252 and to be treated with
fairness might attach prior to the formal commencement of
criminal proceedings or whether, if they do, they might be
enforceable through, say, political or administrative channels.
Nor, for that matter, need we even decide whether, if the
rights to confer and to be treated fairly apply pre-charge, a
victim could later seek to vindicate them during the course of
an ongoing criminal prosecution. 7 Here, the only issue we
have to confront is whether the CVRA authorizes Ms. Wild to
file a freestanding civil suit seeking judicial enforcement of
her rights under the CVRA in the absence of any underlying
proceeding.8 For reasons we'll explain, we hold that it does
not. 9
Before jumping into the merits, we begin with an introductory
summary of the CVRA's key provisions.
11
The CVRA is a compact statute, occupying but one section
(and only three pages) of the United States Code. See IS
U.S.C. § 3771. The entire Act comprises just six subsections,
the pertinent portions of which we will outline briefly.
The CVRA opens, in subsection (a), with a catalogue of
"rights" that federal law guarantees to "crime victims." (The
Act separately defines the term "crime victim" to mean "a
person directly and proximately harmed as a result of the
commission of a Federal offense." Id. § 3771(e)(2)(A).) The
version of the CVRA in effect during the events in question
here—between 2006 and 2008—stated as follows:
(a) Rights of crime victims.—A crime victim has the
following rights:
(1) The right to be reasonably protected from the
accused.
(2) The right to reasonable, accurate, and timely notice of
any public court proceeding, or any parole proceeding,
involving the crime or of any release or escape of the
accused.
*1253 (3) The right not to be excluded from any
such public court proceeding, unless the court, after
receiving clear and convincing evidence, determines that
testimony by the victim would be materially altered if
the victim heard other testimony at that proceeding.
(4) The right to be reasonably heard at any public
proceeding in the district court involving release, plea,
sentencing, or any parole proceeding.
(5) The reasonable right to confer with the attorney for
the Government in the case.
(6) The right to full and timely restitution as provided in
law.
(7) The right to proceedings free from unreasonable
delay.
(8) The right to be treated with fairness and with respect
for the victim's dignity and privacy.
Id. § 3771(a).
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Subsection (b), titled "Rights afforded," focuses specifically
on courts' responsibilities under the Act. Subsection (b)(I)
states that "[i]n any court proceeding involving an offense
against a crime victim, the court shall ensure that the crime
victim is afforded the rights described in subsection (a)." Id.
§ 3771(b)(I). Subsection (b)(2) pertains to "Federal habeas
corpus proceeding[s]" and provides that the "court shall
ensure" that the victim is afforded a more limited set of rights.
Id. § 3771(b)(2).
Subsection (c), titled "Best efforts to accord rights," imposes
obligations on non judicial actors. One of its constituent
clauses—which Ms. Wild calls the "coverage" provision—
states as follows:
Officers and employees of the
Department of Justice and other
departments and agencies of the
United States engaged in the detection,
investigation, or prosecution of crime
shall make their best efforts to see
that crime victims are notified of,
and accorded, the rights described in
subsection (a).
Id. § 3771(cX1).
Subsection (d) addresses "Enforcement and limitations." It
opens by stating that either the crime victim, her authorized
representative, or the government "may assert the rights
described in subsection (a)." 18 U.S.C. § 3771(dX1). The
balance of subsection (d) prescribes exactly how, when, and
where those rights may be asserted, as well as the limitations
on judicial enforcement. In that connection, several of
subsection (d)(3)'s provisions are particularly relevant here.
First, and most obviously given its title—"Motion for relief
and writ of mandamus"—subsection (d)(3) gives victims
a "motion" remedy in the district court and a mandamus
remedy in the court of appeals. With respect to the former,
subsection (dX3) states that "[t]he district court shall take up
and decide any motion asserting a victim's right forthwith."
Id. § 3771(d)(3). And with respect to the latter, it provides
that li]f the district court denies the relief sought, the movant
may petition the court of appeals for a writ of mandamus."
Id. Another of subsection (d)(3)'s provisions—which Ms.
Wild calls the "venue" provision—states that "[t]he rights
described in subsection (a) shall be asserted in the district
court in which a defendant is being prosecuted for the crime
or, if no prosecution is underway, in the district court in the
district in which the crime occurred." Id. § 3771(d)(3).
Subsection (dX6), titled "No cause of action," also contains
two pertinent provisions. First, it states that InJothing in
this chapter shall be construed to authorize a cause of action
for damages." Id. § 377I(dX6). Second, and separately, it
emphasizes that "[njothing in this chapter shall be construed
to impair the prosecutorial discretion of the Attorney General
or any officer under his direction." Id.
*1254 Finally, subsection (f) instructs the Attorney General
to "promulgate regulations to enforce the rights of crime
victims and to ensure compliance by responsible officials
with the obligations" concerning those victims. Id. § 3771(f)
(I). (We've already introduced subsection (e), which defines
the term "crime victim.") Subsection (f) specifies that the
regulations "shall"—among other things—(1) "designate an
administrative authority within the Department of Justice to
receive and investigate complaints relating to the provision
or violation of the rights of a crime victim," (2) "contain
disciplinary sanctions, including suspension or termination
from employment, for employees of the Department oflustice
who willfully or wantonly fail to comply with provisions of
Federal law pertaining to the treatment of crime victims," and
(3) "provide that the Attorney General" or his designee "shall
be the final arbiter of the complaint" and that "there shall be
no judicial review" of his decision. Id. § 3771(0(2).
Pursuant to subsection (f)'s directive, the Attorney General
adopted administrative•enforcement regulations, which are
codified at 28 C.F.R. § 45.10. The regulations establish
"Victims' Rights Ombudsman" and "point of contact"
offices within the Department of Justice and create a
detailed administrative "[c]omplaint process." 28 C.F.R. §
45.10(b)—(c). They require an alleged victim's complaint to
include, among other information, "Mlle district court case
number" and "[t]he name of the defendant in the case."
Id. § 45.10(c)(2Xiii)-(iv). Upon receipt of a complaint,
the designated point of contact "shall investigate the
allegation(s) ... within a reasonable period of time" and then
"report the results of the investigation to" the Ombudsman,
who, in turn, may conduct any "further investigation" that he
deems warranted. Id. § 45.10(c)(4)—(6). If the Ombudsman
determines that a victim's rights have been violated, he
"shall require" the offending employee 'to undergo training
on victims' rights," and if the Ombudsman finds a willful
violation, he "shall recommend" to the offending employee's
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her rights, our lodestar is
Alexander v. Sandoval, in
which the Supreme Court (reversing an erroneous decision of
ours) unequivocally "swor[e] off' its old "habit of venturing
beyond Congress's intent" to liberally "imply" private rights
of action in favor of a rigorous attention to statutory text and
structure.
532 U.S. 275, 287, 121 S.Ct. 1511, 149 L.Ed.2d
517 (2001). "Like substantive federal law itself," the Court
explained there, "private rights of action to enforce federal
law must be created by Congress."
Id. at 286, 121 S.Ct.
1511. Accordingly, the Court emphasized, "[t]he judicial
task" is straightfonvard: A reviewing court must "interpret
the statute Congress has passed to determine whether it
displays an intent to create not just a private right but also
a private remedv"
Id. (emphasis added). In making the
latter determination, the Supreme Court said, "[s]tatutory
intent ... is determinative." t Id. Absent a clear expression
of congressional intent to authorize a would-be plaintiff to
sue, "a cause of action does not exist and courts may not
create one, no matter how desirable that might be as a policy
superior an additional "range of disciplinary sanctions."
Id. § 45.10(d)—(e). As required by statute, the regulations
provide that the Ombudsman's decision is final and that
"[a] complainant may not seek judicial review of the
[Ombudsman's] determination regarding the complaint." Id.
§ 45.10(c)(8).
121 With that primer, we proceed to address Ms. Wild's
CH
10
case.
*1255 III
[31 As already noted, Ms. Wild initiated this litigation by
filing, a parte, a document styled an "Emergency Victim's
Petition for Enforcement of Crime Victim's Rights Act."
As the district court explained, "because no criminal case
was pending" at the time, Ms. Wild "filed [her] petition as
a new matter," which the court clerk "docketed as a civil
action" against the United States. f [Does, 817 F. Supp. 2d at
1341 n.4. A threshold—and we find diapositive—question is
whether the CVRA authorized Ms. Wild to file what was, in
essence, a freestanding lawsuit, before the commencement of
(and in the absence of) any preexisting criminal proceeding.
matter, or how compatible with the statute." C 3 1d. at 286-
87, 121 S.Ct. 1511. Moreover, a reviewing court may not
plumb a statute's supposed purposes and policies in search
of the requisite intent to create a cause of action; rather, the
inquiry both begins and ends with a careful examination of the
statute's language.
Id. at 288, 121 S.Ct. 1511. Finally—and
as it turns out importantly here—the Supreme Court observed
that "[t]he express provision of one method of enforcing a
substantive rule suggests that Congress intended to preclude
others." II a Id. at 290, 121 S.Ct. 1511. 11
In the two decades since ”Sandoval was decided, we
have faithfully heeded the Supreme Court's directives and
have demanded clear evidence of congressional intent as a
prerequisite to a private right of action. See, e.g.,11. Love it
Delta Air Lines, 310 F.3d 1347, 1358-59 (11th Cir. 2002)
(conducting C R Sandoval analysis of Air Carrier Access Act);
see also, e.g., Bellitto it Snipes, 935 F.3d 1192, 1202-03 (11th
Cir. 2019) (Help America Vote Act);
*1256 Alabama
PCI Gaming Auth., 801 F.3d 1278, 1296-97 (1 1 th Cir.
2015) (Indian Gaming Regulatory Act); fiiDireag Inc. it
Treworgy, 373 F.3d 1124, 1129 (11th Cir. 2004) (Wiretap
141
151
161
171
181 In determining whether any fedenfict); !HI McDonald v. S. Farm Bureau Lift Ins. Co., 291 F.3d
statute empowers a would-be plaintiff to file suit to vindicate
718, 723 (11th Cir. 2002) (Federal Insurance Contributions
Act).
So the question here, all must agree, is whether in enacting
the CVRA Congress clearly and affirmatively manifested its
intent—as reflected in the Act's text and structure—to create
a private right of action by which a crime victim can (as
Ms. Wild did here) initiate a freestanding lawsuit to enforce
her rights before the formal commencement of any criminal
proceeding.
IV
To answer that question, we naturally train our focus on the
provisions of the CVRA that prescribe—and circumscribe
—judicial involvement and enforcement. Doing so, we find
no clear evidence that Congress intended to authorize crime
victims to seek judicial enforcement of CVRA rights prior to
the commencement of criminal proceedings.
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Only two provisions of the Act speak directly to the issue of
judicial enforcement-I 3771(b) and § 3771(d). Neither, we
conclude, indicates that CVRA-protected rights are judicially
enforceable outside the confines of an existing proceeding,
let alone that the Act creates a private right of action to
enforce those rights before the commencement of criminal
proceedings. And the evidence from the remainder of the
CVRA—in particular from § 3771(f), which prescribes
and details a mechanism for administrative enforcement—
confirms our conclusion that Congress didn't clearly manifest
its intent to authorize crime victims to file stand-alone civil
actions.
A
First up is § 3771(b), which is titled "Rights afforded." To
the extent that § 3771(b) bears on the question before us, it
strongly indicates that the CVRA does not authorize judicial
enforcement outside the context of a preexisting proceeding.
Subsection (b)(1) states that "[i]n any court proceeding
involving an offense against a crime victim, the court shall
ensure that the crime victim is afforded the rights described
in subsection (a)." Separately, subsection (bX2) states that
"[l]n a Federal habeas corpus proceeding arising out of a
State conviction"—i.e., a proceeding under ?9 28 U.S.C. §
2254—"the court shall ensure that a crime victim is afforded
the rights described in paragraphs (3), (4), (7), and (8) of
subsection (a)."
Section 377 I (b) is the only provision of the CVRA that
expressly directs the judiciary, in particular, to "ensure"
that victims' rights are protected, and it contains no
suggestion that the Act provides for judicial enforcement of
crime victims' rights outside the confines of a preexisting
"proceeding." Quite the contrary, subsection (b) indicates that
courts' responsibilities to enforce victims' rights (as distinct
from the responsibilities of other government actors) arise
only in the context of the "proceeding[s]" pending before
them.
B
Far more important to our inquiry is § 3771(d), on which Ms.
Wild principally relies. Subsection (d) is titled "Enforcement
and limitations," and it prescribes the logistics and limits of
judicial enforcement of victims' CVRA rights.
1
As evidence that the CVRA creates a private right of action,
Ms. Wild points to § 3771(d)( ), which provides, in relevant
part, that "Nile crime victim ... may assert the rights described
in subsection (a)."See Oral Arg. at 58:05. But Ms. Wild needs
more than just a mechanism for "assert[ing]" her rights in
court. Given the •1257 manner in which she sought to assert
those rights here—again, in what she styled an "Emergency
Victim's Petition," which she filed "as a new matter" in the
district court, outside the context of any preexisting criminal
prosecution, see? Does, 817 F. Supp. 2d at 1341 n.4—she
must demonstrate that the CVRA creates a mechanism for
vindicating her rights in a stand-alone civil action.
We hold that subsection (d) does not create a private right of
action by which a victim can initiate a freestanding lawsuit,
wholly unconnected to any preexisting criminal prosecution
and untethered to any proceeding that came before it. That is
so for several reasons, which we will examine in detail before
turning to Ms. Wild's counterarguments.
2
Perhaps most compellingly, subsection (dX3) specifies that
a crime victim's vehicle for "assert[ing]" her CVRA rights
is a "[m]otion for relief" in the district court and, further,
that "[t]he district court shall take up and decide any motion
asserting a victim's right forthwith."
191 "As in all cases involving statutory construction ... we
assume that the legislative purpose is expressed by the
ordinary meaning"—not the idiosyncratic meaning—"of the
words used." Am. Tobacco Co. v. Patterson, 456 U.S. 63,
68, 102 S.Ct. 1534, 71 L.Ed.2d 748 (1982) (quotation marks
and citation omitted). The term "motion" is—and long has
been—commonly understood to denote a request filed within
the context of a preexisting judicial proceeding. See, e.g.,
Motion, Black's Law Dictionary (10th ed. 2014) ("Frequently,
in the progress of litigation, it is desired to have the court take
some action which is incidental to the main proceeding ....
Such action is invoked by an application usually less formal
than the pleadings, and called a motion." (quoting John C.
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Townes, Studies in American Elementary Law 621 (1911)
(emphasis added)); see also 56 Am. Jur. 2d Motions, Rules,
and Orders § I (2020) ("The term 'motion' generally means
an application made to a court or judge to obtain a rule or
order directing some act to be done in the applicant's favor
in a pending case." (footnotes omitted and emphasis added));
60 C.J.S. Motions and Orders § I (2020) ("The term 'motion'
generally means an application made to a court or judge for
the purpose of obtaining a rule or order directing some act
to be done in favor of the applicant in a pending case. A
motion is a request for relief, usually interlocutory relief,
within a case." (footnotes omitted and emphasis added));
Motion (Movant or Move), The Wolters Kluwer Bouvier
Law Dictionary: Desk Edition (Stephen Michael Sheppard,
ed., 2012) ("A motion is presented to a court in a pending
action...." (emphasis added)).
Just as importantly here—if not more so—the term "motion"
has never been commonly understood to denote a vehicle
for initiating a new and freestanding lawsuit. As one legal
encyclopedia summarizes matters: "The function of a motion
is not to initiate new litigation, but to bring before the court
for ruling some material but incidental matter arising in the
progress of the case in which the motion is filed. A motion is
not an independent right or remedy ...." 56 Am. Jur. 2d, supra,
§ I (footnotes omitted and emphasis added). A new suit is
generally commenced through a "complaint," which (per the
Federal Rules of Civil Procedure) is a form of "pleading" and
thus distinct from a "motion." See Fed. R. Civ. P. 3, 7. "[A]
motion," put simply, "is not a pleading." Garner's Dictionary
of Legal Usage 591 (3d ed. 2011). 12
*1258 The closest that the law seems to have come to using
the word "motion" to signify an instrument for initiating
a new action is 28 U.S.C. § 2255, which authorizes a
federal prisoner to file a "motion" to "vacate, set aside
or correct" his criminal sentence. But § 2255 doesn't truly
reflect an understanding of the term "motion" as a means
of commencing a stand-alone lawsuit, because—and to be
clear, our dissenting colleagues don't dispute any of this—
a convicted defendant files his so-called "motion" in "the
court which imposed [his] sentence" and, indeed, in his
closed criminal case. 28 U .S .C. §2255(a)—(f); see also Rules
Governing Section 2255 Proceedings for the United States
District Courts, Rule 3(b) (stating that once the inmate has
filed his motion with the clerk, "[t]he clerk must file the
motion and enter it on the criminal docket of the case in which
the challenged judgment was entered"). Accordingly, "a
motion under § 2255 is a further step in the movant's criminal
case and not a separate civil action." Id., Rule I advisory
committee's note (emphasis added). So even a § 2255
"motion" presupposes a preexisting criminal proceeding. 13
[101 Moreover, it's not just that Ms. Wild's position would
require us to give the word "motion" a peculiar meaning, but
also (and worse) that it would require us to give that word
—not the same word repeated twice in the same sentence
or paragraph, 14 but the very same word—two different
meanings, depending on the circumstances. If (as the statute
plainly envisions) a crime victim asserts her rights in the
course of a preexisting proceeding, then the term "motion" in
§ 3771(d)(3) carries its ordinary meaning—Le., a request for
relief made in a pending action. If, by contrast, a victim were
to seek to assert her rights before any criminal prosecution
has commenced, then the term would take on the specialized,
decidedly un-ordinary meaning that the legal dictionaries and
encyclopedias expressly condemn. We are loathe to ascribe
an idiosyncratic meaning to the word -motion," and we are
doubly loathe to ascribe such different meanings to the very
same word. 15
*1259 Additional context from subsection (d)(3) confirms
our ordinary-meaning conclusion that the CVRA's "motion"
remedy specifies a means of judicial enforcement within the
confines of a preexisting proceeding. The subsection's third
sentence begins, "If the district court denies the relief sought,
the movant"—note, not "the plaintiff"—"may petition the
court of appeals for a writ of mandamus." I8 U.S.C. § 377I (d)
(3). The subsection then directs the court of appeals (at least
in the absence of the sort of agreement the parties reached
here) to "take up and decide" the mandamus petition "within
72 hours." Id. Importantly here, the provision continues by
stating that "[i]n no event shall proceedings be stayed or
subject to a continuance of more than five days for purposes
of enforcing this chapter." Id. (emphasis added). That last
sentence further demonstrates that Congress envisioned that
judicial involvement and enforcement in CVRA matters
would occur only in the context of preexisting "proceedings."
Id.
In sum, Congress has given crime victims a specific means of
judicial enforcement, a "motion"—which both plain-meaning
and contextual considerations confirm denotes a vehicle for
seeking relief within the context of a preexisting case, not
for initiating a freestanding civil action. And as the Supreme
Court emphasized in
Swzdoval-and as we will further
unpack shortly in examining the CVRA's administrative-
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enforcement apparatus—"[t]he express provision of one
method of enforcing a substantive rule suggests that Congress
intended to preclude others."
532 U.S. at 290, 121 S.Ct.
1511; see also, e.g., P PCI Gaming Auth., 801 F.3d at
1295 (observing that when Congress has expressly created an
alternative remedy for enforcing federal rights, "we ought not
imply a private right of action" (quotation marks omitted)).
3
Subsection (dX6), which is conspicuously titled "No cause of
action," bolsters our view that the CVRA doesn't authorize a
crime victim to file a freestanding civil action to assert her
rights even before the commencement of—and in the absence
of—criminal proceedings.
a
Perhaps most starkly, subsection (d)(6)'s first sentence
states that "[n]othing in this chapter shall be construed
to authorize a cause of action for damages ...." Far from
a t
Sandoval-qualifying clear statement of congressional
intent to create a private right of action, that provision
very nearly forecloses one. Of course, one might object—as
ow dissenting colleagues do—that subsection (dX6) doesn't
expressly rule out a private suit for declaratory or injunctive
relief. But under
Sandoval and its progeny, the question
isn't whether Congress "intended to preclude" a private right
of action, see Branch Dissenting Op. at 1307-08, but rather,
whether it intended to provide one. There is certainly nothing
in subsection (d)(6)'s first sentence to suggest that it did.
*1260 Contrast, by way of example, 18 U.S.C. § 2255,
which expressly creates a "[c]ivil remedy for personal
injuries" arising out of particular child-sex crimes. That
statute specifies that a minor victim "who suffers personal
injury" as a result of a violation of any of various federal
criminal statutes can "sue in any appropriate United States
District Court" and recover compensatory and punitive
damages and, if appropriate, "preliminary and equitable
relief," as well as fees and costs. Id. § 2255(a). The statute
goes on to prescribe a statute of limitations and rules
governing service of process. Id. § 2255(b), (c). Clearly,
Congress knows how to give crime victims a private cause
of action when it wants to. Had it intended to do so in the
CVRA, it presumably would have enacted some provision
that resembles § 2255. It didn't even come close, and its
"silence" in that respect "is controlling." Freemanville Water
Sp., Inc. v. Poarch Band of Creek Indians, 563 F.3d 1205,
1209 (1 I th Cir. 2009).
b
Subsection (d)(6)'s second sentence weighs even more
heavily in ow calculus: "Nothing in this chapter shall
be construed to impair the prosecutorial discretion of the
Attorney General or any officer under his direction." 18
U.S.C. § 3771(d)(6). To imply a private right of action
authorizing a crime victim to file a freestanding lawsuit, even
before the commencement of criminal proceedings, we would
have to sanction a regime in which a federal court can order
a federal prosecutor, presumably on pain of contempt, to
conduct her criminal investigation in a particular manner. For
reasons we will explain, Ms. Wild's "constru[ction]" of the
CVRA would seriously "impair ... prosecutorial discretion,"
in direct contravention of the Act's plain terms.
1111
1121
1131
1141
1151
1161 Broadly defined,
the term "prosecutorial discretion" refers to the soup-to-
nuts entirety of "[a] prosecutor's power to choose from
the options available in a criminal case, such as filing
charges, prosecuting, not prosecuting, plea-bargaining, and
recommending a sentence to the court" Prosecutorial
Discretion, Black's Law Dictionary (10th ed. 2014). The
core of prosecutorial discretion, though—its essence—is the
decision whether or not to charge an individual with a criminal
offense in the first place. The Supreme Court has repeatedly
reaffirmed the principle—which dates back centuries—that
"the Executive Branch has exclusive authority and absolute
discretion to decide whether to prosecute a case." f u United
States v. Nixon, 418 U.S. 683, 693, 94 S.Ct. 3090, 41 L.Ed.2d
1039 (1974) (citing P i Confiscation Cases, 74 U.S. (7 Wall.)
454, 19 L.Ed. 196 (1869)). 16
*1261 Ms. Wild's interpretation of the CVRA risks
"impair[ing] ... prosecutorial discretion" in at least two
fundamental ways, which we will examine in turn.
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[171 As an initial matter, consider that the very first
determination that a court must make when asked to enforce
the CVRA is whether the party seeking the Act's benefit
is a "crime victim." That's because the CVRA's opening
provision makes clear that the Act's protections—the rights
enumerated therein—are available only to "crime victim[s]."
IS U.S.C. § 3771(a) ("A crime victim has the following
rights ...."). Notably for our purposes, the CVRA defines
the term "crime victim" to mean "a person directly and
proximately harmed as a result of the commission of a
Federal offense." Id. § 3771(e)(2XA). Accordingly, any
individual asserting rights under the CVRA must, at the
very outset, demonstrate to the district court that she is a
"crime victim" entitled to statutory protection. And, given
the statutory definition's terms, in order to determine whether
the individual has made the requisite showing, the court
must decide whether a "Federal offense" has occurred. When
a prosecutor has already commenced criminal proceedings
against an identifiable individual for a specific crime, that
prosecutor has made at least a presumptive determination that
the individual has in fact committed a "Federal offense." So,
as applied in the context of a preexisting criminal proceeding,
the "crime victim" determination is straightforward: An
individual who has been "directly and proximately harmed"
as a result of the conduct charged by the government is
entitled to CVRA protection and may assert her rights in court
accordingly.
Not so outside the context of a preexisting criminal
proceeding. In that circumstance, if an individual were to
assert CVRA rights as a "crime victim," the court would
first have to determine—but this time without any initial
determination by the government in the form of a charging
decision and, indeed, presumably while the government's
investigation remains ongoing—whether or not a "Federal
offense" has been committed. That scenario—which is
a necessary consequence of Ms. Wild's interpretation—
presents at least three intractable problems.
First, and most obviously, that reading puts the cart before
the horse: When else, if ever, is a court called on to
decide whether an "offense" (i.e., a crime) has occurred
—as opposed to a moral wrong more generally—befom
the government has even decided to press charges? The
answer, so far as we are aware, is never. Second, how, in
the absence of a charging decision, would the court even
go about ascertaining whether an "offense" had occurred?
What would that proceeding look like? A mini- (or perhaps
not-so-mini-) trial in which the court finds facts and makes
legal determinations regarding an "offense" yet to be named?
Finally, and in any event, it seems obvious to us that simply
by conducting such a proceeding and by concluding (up
front) that an "offense" has—or hasn't—occurred, the court
would not only exert enormous pressure on the government's
charging decisions, but also likely frustrate the government's
ongoing investigation. The "impair[ment]" of prosecutorial
discretion would be palpable. I7
*1262 ii
Separately, even if the threshold "crime victim" barrier
could be overcome, the judicial enforcement of CVRA
rights in the pre-charge phase would risk unduly impairing
prosecutorial discretion. Consider first, as a baseline, how
CVRA enforcement ordinarily occurs—post-charge, during
the course of an ongoing prosecution. There, a crime victim
who believes that government lawyers have violated her
rights is quite unlikely to request the sort of extraordinary
affirmative injunction that Ms. Wild sought here—a directive
"order[ing]" prosecutors to confer with her and treat her
fairly. Instead, she will simply ask the court to decline
to take some action that prosecutors (or the defendant,
or perhaps both) have advocated, on the ground that her
statutory rights haven't been respected. So, for instance, a
victim complaining that government lawyers set a hearing
without properly notifying her, see IS U.S.C. § 3771(a)(2)-
(4), will ask the court to delay the hearing. A victim who
asserts that prosecutors struck a plea deal without consulting
her, see id. § 3771(a)(5), will ask the court to reject the
agreement. Importantly here, while such requests provide
the victim complete relief, they don't meaningfully impinge
on post-charge prosecutorial prerogatives because a district
court already has near-plenary control over its own docket
and substantial discretion over whether to accept or reject
a plea deal. Any marginal "impair[ment of] prosecutorial
discretion" is therefore negligible.
Outside the context of a preexisting criminal proceeding, by
contrast, the situation is starkly different, and the intrusion is
significantly greater. It is in that circumstance, as the facts
and procedural history of this case demonstrate, that a victim
—there being no hearing to delay or agreement to challenge
—will be left to ask the court (as Ms. Wild did here) to
"order" prosecutors to confer with her or to treat her "fair[ly]."
It is hard to imagine a more significant "impair[ment of]
prosecutorial discretion" than a district court's injunction
affirmatively ordering government lawyers (presumably on
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pain of contempt) to conduct their prosecution of a particular
matter in a particular manner.
To be clear, even if all that Ms. Wild's interpretation
risked was pre-charge judicial intervention in ongoing
criminal investigations, the threat it posed to prosecutorial
discretion would be reason enough to reject it. Freed from
any line limiting judicial enforcement to the post-charge
phases of a prosecution, courts would be empowered to
issue injunctions requiring consultation with victims (to
name just a few examples) before law-enforcement raids,
warrant applications, arrests, witness interviews, lineups,
and interrogations. Needless to say, that would work an
extraordinary expansion of an already-extraordinary statute.
But there's even more at stake here. What about the
circumstance in which a prosecutor has declined to bring
charges because she has determined that no crime was
committed? Or, as in this case, where the prosecutor has
simply made the decision (right or wrong) that it isn't a
wise use of government resources to litigate whether a
federal crime occurred because the presumed perpetrator
is already slated to serve time in state prison? Ms. Wild's
reading of the CVRA would permit a putative victim to
challenge the correctness, in either case, of the prosecutor's
no-charge decision in *1263 court—effectively appealing
the prosecutor's exercise of discretion to a federal district
judge. Judicial review of a prosecutor's decision whether to
prosecute is the very quintessence of an "impair[ment of]
prosecutorial discretion." IR
sss
[18[
1191 The commencement of criminal proceedings
marks a clear and sensible boundary on the prosecutorial-
discretion spectrum. Before charges are filed—when the
government is still in the process of investigating and
deciding "whether to prosecute"—its authority and discretion
are understood to be "exclusive" and "absolute." f Nixon,
418 U.S. at 693, 94 S.Ct. 3090. By contrast, once the
charging decision is made, the prosecutor steps into the
court's jurisdiction—its "house," so to speak—and thus
necessarily cedes some of her control of the course and
management of the case. From that point forward, the court
will "assume a more active role in administering adjudication
of a defendant's guilt and determining the appropriate
sentence."
United States v. Fokker Sem. B. V, 818 F.3d
733, 737 (D.C. Cir. 2016). Interpreting the CVRA to authorize
judicial enforcement only in the context of a preexisting
proceeding—as its terms plainly permit—thus squares with
the background expectation of judicial involvement. Reading
the Act to provide a private right of action for pre-
charge judicial enforcement, by contrast, contravenes the
background expectation of executive exclusivity. 19
C
The
CVRA's
final
provision—§
3771(1)—further
demonstrates that the Act doesn't create a private right of
action authorizing a crime victim to file a freestanding,
pre-charge lawsuit to vindicate her statutory rights. In
addition to the limited "motion" remedy specified in
subsection (d)(3) and discussed already, subsection (f)—
titled "Procedures to promote compliance"—mandates the
promulgation of regulations to administratively "enforce
the rights of crime victims and to ensure compliance by
responsible officials" with CVRA rights, and then goes on
to require that those regulations include a mechanism for
"receiv[ing] and investigat[ing] complaints," for prescribing
"training" for non-compliant •1264 DOJ employees, and
for imposing "disciplinary sanctions" on willful violators. IS
U.S.C. § 3771(f)(1)—(2). As already explained, the Attorney
General implemented subsection (f)'s directive by adopting
regulations that not only prescribe a detailed administrative
"[c]omplaint process" but also require DOJ officials to
promptly "investigate" any alleged CVRA violations, "report
the results of the investigation" up the chain, and, if
violations are found, to impose a "range of disciplinary
sanctions." 28 C.F.R. § 45.10(b)—(e). Both the Act and its
implementing regulations expressly forbid "judicial review"
of any administrative determination. See 18 U.S.C. § 3771(f)
(2); 28 C.F.R. § 45.10(c)(8).
Congress's decision to direct the establishment of a robust
administrative-enforcement scheme severely undermines any
suggestion that (without saying so) it intended to authorize
crime victims to file stand-alone civil actions in federal
court. Our post-t Sandoval decision in
Love it Delta
Air Lines, 310 F.3d 1347 (11th Cir. 2002), illustrates that
very point, against a remedial backdrop that bears some
similarity to the CVRA. There, we held that Congress had
not created a private right of action to enforce the prohibition
on disability-based discrimination under the Air Carrier
Access Act.
Id. at 1358-59. We reiterated
Sandoval's
teaching that "[s]tatutory intent" to create a private remedy "is
determinative," and we recalled our own earlier observation
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that "[t]he bar for showing [the required] legislative intent
is high."
Id. at 1352-53 (quotation marks and citations
omitted). Most notably for present purposes, we observed
(once again echoing
Sandoval) that if a statute "provides a
discernible enforcement mechanism ... we ought not imply a
private right of action because `[t]he express provision of one
method of enforcing a substantive rule suggests that Congress
intended to preclude others.' "P 11d. at 1353.
We emphasized in P "Love that the Air Carriers Access
Act embodied its own remedial apparatus, which we
described as having two parts. First, the Act created
"an elaborate administrative enforcement scheme"—which,
among other things, permitted aggrieved individuals to
file complaints with the Department of Transportation,
required the Department to investigate those complaints, and
authorized the Department to impose a range of sanctions.
?SM. at 1354-55, 1358. Second, the Act authorized what
we called "a limited form of judicial review"—in particular,
it permitted "an individual with 'a substantial interest' in a
DOT enforcement action [to] petition for review in a United
States Court of Appeals."
Id. at 1356, 1358. That two-track
remedial regime, we concluded, "belie[d] any congressional
intent" to create a freestanding "private right to sue in a federal
district court."
I Id. at 1354. Finding ourselves bound by
Congress's intent—as reflected in statutory text and structure
—we held that we couldn't "create by implication a private
right of action, no matter how socially desirable or otherwise
warranted the result may be." It " Id. at 1359-60.
Love's rationale—which, as noted, follows straightaway
from ["Sandoval—maps onto this case pretty closely. Just
as it did in the Air Carrier Access Act, in the CVRA
Congress created both a robust administrative-enforcement
regime—complete with "complaints," "investigat[ions],"
"decision[s]," and "sanctions"—and a "limited" means
of judicial review—namely, subsection (d)(3)'s "motion"
remedy. The same conclusion that we reached in II "Love
thus likewise follows here: Congress's "express provision
of one method of enforcing a substantive rule"—or as
in P Love, two methods—"suggests that [it] intended to
preclude others."? " Love, 310 F.3d at 1353 (quotations marks
omitted) (quoting ( IISandoval, 532 U.S. at 290, 121 S.Ct.
1511).
*1265 And indeed, as the Supreme Court emphasized in
Sandoval, "[s]ometimes th[at] suggestion is so strong that
it precludes a finding of congressional intent to create a
private right of action ...." Il l 532 U.S. at 290, 121 S.Ct.
1511. Just so here. First, the only form of judicial "relief'
that the CVRA expressly references is "a motion to re-
open a plea or sentence"—which, it goes without saying,
contemplates a preexisting criminal proceeding. 18 U.S.C.
§ 3771(d)(5). In particular, the Act states that a victim may
move to re-open a plea or sentence "only if," among other
things, she "asserted the right to be heard before or during
the proceeding at issue and such right was denied." P 11d.
(emphasis added). In contrast to that remedial mismatch
with Ms. Wild's requests, the administrative-enforcement
process specifically provides for some of the very forms
of relief that Ms. Wild sought here. See id. § 3771(f)(2)
(requiring administrative-enforcement regulations to provide
for "training" and "disciplinary sanctions"); see also 28
C.F.R. § 45.10(d)—(e) (providing for same).
Second, and relatedly, Ms. Wild's interpretation—that the
CVRA authorizes her to bring a stand-alone civil action—
contravenes the Act's clear statement that "there shall be no
judicial review of the final decision of the Attorney General
by a complainant." 18 U.S.C. § 3771(f)(2)(D); see also 28
C.F.R. § 45.10(cX8) ("A complainant may not seek judicial
review of the [Victims' Rights Ombudsman's] determination
regarding the complaint."). On Ms. Wild's reading, any victim
dissatisfied with the result of her administrative-complaint
process could simply file a freestanding suit seeking the same
relief, thereby circumventing the Act's prohibition on judicial
review of agency determinations.
It is difficult—if not impossible—to reconcile Ms. Wild's
freestanding pre-charge suit for judicial enforcement of her
CVRA rights with the administrative-enforcement scheme
that the Act establishes for addressing alleged violations.
That difficulty constitutes still further evidence that Congress
hasn't clearly manifested its intent to authorize stand-alone
civil actions of the sort that Ms. Wild filed here. 2"
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In sum, we find that numerous aspects of the CVRA
—among them, subsection (dX3)'s specification of a
"motion" remedy and warning against appellate review
unduly delaying ongoing "proceedings," subsection (d)
(6)'s "[n]o cause of action" language and prohibition
on any construction of the Act that would "impair ...
prosecutorial discretion," and subsection (f)'s establishment
of a detailed administrative-enforcement *1266 apparatus—
preclude any conclusion that the Act reflects a? Sandoval-
qualifying clear expression of congressional intent to
authorize a crime victim to file a freestanding civil action.
D
Against all this, Ms. Wild relies on two provisions of the
CVRA that, she insists, authorize her to seek pre-charge
judicial enforcement of her statutory rights. Neither, we
conclude, clearly demonstrates Congress's intent to create a
private right of action.
1
First, and most prominently, Ms. Wild points to a single
sentence—or, more precisely, a single comma phrase—in
§ 3771(d)(3), which she calls the Act's "venue" provision:
"The rights described in subsection (a) shall be asserted in
the district court in which a defendant is being prosecuted
for the crime or, if no prosecution is underway, in the
district court in the district in which the crime occurred."
Basically, Ms. Wild's contention—which the district court
adopted—is that the "no prosecution is underway" clause
must mean that CVRA rights can be enforced in court before
the commencement of criminal proceedings and, therefore,
that subsection (d)(3)'s "motion" remedy must constitute
a
Sandoval-qualifying expression of clear congressional
intent to create a private right of action that would authorize a
stand-alone pm-charge civil action. We respectfully disagree.
Subsection (dX3) could just as easily—and far more sensibly,
given the statutory context and the practical and constitutional
problems that Ms. Wild's interpretation would entail—be
understood to refer to the period after a "prosecution" has run
its course and resulted in a final judgment of conviction.
1201
1211 Ms. Wild and the district court read the "no
prosecution is underway" clause to say, in effect, "no
prosecution is [yet] underway"—thereby necessarily pointing
to the period before the prosecution's commencement. But
subsection (d)(3) is temporally agnostic—on its face, it could
well mean that "no prosecution is [still] underway." CI
Underway, Oxford English Dictionary, https://oed.com (last
visited Jan. 8, 2021) (defining "underway" as it pertains to
"a process, project, [or] activity" to mean "set in progress;
in the course of happening or being carried out"); Under
way, Merriam-Webster's Collegiate Dictionary 1365 (11th
ed. 2014) (defining -under way" to mean "in progress:
AFOOT"). So understood, the CVRA would sensibly permit
a victim to file a post-prosecution motion alleging that the
government violated her rights during the course of the
prosecution and asking the court, for instance, to "re-open a
plea or sentence." 18 U.S.C. § 3771(d)(5). 2i
*1267 2
Second, and separately, Ms. Wild points to § 377I(c)(1)— the
so-called "coverage" provision—which states that "[o]fficers
and employees of the Department of Justice and other
departments and agencies of the United States engaged in
the detection, investigation, or prosecution of crime shall
make their best efforts to see that crime victims are notified
of, and accorded, the rights described in subsection (a)."
From the premise that the CVRA applies to "federal officers
'engaged in the detection, investigation, or prosecution of
crime' "—with an emphasis on the provision's "detection"
and "investigation" components—Ms. Wild reasons to the
conclusion that "the Act protects victims before charges are
filed." En Banc Reply Br. of Petitioner at 21.
Ms. Wild's reliance on subsection (c)(1) is misplaced for
three reasons. First, and most obviously, that provision
doesn't speak to judicial enforcement at all. Rather, unlike
subsections (b) and (d), which address courts' responsibilities
under the Act, subsection (c)(1) address non-judicial actors,
requiring them to "make their best efforts" to ensure that
crime victims' rights are respected. Accordingly, whatever §
3771(c)( I) may say about when CVRA rights attach, in the
abstract—an issue that we have said we needn't decide—it
can't provide the basis for discerning a private right of action
to seek pre-charge judicial enforcement of those rights.
Second, and in any event, understood in proper context, it is
clear to us that § 377I(c)( I ) is a "to whom" provision, not
a "when" provision. That is, it merely clarifies that CVRA
obligations extend beyond the officers and employees of
"the Department of Justice" to include, as well, the officers
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and employees of "other departments and agencies of the
United States" that (like DOJ) are "engaged in the detection,
investigation, or prosecution of crime"—e.g., IRS, ICE, and
TSA. Those agencies' employees, like DOTS, must "make
their best efforts to see that crime victims" are afforded
CVRA rights. If subsection (c)(1) were intended to be a
"when" *1268 provision, then the phrase "in the detection,
investigation, or prosecution of crime" presumably would
have been situated differently in the provision, such that the
full sentence would read: "Officers and employees of the
Department of Justice and other departments and agencies
of the United States engaged in-the detectionHnvestigation,
or-preseeufien-oferime shall make their best efforts to see
that crime victims are notified of, and accorded, the rights
described in subsection (a) in the detection. investigation, or
prosecution of crime."
Finally, Ms. Wild's reliance on § 3771(c)(1) proves entirely
too much. If, as Ms. Wild thinks subsection (c)(1) shows,
CVRA rights are subject to judicial enforcement during
the "detection" and "investigation" of crime, then there
is no meaningful basis—at least no meaningful textual
basis—for limiting the Act's pre-charge application. To the
contrary, Ms. Wild's reading of the term "investigation" in
subsection (cX1) would—as already noted—require law-
enforcement officers to "confer" with victims, subject only
to a squishy "reasonable[ness]" limitation, see § 3771(aX5),
before conducting a raid, seeking a warrant, making an arrest,
interviewing a witness, convening a lineup, or conducting an
interrogation. Moreover, every cop on the beat is involved in
crime "detection"—even before any crime is committed. Of
course, there can't be a "crime victim" until a crime occurs,
so the inclusion of "detection" in the coverage provision
just further demonstrates the misfit here. In other words,
Ms. Wild's reading of "detection"—which would apply even
before a crime's commission—renders the clause not just
unreasonably extreme but also incoherent. Absent a much
clearer indication, we cannot assume that Congress intended
such a jarring result.
Presumably sensing the slipperiness of her position—which
is inherent in her reliance on both § 3771(d)(3)'s "venue"
provision and § 3771(c)'s "coverage" provision—Ms. Wild
understandably seeks to draw a line that would capture this
case only, without risking a landslide: "At least," she says,
"in circumstances where a case has matured to the point
where an investigation has been completed, federal charges
have been drafted, and prosecutors and defense attorneys are
engaging in negotiations about disposition of those charges,
prosecutors must confer with the victims as well." En Banc
Br. of Petitioner at 33. That is a line, to be sure—and a line that
*1269 happens to include this case—but it has no footing
in the text of the provisions that she invokes for support. We
cannot re-write, or arbitrarily circumscribe, the CVRA's text
simply to accommodate a particular result.
sss
Even giving Ms. Wild's "venue"- and "coverage"-provision
arguments every benefit of every doubt, we don't see in either
a 1 Sandoval-qualifying clear expression of congressional
intent to authorize a freestanding private right of action to
enforce CVRA rights before the commencement of criminal
proceedings. To the contrary, we find that the textual and
structural evidence overwhelmingly demonstrates that the
CVRA provides a mechanism for judicial enforcement only in
the context of a preexisting proceeding. To the extent that the
Act's language and structure leave any doubt about its proper
scope, we presume that Congress "acted against the backdrop
of long-settled understandings about the independence of
the Executive with regard to charging decisions." if" 'Fokker
SLITS., 818 F.3d at 738. Had Congress intended to upend
(rather than reinforce) those "long-settled understandings"
by authorizing a crime victim to file a pre-charge suit
seeking to enjoin prosecutors to conduct their investigation
in a particular manner, we can only assume it would have
expressed itself more clearly. See,
Puerto Rico v.
Franklin Cat Tax-Free Trust, — U.S. —, 136 S. Ct.
1938, 1947, 195 L.Ed.2d 298 (2016) ("Congress 'does not,
one might say, hide elephants in mouseholes.' " (quoting
P
Whitman v. Am. Trucking Ass'ns, 531 U.S. 457, 468, 121
S.Ct. 903, 149 L.Ed.2d 1 (2001))).
V
For the foregoing reasons, we hold that the CVRA does not
provide a private right of action authorizing crime victims
to seek judicial enforcement of CVRA rights outside the
confines of a preexisting proceeding. We have searched the
Act's language and structure, and we simply cannot discern a
clear expression of congressional intent to authorize the sort
of stand-alone civil action that Ms. Wild filed here.
We are aware, of course, that many will misunderstand today's
decision. To be clear, the question before us is not whether
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Jeffrey Epstein was a bad man. By all accounts, he was. Nor
is the question before us whether, as a matter of best practices,
prosecutors should have consulted with Ms. Wild (and other
victims) before negotiating and executing Epstein's NPA. By
all accounts—including the government's own—they should
have. Our sole charge is to determine, on the facts before us,
whether the CVRA provides Ms. Wild with a private right
of action to enforce her rights outside of the context of a
preexisting criminal proceeding. Despite our sympathy for
Ms. Wild—and the courage that she has shown in pursuing
this litigation—we find ourselves constrained to hold that it
does not.
PETITION DENIED.
WILLIAM PRYOR, Chief Judge, joined by NEWSOM,
LAGOA, and TJOFLAT, Circuit Judges, concurring:
I join the majority's opinion in full. I write separately
to respond to three fundamental errors in the dissenting
opinions. First, by urging us to decide an issue that does not
affect the outcome of this mandamus petition, our dissenting
colleagues have forgotten that we do not issue advisory
opinions. Second, the dissents commit the most common error
of statutory interpretation by reading individual subsections
in isolation instead of reading the whole text of the statute.
Finally, the dissents misunderstand what it means to interpret
*1270 statutes with a presumption against implied rights of
action. I address each mistake in turn.
A. Federal Courts Lack the Power
to Issue Advisory Opinions.
When we ordered rehearing en bane, we asked the parties to
answer two questions in their briefs. First, does the Crime
Victim Rights Act, I8 U.S.C. § 3771, "grant[ ] a crime victim
any statutory rights that apply before the filing of a formal
criminal charge by the government prosecutor?" And second,
"[i]f a crime victim has statutory rights under the [Act] that
apply pre-charge, does the [Act] also grant a crime victim
a statutory remedy to enforce a violation of their statutory
rights?"
The majority opinion sensibly collapses these two questions
into one: does the Act grant a crime victim the right "to
file a freestanding civil suit seeking judicial enforcement of
her rights under the [Act] in the absence of any underlying
proceeding"? Maj. Op. at 1252. It explains that we need not
decide whether the Act confers rights that attach before the
commencement of criminal proceedings and that might be
enforceable through non-judicial channels. Id. at 1251-52.
That determination would have no bearing on the outcome of
this petition.
The dissents take issue with this approach and accuse us
of "blithely" skipping over the first issue. Hull Dissenting
Op. at 1315; see also Branch Dissenting Op. at 1294 ("This
issue, which was the basis of the prior panel's decision, is
an important legal question of first impression in our Circuit.
Nevertheless, the Majority declines to address it in its en bane
decision."). One of our dissenting colleagues is candid about
her motivations. She urges us to answer the first question
because of the "victims' perseverance in litigating the rights
issue for a decade and obtaining en banc review of the
rights issue," "the seriousness of the federal sex-trafficking
crimes against petitioner Wild and the other 30-plus minor
victims," "the government's egregious misconduct," and "the
fact that if the Epstein victims' ... rights attached pre-charge,
the government's misconduct undisputedly violated them."
Id. at 1316. Conspicuously, the dissenters do not assert that
answering the first question would change how we resolve the
underlying case or controversy.
There is a well-known term for judicial opinions that interpret
laws without resolving cases or controversies: advisory
opinions. The federal judicial power is limited to resolving
actual "Cases" and "Controversies." U.S. Const. art. Ill,
§ 2, cl. I. "No principle is more fundamental to the
judiciary's proper role in our system of government than [this]
constitutional limitation[.]"
Simon v. E. Ky Welfare Rts.
Org., 426 U.S. 26, 37, 96 S.Ct. 1917, 48 L.Ed.2d 450 (1976).
The prohibition against advisory opinions is "the oldest and
most consistent thread in the federal law of justiciability."
I Flast a Cohen, 392 U.S. 83, 96, 88 S.Ct. 1942, 20 L.Ed.2d
947 (1968) (internal quotation marks omitted). Today, it is
"taken for granted" as "an uncontroversial and central element
of our understanding of federal judicial power." Richard H.
Fallon, Jr. et al., Hart and Wechsler's The Federal Courts and
the Federal System 50 (7th ed. 2015).
The rule that federal courts do not issue advisory opinions can
be traced back to the Founding era. In 1793, after Secretary
of State Thomas Jefferson sent the Supreme Court questions
about the rights and obligations of the United States to remain
neutral toward the warring nations of Europe, the Court made
clear that the Constitution prohibited it from advising the
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Executive Branch. 3 Correspondence and Public Papers of
John Jay 486-89 (Henry P. Johnston ed. 1891). As the Justices
explained *1271 in a letter to President George Washington,
"the lines of separation drawn by the Constitution between the
three departments of the government ... and our being judges
of a court in the last resort[ ] are considerations which afford
strong arguments against the propriety of our extrajudicially
deciding the questions alluded to." Id. at 488.
The prohibition against issuing advisory opinions also runs
through our caselaw all the way back to ?al Hayburn's Case,
2 U.S. 408, 2 Dail. 409, I L.Ed. 436 (1792). A federal
statute authorized courts to determine disability pensions for
Revolutionary War veterans. ?'Mistretta v. United States,
488 U.S. 361. 402, 109 S.Ct. 647, 102 L.Ed.2d 714 (1989)
(describing
Hayburn's Case). These determinations were
subject to review by the Secretary of War. t tld. The Supreme
Court was presented with a mandamus petition asking it to
order a federal circuit court to consider a pension request.
? I Hayburn's Case, 2 U.S. (2 Dall.) at 409. It decided
not to take up the petition until the next term. P yld. By
then, Congress had amended the statute and rendered the
controversy moot.
t Id. at 409-10. Although the Supreme
Court never issued an opinion, five justices considered the
statute while riding circuit, and the Supreme Court reporter
included their opinions in a footnote.
Id. at 410 n.t. All
agreed that requiring a federal court to issue nonbinding
opinions advising the Executive on how to perform its
duties breached the separation of powers inherent in the
constitutional structure.
Id. The circuit court for the district
of North Carolina, which included Justice James Iredell,
doubted "the propriety of giving an opinion in a case which
has not yet come regularly and judicially before" it. ? I Id.
at 414 n.t. "None can be more sensible," the court wrote,
"than we are of the necessity of judges being in general
extremely cautious in not intimating an opinion in any case
extrajudicially[.]"
Id.
Like the pension recommendations that federal courts were
asked to provide in f a Haybunes Case, the dissents would
have us advise the Executive Branch about what rights
it must provide a crime victim going through political
or administrative channels before the commencement of
criminal proceedings. In other words, they would have us
issue an advisory opinion about the powers and duties of
the Executive. Although the dissents may disagree with ow
more modest approach to resolving this mandamus petition,
there is nothing "blithe" about refraining from extra-judicial
pronouncements and respecting our limited role under the
Constitution.
The dissents respond to a strawman version of this concern
by turning it into a jurisdictional issue. Hull Dissenting Op. at
1316-18. Lest there be any confusion, I acknowledge that we
have jurisdiction to decide whether the Act confers pre-charge
rights, just as the original panel did. But because the majority
opinion correctly decides that the Act does not confer any
judicially enforceable rights before the commencement of
criminal proceedings, nothing that we could say about pre-
charge rights that might be enforceable through non judicial
channels would change the outcome of this petition.
The dissents counter that we could resolve the first question
as an alternative holding. Id. at 1317-18. But our answer to
the first question would be an alternative holding only if we
rejected the dissents' interpretation of the Act and concluded
that the Act does not confer any pre-charge rights, judicially
enforceable or otherwise. If, on the other hand, we were to
agree with the dissents and say that the Act does confer pre-
charge rights, those rights would not be judicially enforceable
and our resolution of this petition for a writ of mandamus
would not change. Moreover, ow opinion about pre-charge
*1272 rights would not be binding on the Executive in the
same way that the opinions about pension requests were not
binding in? I He/Aunts Case.
B. We Construe Statutes by Reading the Whole
Text, Not Individual Subsections in Isolation.
The dissents repeatedly assert that their interpretation of the
Act follows from the "plain and unambiguous meaning"
of subsections (aX5), (aX8), and (d)(3). Branch Dissenting
Op. at 1295-96, 1313-14 (internal quotation marks omitted).
They accuse us of "do[ing] violence to the statutory text"
by "drawing a line limiting judicial enforcement to the
post-charge phases of a prosecution." Id. at 1314 (internal
quotation marks omitted). Our role as judges, they remind us,
is to interpret and follow the law regardless of the outcome.
Id. (citing? Bostock v. Clayton County, — U.S. -,
140
S. Ct 1731, 1823, 207 L.Ed.2d 218 (2020) (Kavanaugh, J.,
dissenting)).
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Our dissenting colleagues' professed commitment to
textualism is laudable. But it is one thing to recite the canons
of statutory interpretation, and it is an entirely different matter
to apply them correctly. See
Rostock, 140 S. Ct. at 1755-
56 (Afito, J., dissenting) ("The Court's opinion is like a pirate
ship. It sails under a textualist flag, but what it actually
represents is a theory of statutory interpretation that Justice
Scalia excoriated ....").
The dissents commit a basic error of statutory interpretation
by reading subsections (a)(5), (aX8), and (dX3) in isolation
without looking to the rest of the Act. "Statutory
construction ... is a holistic endeavor?? a United Say. Assen of
Tex. v. Timbers of Inwood Forest Assocs., Ltd., 484 U.S. 365,
371, 108 S.Ct 626, 98 L.Ed.2d 740 (1988). "In expounding a
statute, we must not be guided by a single sentence or member
of a sentence, but look to the provisions of the whole law,
and to its object and policy."? j Pennhurst State Sch. & Hosp.
y. Halderman, 451 U.S. I, 18, 101 S.Ct. 1531, 67 L.Ed.2d
694 (1981) (internal quotation marks omitted). "Perhaps no
interpretive fault is more common than the failure to follow
the whole-text canon, which calls on the judicial interpreter
to consider the entire text, in view of its structure and of
the physical and logical relation of its many parts." Antonin
Scalia & Bryan A. Garner, Reading Law: The Interpretation
of Legal Texts § 24, at 167 (2012). And although the dissents
cite the whole-text canon, Branch Dissenting Op. at 1295-96,
they fail to apply it in their analysis.
The dissents' error manifests itself in several ways. Take,
for example, the dissents' focus on subsection (a), which
provides a list of crime victims' rights. 18 U.S.C. § 3771(a).
Most of these rights make sense only in the context of
ongoing criminal proceedings, which supports the majority's
view that crime victims cannot seek judicial enforcement
of these rights until after criminal charges are filed. The
dissents point out that two of these rights, read in isolation
from the rest of the statute, could apply before the filing
of criminal charges: "[t]he reasonable right to confer" with
the government attorney and "[t]he right to be treated with
fairness and with respect." Id. § 3771(aX5), (a)(8). But the
dissents fail to account for other provisions of the Act that
make clear that the rights in subsection (a) can be asserted
only in the context of ongoing criminal proceedings. The
paragraph immediately after the list of crime victims' rights
provides that a "court shall ensure that the crime victim is
afforded the rights described in subsection (a)" "[i]n any court
proceeding involving an offense against a crime victim." Id.
3771(6)(1) (emphasis added). And the Act later provides
that a crime victim may assert his or her rights in subsection
(a) by filing a "motion" "in *1273 the district court in
which a defendant is being prosecuted for the crime or, if no
prosecution is underway, in the district court in the district in
which the crime occurred." Id. § 377I(d)(3).
The dissents' answer to the problems posed by these
provisions is to interpret the word "motion" in subsection (d)
(3) as establishing a cause of action to launch a freestanding
civil action. But the dissents do not dispute that the Act
allows a crime victim to move the district court to assert
his or her rights in an ongoing criminal proceeding. So the
dissents have to interpret the word "motion" to mean two
different things at the same time. In the context of an ongoing
criminal proceeding, the dissents agree that a motion is an
ordinary filing with the district court. But in the absence of
a criminal proceeding, the dissents contend that the "motion"
serves as a complaint that commences a civil action against
the government. Subsection (d)(3) also provides that "[i]f the
district court denies the relief sought, the movant may petition
the court of appeals for a writ of mandamus." Id. Under the
dissents' interpretation, a "movant" again means either one
of two different things: the victim in a criminal proceeding or
the plaintiff in a civil action. To further complicate matters,
the Act uses the word "motion" again only two paragraphs
later but with only one possible meaning. Subsection (d)(5)
provides that "[a] victim may make a motion to re-open a
plea or sentence," which makes sense only in the context of a
criminal proceeding. Id. § 377I(d)(5). So the dissents treat the
word "motion" as if it is a linguistic chameleon that changes
its meaning in different circumstances to serve whatever
purpose they favor, but we presume "that identical words
used in different parts of the same act are intended to have
the same meaning." Scalia & Garner, Reading Law § 25, at
170 (quoting ? AN. Cleaners & Dyers, Inc. v. United States,
286 U.S. 427, 433, 52 S.Ct. 607, 76 L.Ed. 1204 (1932)). The
dissents have no explanation for their incongruous reading of
the whole statute.
The dissents' interpretation of "motion" in subsection (d)
(3) as sometimes creating a civil cause of action is also
difficult to reconcile with subsection (d)(6), which is titled
"No cause of action." 18 U.S.C. § 3771(d)(6). To be sure, the
first sentence in subsection (dX6) refers to a cause of action
for damages only, which could leave open the possibility
of declaratory or injunctive relief. But the second sentence
provides, "Nothing in this chapter shall be construed to
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impair the prosecutorial discretion of the Attorney General
or any officer under his direction." Id. And as Judge Tjoflat
meticulously explains in his concurring opinion, allowing
an individual to initiate a freestanding civil action seeking
declaratory or injunctive relief under the Act in the absence of
an ongoing criminal proceeding would unquestionably impair
prosecutorial discretion. Tjoflat Concurring Op. at 1282-88.
Finally, the dissents have no answer to the majority's point that
the United States has not clearly waived sovereign immunity.
Maj. Op. at 1258-59 n.15. As a leading treatise explains,
"A statute does not waive sovereign immunity ... unless that
disposition is unequivocally clear." Scalia & Garner, Reading
Law § 46, at 281. No provision of the Act plausibly, much less
unequivocally, suggests that the United States has consented
to be sued in a civil action by a crime victim seeking to enforce
his or her rights under the Act.
By failing to read the whole text of the Act, the dissents
commit a common error of statutory interpretation. When
read in the context of the entire statute, their interpretation of
subsections (a)(5), (a)(8), and (dX3) is implausible.
*1274 C Statutes Are Interpreted with a
Presumption Against Implied Rights of-Action.
The dissents expend significant time and energy asserting that
the majority opinion is wrong that f Alexander v. Sandoval,
532 U.S. 275, 121 S.Ct 1511, 149 L.Ed.2d 517 (2001),
counsels against finding an implied cause of action in the
Act. My colleagues may recall that our Court was reversed in
Sandoval. I fear that the lesson of that reversal still has not
been learned by some.
We interpret statutes with a presumption against, not in favor
of, the existence of an implied right of action. Scalia & Garner,
Reading Law § 51. at 313. The Supreme Court made this
principle clear in
Sandoval when it said that it had "sworn
off the habit of venturing beyond Congress's intent" by
discovering implied rights of action in statutory texts. ?II 532
U.S. at 287, 121 S.Ct. 1511. If a statute passed by Congress
does not "display[ ] an intent to create not just a private right
but also a private remedy," then "a cause of action does not
exist and courts may not create one, no matter how desirable
that might be as a policy matter, or how compatible with
the statute."
Id. at 286-87, 121 S.Ct. 1511. Moreover, if
the "statutory structure provides a discernible enforcement
mechanism, u Sandoval teaches that we ought not imply a
private right of action because `the express provision of one
method of enforcing a substantive rule suggests that Congress
intended to preclude others.' "
Love v. Delta Air Lines, 310
F.3d 1347, 1353 (Ilth Cir. 2002) (alteration adopted) (quoting
Sandoval, 532 U.S. at 290, 121 S.Ct. 1511).
The dissents' criticisms of the majority opinion's application
of
Sandoval to
`
the Act are puzzling. They spend several
pages explaining a Sandoval in detail and arguing that the
majority has misapplied it. Branch Dissenting Op. at 1299-
1302, 1308-10; Hull Dissenting Op. at 1320-25. But they
also contend that the Act expressly grants a private right of
action. Branch Dissenting Op. at 1298-99; Hull Dissenting
Op. at 1321, 1323. If the Act expressly granted a private right
of action, then f j Sandoval would be beside the point.
In addition to this schizophrenic line of attack, the dissents
also misunderstand
Sandoval. They contend that the Crime
Victims' Rights Act is distinguishable from the statute at issue
in
Sandoval because it has "rights-creating language"
and is addressed to crime victims instead of government
agencies. Hull Dissenting Op. at 1323 (internal quotation
marks omitted). Never mind that the Act expressly provides
for an administrative-enforcement mechanism by requiring
the government to promulgate regulations for "receiv[ing]
and investigat[ing] complaints" from crime victims and for
"training" and "disciplin[ing]" government employees. 18
U.S.C. § 3771(f)(1), (f)(2)(A)-(C). That fact alone should
defeat the possibility of a pre-charge private right of action.
The dissents also wrongly assume that the Act's supposedly
"rights-creating language" is concrete enough to be judicially
enforceable. Hull Dissenting Op. at 1322 (internal quotation
marks omitted). The Supreme Court long ago explained that
Congress sometimes uses language that is "intended to be
hortatory, not mandatory." t I Pennhurst, 451 U.S. at 24, 101
S.Ct. 1531. "A particular statutory provision, for example,
may be so manifestly precatory that it could not fairly be
read to impose a binding obligation on a governmental
unit, or its terms may be so vague and amorphous that
determining whether a deprivation might have occurred
would strain judicial competence." C a Livadas v. Bradshaw,
512 U.S. 107, 132, 114 S.Ct. 2068, 129 L.Ed.2d 93 (1994)
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(alteration adopted) (citation *1275 and internal quotation
marks omitted). Terms like "reasonable" and "sufficient,"
absent any statutory guidance as to how they are to be
measured, are "far too tenuous to support the notion that
Congress" meant to confer judicially enforceable rights on
individuals. Ca
Blessing v. Firestone, 520 U.S. 329, 345,
117 S.Ct. 1353, 137 L.Ed.2d 569 (1997); see also!' Suter
v. Artist M., 503 U.S. 347, 359-60, 112 S.Ct. 1360, 118
L.Ed.2d 1 (1992). We expect Congress to "speak with a clear
voice[ ] and [to] manifest[ ] an unambiguous intent to confer
individual rights." PI Gonzaga Univ. v. Doe, 536 U.S. 273,
280, 122 S.Ct. 2268, 153 L.Ed.2d 309 (2002) (alteration
rejected) (internal quotation marks omitted).
"The reasonable right to confer with" a government attorney
and "[t]he right to be treated with fairness and with respect"
do not provide the kind of administrable language that the
Supreme Court has said—time and again—is required of
judicially enforceable rights. 18 U.S.C. § 3771(a)(5), (aX8).
It is one thing to say that these vague "rights" are enforceable
in the context of a pending criminal action where the crime
victim already has far more specific rights, such as protection
from the accused, id. § 3771(a)(1), accurate and timely notice
of court proceedings, id. § 3771(aX2), the opportunity to be
heard, id. § 3771(a)(4), and restitution, id. § 3771(aX6). But
it is implausible that the Act creates judicially enforceable
"rights" to confer reasonably and to be treated with fairness
and respect in a standalone civil suit.
sss
One final point merits a response. The dissents remind us that
"our role as judges is to interpret and follow the law as written,
regardless of whether we like the result." Branch Dissenting
Op. at 1314 (alteration rejected) (quoting
Bostock, 140 S.
Ct. at 1823 (Kavanaugh, J., dissenting)). Respectfully, readers
of today's opinions can judge for themselves who is faithfully
interpreting the Act and who, if anyone, is allowing their
policy preferences to influence their judgment.
NEWSOM, Circuit Judge, concurring:
When I authored the now-vacated panel opinion denying
Ms. Wild's mandamus petition, I expressed my "sincere[ ]
regret" that the decision had left her "largely emptyhanded."
In re Wild, 955 F.3d 1196, 1220 (11th Cir. 2020), reh'g
en bane granted, opinion vacated, 967 F.3d 1285 (11th Cir.
2020). Even as the en bane Court vindicates and reaffirms
that decision today, I am filled with the same sense of sorrow.
As our opinion summarizes, Ms. Wild "suffered unspeakable
horror" at the hands of Jeffrey Epstein, one of this era's most
infamous child predators. Maj. Op. at 1247. Then, adding
insult to an already grievous injury, government prosecutors
(by their own admission) affirmatively misled Ms. Wild—
and dozens of others like her—regarding the status of their
criminal investigation. Shameful all the way around. The
whole thing makes me sick.
But—and it's a big "but"—my job, as a judge, isn't to
dispense "justice," in the abstract, as I see fit. My role in ow
tripartite form of government is, as relevant here, to faithfully
interpret and apply the laws that Congress has passed in
accordance with the precedents that the Supreme Court has
established. Sometimes I'll like the results; sometimes I won't.
But adherence to the rule of law requires a certain outcome-
blindness—or at least outcome-agnosticism. That constraint
—that fact of being bound by rules that others have made
—is what separates judges from elected politicians in ow
constitutional system. On days like this—when my heart
breaks for one of the parties before me—it's *1276 also what
makes being a judge particularly tough.
So, about today's decision, I'll simply say the same thing I said
last go-round: "It's not a result [I] like, but it's the result [I]
think the law requires." r M m Wild, 955 F.3d at 1198. And
my obligation—my oath—is to the law.
TJOFLAT, Circuit Judge, with whom WILLIAM PRYOR,
ChiefJudge, and WILSON, NEWSOM, and LAGOA, Circuit
Judges, join, concurring:
I concur wholeheartedly in the majority's opinion. I write
separately to elaborate on the untoward effects a pre-charge
CVRA model would have on the fairness of our courts and
on the separation of powers. My concurrence proceeds in
three parts. First, I will outline the litigation models Judge
Branch's dissent t and the majority propose: one conferring
judicially enforceable rights to crime victims pre-charge, and
one conferring such rights to crime victims post-charge. Then,
I will identify two fairness concerns the dissent's pre-charge
model would raise. Finally, to bring us home, I will expand
on the majority's discussion of the separation of powers
doctrine and elaborate on why a pre-charge CVRA model
would impermissibly drag federal courts into the business of
prosecution. By laying these problems out in simple terms,
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my hope is that readers of today's decision will understand
precisely why we are compelled to deny Ms. Wild's petition.
To orient the reader, I will begin with a brief overview of the
pre- and post-charge CVRA litigation models.
A.
Let's start with the dissent's pre-charge model. 2 For now, I
will keep the analysis high-level, as I will walk through the
problems with this model in detail in parts II and III.
If a victim's CVRA rights are judicially enforceable pm-
charge, then any pm-charge efforts to vindicate those
rights must begin, as the majority opinion explains, with a
freestanding civil lawsuit against the United States Attorney 3
for the district in which the alleged crime was committed.
In his civil complaint, the victim would need to allege that
there is probable cause to believe that a specific *1277
person—for shorthand, "the accused"—committed a specific
federal crime, and that the victim is indeed a "crime victim"
as defined by 18 U.S.C. § 3771(eX2). 4 The complaint
would also seek some relief, presumably an injunctive order
requiring the United States Attorney to honor the victim's
rights under IS U.S.C. § 3771(a)(5)—the "reasonable right
to confer"—and (aX8)—the "right to be treated with fairness
and with respect."
In response, the United States Attorney would file an
answer5 to the complaint. It stands to reason that, in the
answer, the United States Attorney would prefer a general
denial—pursuant to Federal Rule of Civil Procedure 8(b)
(3)—to avoid revealing any specific information that could
jeopardize an ongoing federal investigation. Any attempt to
keep the investigation under wraps, however, would likely be
thwarted by the victim's requests for discovery of information
from the investigation that is relevant to the CVRA claim—
specifically the issue of probable cause. See,e.g.,Farnsworth
v. Procter & Gamble Co., 758 F.2d 1545, 1546 (11th Cir.
1985) ("The law's basic presumption is that the public
is entitled to every person's evidence. The Federal Rules
of Civil Procedure strongly favor full discovery whenever
possible." (citations omitted)). Indeed, it is entirely possible
that the crime victim's civil discovery would eventually
subject the federal investigators to depositions.
Ultimately, while the federal investigation is still ongoing,
the district court would be required to hold a bench trial
to determine whether there is probable cause to believe a
federal crime has been committed, and if so, whether the
victim who filed the complaint is a "crime victim" under the
CVRA. This trial would presumably include the presentation
of discovered evidence, testimony from some witnesses, fact
finding, and, in the end, legal determinations by the district
court. Assuming the district court concludes that (1) there is
probable cause to believe a federal offense was committed
and (2) the victim was indeed a "crime victim" of that
offense,6 the court must then go about the task of crafting an
injunctive order 7 that mandates the United States Attorney's
compliance with IS U.S.C. § 377l (a)(5) and (a)(8) during the
ongoing criminal investigation.
B.
Now, let's take a look at the majority's post-charge model.
Under that model, a crime victim may seek to enforce his
rights by filing a "motion" in a preexisting criminal action.
See Maj. Op. at 1257-58. The victim's motion would likely
seek (among other things) an injunctive order requiring the
United States Attorney to honor the victim's "reasonable
right to confer" and "right to be treated with fairness and
with respect"—just like the pre-charge model. But, under
the post-charge model, there is *1278 no need to open a
freestanding civil lawsuit, there is no need to interfere with
the government's investigation, and there is no need to drag
the United States Attorney into district court—the attorney is
already before the court to prosecute the underlying criminal
case. Instead, the post-charge model leaves only two narrow
issues to be litigated in a hearing before the court: is the victim
in fact a "crime victim" as defined in 18 U.S.C. § 3771(e),
and if so, should an order issue to mandate the Government
attorney's compliance with § 3771(a)(5) and (a)(8)?
Importantly, under this model, the crime victim's motion can
be filed only after there has been a presumptive determination
that a federal offense has been committed and that the accused
is the one who committed it. To state the obvious, by the
time a charge has been filed, the grand jury has already
concluded that there is probable cause to believe that the
accused committed the offense at issue.
Indeed, in some
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instances, the accused may have already pled guilty by
the time the crime victim files his motion, and thus any
argument regarding the lack of probable cause would be
waived. See,
United States v. Pierre, 120 F.3d 1153,
1155 (11th Cir. 1997) ("A defendant's unconditional plea
of guilty, made knowingly, voluntarily, and with the benefit
of competent counsel, waives all non-jurisdictional defects
in that defendant's court proceedings." (alteration adopted)).
As a result, there is no need in the post-charge model to
determine whether probable cause exists to believe a crime
that is currently being investigated was committed.
II.
With these models in mind, I turn to two fairness concerns that
accompany the dissent's pre-charge CVRA litigation model.
A.
First, the dissent's pre-charge model raises the question of
whether the individual accused of a federal crime must be
joined in the crime victim's freestanding CVRA civil action.
For a variety of reasons, I believe the answer must be "yes."
Rule 19 of the Federal Rules of Civil Procedure governs
the joinder of parties. This Circuit has outlined a two-part
test for determining "whether a party is indispensable" under
Rule l9.
Focus on the Fain. it Pinellas Suncoast Transit
Auth., 344 F.3d 1263, 1279 (II th Cir. 2003) (citation omitted).
"First, the court must ascertain under the standards of Rule
I9(a) whether the person in question is one who should be
joined if feasible. If the person should be joined but cannot
be (because, for example, joinder would divest the court of
jurisdiction) then the court must inquire whether, applying
the factors enumerated in Rule 19(b), the litigation may
continue." C R Id at 1280 (citation omitted).
Part one of our two-part Rule 19 test focuses on whether a
person is a "required party." A person is a required party to a
lawsuit when (I) "in that person's absence, the court cannot
accord complete relief *1279 among existing parties," or
(2) where the absent party claims an interest relating to the
action, disposing of the action without the absent party may
"as a practical matter impair or impede the person's ability
to protect the interest; or leave an existing party subject to
a substantial risk of incurring double, multiple, or otherwise
inconsistent obligations because of the interest." Fed. R. Civ.
R I 9(a)(I)(BXi)-(ii).9
The second part of our test—drawn from Rule 19(b)—
sets forth four nonexclusive factors "that must be examined
in each case to determine whether, in equity and good
conscience, the court should proceed without a party whose
absence from the litigation is compelled."
Provident
Tradesmen Bank & Trust Co. v. Patterson, 390 U.S. 102,
109, 88 S. Ct. 733, 737-38, 19 L.Ed.2d 936 (1968). These
four factors include "( 1) how prejudicial a judgment would be
to the nonjoined and joined parties, (2) whether the prejudice
could be lessened depending on the relief fashioned, (3)
whether the judgment without joinder would be adequate, and
(4) whether the plaintiff would have any alternative remedies
were the case dismissed for nonjoinder." C a Laker Ainvays,
Inc. v. British Ainvap, PLC, 182 F.3d 843, 848 (11th Cir.
1999).
So, a district court faced with a pre-charge CVRA lawsuit
would first be asked to determine whether the accused
is a "required party." 1a To address this question, let's
look at two examples. First, consider a case in which
the accused has entered into a nonprosecution agreement
with the United States Attorney. If the crime victim's pre-
charge suit ultimately seeks mission of the nonprosecution
agreement between the accused and the government, it is
abundantly clear that the accused is both a required and
indispensable party. See, e.g., Hon. William W. Schwarzer
et al., Federal Civil Procedure Before Trial § 7:114 r[A]II
parties to a contract and others having a substantial interest
in it are indispensable in an action to rescind or set aside
the contract?" (quotation marks omitted)); r Enter Mgmt.
Consultants, Inc. it United States a rel. Hodel, 883 F.2d 890,
894 (10th Cir. 1989) ("No procedural principle is more deeply
imbedded in the common law than that, in an action to set
aside a lease or a contract, all parties who may be affected by
the determination of the action are indispensable." (cleaned
up)). If the accused—a party to the contract—is not required,
how could the district court go about "accord[ing] complete
relief among existing parties"? Fed R. Civ. P. I 9(a)( I )(A).
It would be a strange result indeed for the court to rescind
a contract that one of the signatories was not permitted to
defend.
Second, even in a case without a nonprosecution agreement,
I am convinced that *1280 the accused would be a required
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party in the civil suit. Regardless of the remedy sought, a
crime victim's pre-charge CVRA suit will necessarily require
a determination by the district court that there is probable
cause to believe a federal offense has been committed and that
the accused committed it. See supra part I.A. This is exact&
the same determination a magistrate judge is asked to make at
a Federal Rule of Criminal Procedure 5.1 preliminary hearing.
Fed. R. Crim. P. 5.1(e) ("If the magistrate judge finds probable
cause to believe an offense has been committed and the
defendant committed it, the magistrate judge must promptly
require the defendant to appear for further proceedings."). II
It goes without saying that a defendant's attendance is
expected at the preliminary hearing, and the defendant would
be permitted to cross-examine adverse witnesses and present
evidence. Id. I see no reason that we should treat a pseudo-
preliminary hearing in a pre-charge CVRA civil action any
differently.
Indeed, my position finds some support in the text of Rule
I 9(aX1)(B)(i): "A person who is subject to service of process
and whose joinder will not deprive the court of subject-matter
jurisdiction must be joined as a party if ... that person claims
an interest relating to the subject of the action and is so
situated that disposing of the action in the person's absence
may ... as a practical matter impair or impede the person's
ability to protect the interest." Does the accused have an
"interest relating to the subject of the" pre-charge CVRA suit?
Undoubtedly. The pre-charge suit is litigating whether there is
probable cause to believe that the accused committed a federal
crime, and any ruling by the court on that issue may ultimately
affect the accused's rights. So then, would disposing of the
action in the accused's absence impair the accused's ability
to protect those rights? Of course. A district court allowing a
crime victim to question witnesses adverse to the accused in
the accused's absence stinks of unfairness.
Next, assuming the accused is a required party, the court
must determine whether the accused is indispensable. See
Provident Tradesmens Bank & Trust Co, 390 U.S. at
118-19, 88 S. Ct. at 742-43. In other words, the district
court must decide whether the litigation may—"in equity and
good conscience"—continue despite the accused's absence.
Fed. R. Civ. P. 19(b). Surely it could not in the pre-charge
suit. The first factor we have outlined in this consideration
—"how prejudicial a judgment would be to the nonjoined
and joined parties"—is nearly diapositive.
Laker Airways,
182 F.3d at 848. A judgment in favor of the crime victim
would necessarily entail a finding that there is probable cause
to believe the accused committed a federal offense. As I
will discuss infra part III, this determination places intense
pressure on the United States Attorney to, at the very least.
make an arrest of the accused.
The second factor—"whether the prejudice could be lessened
depending on the relief fashioned"—militates for the same
result. Id. Regardless of the relief fashioned, the district court,
by rendering a judgment in favor of the crime victim, has
already made a determination that there is probable cause to
believe the accused committed the offense. There simply is no
way to lessen that prejudice to the accused, nor can the court
lessen the pressure the decision *1281 places on the United
States Attorney. So, although the third and fourth factors of
the test—whether the judgment without joinder would be
adequate and whether the plaintiff would have any alternative
remedies were the case dismissed for nonjoinder—may, in
some instances, cut the opposite direction, I see no way that
the balance of these "pragmatic considerations" could ever
weigh against a finding of indispensability.
In re Torcise,
116 F.3d 860, 865 (11th Cir. 1997). As a result, the accused
would need to be joined in any pre-charge CVRA suit. 12
B.
With the accused's presence in the pre-charge civil suit
secured, I turn briefly to my concerns about the accused's
representation in that suit.
Pursuant to the Sixth Amendment, criminal defendants are
entitled to the assistance of counsel.
United States It
Gorey, 540 F.3d 1253, 1262 (11th Cir. 2008) (en bane). That
right attaches, for the purposes of the Sixth Amendment,
when "a prosecution is commenced."? a McNeil v. Wisconsin,
501 U.S. 171, 175, III S. Ct. 2204, 2207, 115 L.Ed.2d 158
(1991). In other words, a criminal defendant is entitled to
counsel "at or after the initiation of adversary judicial criminal
proceedings—whether by way of formal charge, preliminary
hearing, indictment, information, or arraignment"? a United
States v. Gouveia, 467 U.S. 180, 188, 104 S. Ct. 2292, 2297,
81 L.Ed.2d 146 (1984) (emphasis added) (citation omitted).
But a civil litigant has no constitutional right to counsel, and
while a court may appoint counsel for an indigent litigant, see
I 28 U.S.C. § 1915(e)(1), 13 the court has broad discretion
in making this decision and should do so only in "exceptional
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circumstances," I/ a Bass it Perrin, 170 F.3d 1312, 1320 (11th
Cir. 1999).
Consider how the differing treatment of criminal defendants
and civil litigants affects the majority's and dissent's positions.
In the majority's post-charge model, the accused is a criminal
defendant and thus has the right to counsel. f Garey, 540
F.3d at 1262. But in the dissent's pre-charge model, the
accused—assuming she must be joined in the suit—is no
different than any other civil litigant and, as a result, has no
right to counsel. This is an odd (and, I argue, unfair) result.
In the criminal context, it is abundantly clear that a defendant
is entitled to counsel at a preliminary hearing, consistent
with the Sixth Amendment's "purpose of protecting the
unaided layman at critical confrontations with his adversary."
Goumia, 467 U.S. at 189, 104 S. Ct. at 2298. And yet, in
a civil suit litigating precisely the same issue as a criminal
preliminary hearing—that is, whether there is probable cause
to believe the accused committed a federal offense—the
dissent's model hangs the accused out to dry.
Now, one could argue that
28 U.S.C. § 1915(e)(1) provides
a safety valve for this *1282 type of situation. And while
I concede that t
§ 1915(e)(1) may, in some circumstances,
permit the district court to appoint counsel for a civil litigant,
our case law makes clear that this mechanism should be used
sparingly: "The appointment of counsel is ... a privilege that is
justified only by exceptional circumstances, such as where the
facts and legal issues are so novel or complex as to require the
assistance of a trained practitioner?" t tt Dean v. Barber, 951
F.2d 1210, 1216 (11th Cir. 1992) (quoting Poole v. Lambert,
819 F.2d 1025, 1028 (11th Cir. 1987) (citations omitted)).
It is not immediately clear to me that a district court would
conclude that a civil CVRA suit is "so novel or complex" as
to require the appointment of counsel. And even if it were
clear, an accused's request for court-appointed counsel would
be a litigable issue, and different courts could reach different
conclusions.
sss
In short, I believe the operational difficulties that accompany
a pre-charge civil CVRA suit open the door to rank unfairness.
By litigating criminal law issues in a civil case, the dissent's
model puts at risk the rights of the accused, rights that
would otherwise be protected under the majority's post-
charge criminal model. One can quibble with whether that
should be the case as a theoretical matter, but our case law
makes clear that it cannot be the case in practice. In any event,
there is simply no way that Congress intended to create a
freestanding cause of action that allows the rights of those
accused of federal crimes to be litigated in civil cases in which
they may not participate.
III.
Now, to the heart of the matter—the separation of powers.
There can be no doubt that the Executive Branch has
exclusive power over prosecutorial decisions. See
United
States st Nixon, 418 U.S. 683, 693, 94 S. Ct. 3090, 3100,
41 L.Ed.2d 1039 (1974) ("[T]he Executive Branch has
exclusive authority and absolute discretion to decide whether
to prosecute a case ...."); t
Confiscation Cases, 74 U.S. (7
Wall.) 454, 457, 19 L. Ed. 196 (1868) ("Public prosecutions,
until they come before the court to which they are returnable,
are within the exclusive direction of the district attorney ....');
Heckler v. Chaney, 470 U.S. 821, 832, 105 S. Ct.
1649, 1656, 84 L.Ed.2d 714 (1985) r[T]he decision of a
prosecutor in the Executive Branch not to indict ... has
long been regarded as [within] the special province of the
Executive Branch, inasmuch as it is the Executive who is
charged by the Constitution to 'take Care that the Laws be
faithfully executed.' "(quoting U.S. Const. art. II, § 3)). This
Executive Branch authority obviously includes the decision
to investigate suspected criminal activity and whether to seek,
or not seek, an indictment from the grand jury.
Federal courts may not arrogate the powers of the other
branches of government."P
*1283 Application of
President's Commen on Organized Crime, 763 F.2d 1191,
1195 (11th Cir. 1985) ("What the separation of powers has
been construed to prohibit is those arrogations of power to one
branch of government which `disrupt[ ] the proper balance
between the coordinate branches.' " (quoting p a Nixon v.
Adm'r of Gen. Servs., 433 U.S. 425, 443, 97 S. Ct. 2777,
2790, 53 L.Ed.2d 867 (1977))). So, to maintain the separation
of powers—which is based on "Montesquieu's view that the
maintenance of independence as between the legislative, the
executive and the judicial branches" was essential to the
preservation of liberty, P a Myers v. United States, 272 U.S.
52, 116, 47 S. Ct. 21, 25, 71 L.Ed. 160 ( I 926)—federal
courts must stay out of the prosecution business. But despite
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repeated admonitions on this point from both the Supreme
Court and this Court, the dissent's pm-charge CVRA litigation
model would inevitably embed federal courts in the United
States Attorney's investigation and prosecution of the case.
sss
First, consider the issue of confidentiality. As I discussed
in part I.A., there is a presumption that a crime victim's
pre-charge civil action will be a matter of public record.
1111 Wilson, 759 F.2d at 1571 (stating that denying the
public access to litigation records must be necessitated by
a compelling governmental interest, and the denial must be
narrowly tailored to that interest). This presents a very real
problem for the United States Attorney. In a high-profile
case, the press will undoubtedly be active, and there is no
guarantee in an unsealed case that witnesses—or even the
crime victim—would not disclose confidential information.
The disclosure of any confidential information regarding
the government's ongoing investigation could derail the
investigation and have serious detrimental effects on the well-
being of informants and cooperating witnesses. IS Indeed,
witnesses called *1284 in the pre-charge civil case—whose
testimony is now public—may become worthless to the
United States Attorney in the subsequent criminal proceeding.
To this, one may say that district court judges should
simply seal these pre-charge cases as a matter of course, or
perhaps that we should treat them as we would a grand jury
proceeding. I have two points in rebuttal. The first proposal
—a presumption of sealing—is directly contrary to ow
precedent. See id. (discussing the "presumption of openness
to civil proceedings"). It would be an extreme deviation from
our caselaw and tradition to find a freestanding right of action
in the CVRA and only then try to shut Pandora's box by
kicking the presumption of public access to the curb. 16 And
while the second proposal—a grand-jury like proceeding—
may have some appeal, grand jury secrecy is ensured by the
Federal Rules of Criminal Procedure. See Fed. R. Crim. P. 6(e)
(2)(b). 17 There is no such rule in the Federal Rules of Civil
Procedure, and it is not clear to me that the judiciary could
impose one.
S..
Next, consider the catch-22 the crime victim's complaint
creates for the United States Attorney. The government has
two options when responding to the complaint: it can either
admit that there is probable cause to believe the accused
committed the crime, or it can deny. Both present serious
problems.
If the United States Attorney concedes that them is probable
cause, the public—and the crime victim—will reasonably
wonder why the accused has not already been arrested or
indicted. Of course, there are good reasons that the United
States Attorney would prefer to continue investigating despite
the existence of probable cause. Most obviously, probable
cause is only enough for an indictment, not a conviction. To
secure a conviction, the United States Attorney must gather
enough evidence to overcome the presumption of innocence
and prove guilt beyond a reasonable doubt. See ? mkt Ir
Winship, 397 U.S. 358, 364, 90 S. Ct. 1068, 1073, 25 L.Ed.2d
368 (1970). In addition, it may be that the accused is being
investigated for more than one crime. So, while the United
States Attorney may hope to gather enough evidence to indict
the accused on multiple crimes, the dissent's pre-charge model
would have the government show its hand before it has fully
built its case. The pressure this places on the government to
seek an indictment or to make an arrest prematurely short
circuits our system of justice.
Alternatively, what if the United States Attorney denies that
there is probable cause to believe the accused committed a
federal crime? On this point, I see two potential scenarios
unfolding. On the one *1285 hand, the district court may
—over the United States Attorney's denial—find probable
cause, thereby influencing the government's decision whether
to file a complaint under Federal Rule of Criminal Procedure
3 or to seek an indictment. This plainly places federal courts in
the prosecution business, and the public would surely see the
outsized sway the court holds over the prosecutor's discretion.
On the other hand, the district court may agree with the
United States Attorney and find no probable cause. 111 If the
government then proceeds with its investigation and later
indicts the accused on the same crime the crime victim's
complaint alleged, what is the public left to think? In the
pre-charge civil suit, the United States Attorney—wanting
to continue its investigation unimpeded—is incentivized to
make its worst case for probable cause. For example, the
government may deny that certain evidence points to probable
cause, or perhaps the government would take it easy on
witnesses called by the crime victim in the civil case. But
then, when the United States Attorney goes to indict, she
would argue that the evidence does indicate that there was
probable cause. Likewise, at the criminal trial, the United
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States Attorney would pull out all the stops when questioning
the same witnesses she only lightly examined in the civil
case. 19 Those paying careful attention would reasonably
conclude that the government sandbagged in the civil case so
that it could better prosecute the criminal one.
Unfortunately, the dissent's model leaves the United States
Attorney with little room to maneuver. The government can
(1) admit that there is probable cause and face the wrath of
the public for failing to seek an indictment; (2) deny that there
is probable cause, lose in the civil case, and still be expected
by the public to prosecute the accused in a half-baked case;
or (3) deny that there is probable cause, win in the civil case,
be expected to prosecute the accused, go forward with the
prosecution, argue that there is probable cause, and thus give
10
the appearance of sandbagging.
*1286 Two rocks on one
side, a hard place on the other.
sss
Finally, consider how the pre-charge civil CVRA suit would
likely proceed in practice. The crime victim would file suit
alleging that the United States Attorney failed to honor IS
U.S.C. § 3771(a)(5)—the "reasonable right to confer"—
and (a)(8)—the "right to be treated with fairness and with
respect." After some motions, some discovery, and a pseudo-
preliminary hearing, the parties would wind up before the
district judge for a bench trial to determine whether the
victim's CVRA rights have been violated. Assuming the court
rules in favor of the victim, it must then craft a remedy—
an injunction requiring the attorney to confer with the victim
and to treat the victim with respect. This injunction poses two
major problems for the dissent's model.
To start, how could a district judge craft an injunction that
complies with Federal Rule of Civil Procedure 65? Under
that rule, the order must be "specific[ ]" and "describe in
reasonable detail ... the act ... required." Fed. R. Civ. P.
65(dX I )(B)—(C). These requirements serve three purposes.
First, they provide notice to the enjoined party of precisely
what it must do to avoid being held in contempt—the
party cannot be left guessing. See
McDonald's Corp. v.
Robertson, 147 F.3d 1301, 1311 (11th Cir. 1998). Second,
a specific and reasonably detailed order is easy to enforce,
while a vague order is not. See Iftnn Oil Co. v. Purolator
Chem. Corp., 536 F.2d 84, 86 (5th Cir. 1976)21 (stating
that "(I)oose injunctive orders are neither easily obeyed nor
strictly enforceable" (quoting 7 J. Moore, Federal Practice P
65.11, at 65-103 (2d ed. 1975) (alteration in original))). Third,
an injunction that does not meet these requirements breeds
disrespect for the courts and the rule of law.
In these pre-charge civil CVRA suits, an injunction requiring
the attorney to "confer" with the victim and treat him "fairly"
would be wide open to interpretation. It stands to reason
that the United States Attorney would interpret the injunction
as narrowly as possible—perhaps it only requires a short
conversation with the victim about the investigation—while
the victim would construe it as broadly as possible—perhaps
it compels the government to cede to his wishes and rescind
a nonprosecution agreement. Put simply, the parties would
be left guessing about what the injunction required—such an
injunction simply does not satisfy Rule 65. Seel' Robertson,
147 F.3d at 1311.
But even if the district court could craft an adequately
specific injunction, there is a second problem: compelling
compliance with the injunction. Let's assume, for example,
that the injunction requires the United States Attorney to
attend an in-person meeting with the victim to discuss the
criminal investigation. After the meeting, the crime victim
may feel as though the United States Attorney is stalling a
charging decision, or the victim may feel—for any number
of reasons—that he was not treated fairly during the meeting.
The victim could then return to the district court in which
the civil action was filed and seek an order requiring the
United States Attorney to show cause as to why she should
not be held in contempt—and perhaps sanctioned—for failing
to comply with the injunction. At the show-cause hearing, the
United States Attorney would again have to explain why the
investigation is being conducted a certain way or why certain
information could not be disclosed *1287 to the crime
victim. The district court would then need to dig around in the
United States Attorney's investigation—potentially revealing
confidential information—to discover exactly what had and
had not been disclosed to the crime victim.22 Ultimately, it
is entirely possible that the district court would influence the
course of the United States Attorney's investigation or order
disclosure of otherwise confidential information to the crime
victim.
This contempt problem is not a one-and-done ordeal, either.
At any step in the government's investigation, the crime
victim could call upon the district court to meddle in the
case. That problem is only compounded by large-scale cases
in which multiple victims could—pursuant to the injunction
—seek to have the United States Attorney conduct the
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investigation in conflicting ways. 23 This would essentially
transform federal courts from impartial arbiters to prosecution
micromanagers.
Plainly, such interference is unacceptable. The notion that
a district court could have any input on a United States
Attorney's investigation and decision whether to file a
complaint or bring a case to the grand jury is entirely
incompatible with the constitutional assignment to the
Executive Branch of exclusive power over prosecutorial
decisions. WU Nixon, 418 U.S. at 693, 94 S. Ct. at 3100.
Additionally, it is hard to imagine a bigger intrusion on
executive autonomy than the possibility that a United States
Attorney will be held in contempt for violating an injunction
if her investigation is not handled as the victim and district
court see fit.
Given the separation of powers problems the dissent's pre-
charge model raises, and given that the majority's post-charge
model avoids those problems, the Court is compelled by
the canon of constitutional avoidance to adopt the latter
model. See?. Gomez v. United States, 490 U.S. 858, 864,
109 S. Ct. 2237, 2241, 104 L.Ed.2d 923 (1989) ("It is
our settled policy to avoid an interpretation of a federal
statute that engenders constitutional issues if a reasonable
alternative interpretation poses no constitutional question.").
This conclusion is bolstered by the language of the CVRA,
which explicitly states that none of the statute's provisions
should be read to diminish prosecutorial discretion: "Nothing
in this chapter shall be construed to impair the prosecutorial
discretion of the Attorney General *1288 or any officer
under his direction." 18 U.S.C. § 3771(d)(6).
IV.
So, for all the reasons stated in the majority's opinion, and for
the fairness and separation of powers reasons I have outlined
above, I believe the Court is required to deny Ms. Wild's
petition.
BRANCH, Circuit Judge, joined by MARTIN, JILL
PRYOR, and HULL, Circuit Judges, dissenting:
This petition for a writ of mandamus presents important issues
of first impression regarding the Crime Victims' Rights Act
("CVRA"), 18 U.S.C. § 3771, that affect all crime victims
in this Circuit. After over a decade of litigation, the Majority
holds that Jeffrey Epsteie's victims were not authorized to
bring this petition because the CVRA does not permit stand-
alone suits, and, therefore, it should have been dismissed at
the very outset back in 2008. I respectfully dissent because
(I) the plain text of the CVRA grants crime victims two
"pre-charge" rights—the "reasonable right to confer with the
attorney for the Government" and the "right to be treated with
fairness"—and (2) it provides crime victims with the statutory
private remedy of judicial enforcement of those rights "if no
prosecution is underway" by filing a motion for relief "in the
district court in the district in which the crime occurred." See
18 U.S.C. § 3771(a)(5), (a)(8), (d).
As background, a prior panel of this Court decided that the
CVRA grants no crime victim any rights in the "pre-charge"
period before an indictment. Thus, because the government
never indicted Jeffrey Epstein, the panel held that his victims
never had any CVRA rights. 1 In tr Wild, 955 F.3d 1196,
1219 (11th Cir. 2020). One member of the panel dissented,
pointing out how (1) the plain text of the CVRA does not
contain the requirement of a preexisting indictment or court
proceeding, and (2) the panel's holding materially rewrote the
statute and gutted victims' rights under the CVRA. Phi. at
1223-25 (Hull, J., dissenting).
Petitioner Wild filed a petition for rehearing en bane, which
was granted. After vacating the panel opinion, we ordered
briefing and oral argument on two issues:
I. Whether the [CVRA] ... grants a crime victim any
statutory rights that apply before the filing of a formal
criminal charge by the government prosecutor?
2. If a crime victim has statutory rights under the CVRA
that apply pre-charge, does the CVRA also grant a crime
victim a statutory remedy to enforce a violation of their
statutory rights?
The Majority now changes course and avoids the first issue
completely, stating that "we needn't decide whether, in the
abstract, the rights to confer and to be treated with fairness
might attach prior to the formal commencement of criminal
proceedings."
In answering only the second question, the Majority assumes
implicitly, albeit in a cursory manner, that victims' rights
"might attach" during the "pre-charge" period. But the
Majority then holds that the CVRA does not give crime
victims a private right to enforce their CVRA rights judicially
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unless the government decides to indict and commence court
proceedings. I In other words, rather than discuss the "rights-
creating" language in the CVRA and its relevance to the
remedy issue, the Majority avoids the first en bane issue.
See *1289 f - Alexander v. Sandoval, 532 U.S. 275, 288,
121 S.Ct. 1511, 149 L.Ed.2d 517 (2001) (noting that the
presence or absence of " `rights-creating' language" in a
statute is "critical to the Court's analysis" of whether Congress
intended to provide a private right of action to a particular
benefitted class). The Majority then, in essence, adds a new
requirement to the text of the CVRA—that there must be a
preexisting indictment and ongoing court proceeding before
a crime victim may file a motion for relief under § 3771(d).
I dissent because the Majority errs in failing to enforce the
plain text of the CVRA and in concluding that this case should
have been dismissed at the outset in 2008.
My dissent proceeds in five parts. First, I review the facts
surrounding the plea deal with Epstein. Second, I review the
procedural history. Third, I turn to how Congress granted
expressly to crime victims in § 3771(a)(5) and (a)(8) a
"reasonable" right to confer and a right to be treated fairly
and those rights attach pre-charge. Fourth, I review (A)
how the Majority has misapplied and misinterpreted the
Supreme Court's? Sandoval decision; (B) how the CVRA
text in § 377I(d) expressly provides victims who believe
their CVRA rights were violated pre-charge with a statutory
remedy—a private right to seek judicial enforcement of
their statutory rights in § 3771(a)—when no prosecution is
underway; (C) how the statutory interpretation errors in the
Majority's reading of § 3771(d) and (f) leads it to the opposite
conclusion; and (D) how even under the Majority's analysis,
the existence of the administrative remedy in § 3771(1) does
not make the express judicial remedy in § 377I(d) unavailable
to the victims, much less show that Congress did not intend
a judicial remedy for crime victims in the "pre-charge"
period. Fifth, I discuss why the CVRA plainly precludes any
interference with prosecutorial discretion.
1. FACTS
As recounted by the Majority, following a 2005 report by the
parents of a 14-year-old girl that then 52-year-old billionaire
Jeffrey Epstein sexually abused their daughter, local Florida
authorities—and later the FBI—began investigating Epstein.
That investigation revealed that, between approximately 1999
and 2007, Epstein and multiple co-conspirators assembled a
network of more than 30 underage girls whom he sexually
abused at his mansion in Palm Beach, Florida. The victims
la
ded one of the initial petitioners in this case,
(Jane Doe I), who was 15 years old when Epstein first
sexually abused her.
Following the FBI's investigation, the U.S. Attorney's Office
for the Southern District of Florida accepted the case for
prosecution and assigned specific federal prosecutors to
handle the case. The lead Assistant U.S. Attorney ("AUSA"),
A. Marie Villafaita, sent a letter to the identified victims,
informing each victim that she was protected by, and had
rights under, the CVRA.
For example, in 2006, the U.S. Attorney's Office wrote
petitioner Wild, stating that: (1) "you have a number of
rights" under the CVRA, including "[t]he reasonable right to
confer with the attorney for the United States in the case,"
"[t]he right to be treated with fairness," and "the right to
petition the Court for relief' if Wild believed her CVRA rights
were being violated; (2) "the U.S. Department of Justice
and other federal investigative agencies, including the [FBI],
must use their best efforts to make sure that these rights are
protected"; and (3) "[y]ou also are entitled to notification of
upcoming case events" and "[a]t this time, your case is under
investigation." See IS U.S.C. § 3771(a), (d)(3). In March
2007, the U.S. Attorney's *1290 Office began sending these
letters to Epstein's other victims.
By May 2007, the U.S. Attorney's Office had completed an
82-page prosecution memo and a 53-page draft indictment
against Epstein, charging him with federal crimes related to
the sex trafficking of minor victims. The prosecutors were
prepared and ready to indict Epstein.
Meanwhile, for over nine months in 2007 (from January
to September), the U.S. Attorney's Office secretly engaged
in discussions with Epstein's defense team regarding
the forthcoming federal criminal charges. During this
time, Epstein's defense team made multiple unsuccessful
presentations to convince the U.S. Attorney's Office not
to prosecute Epstein, maintaining he committed no federal
crimes. However, following a September 7, 2007 meeting
with Epstein's defense team, U.S. Attorney Alexander R.
Acosta" notified Epstein's team that "our Office [has]
decided to proceed with the indictment." 3
Despite this statement, the former U.S. Attorney subsequently
changed his position for reasons not apparent from the record.
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Specifically, rather than pursue the indictment, the U.S.
Attorney's Office entertained a non-prosecution agreement,
whereby the U.S. Attorney's Office would defer federal
prosecution of Epstein and his co-conspirators if Epstein
pleaded guilty to two state prostitution-solicitation charges.
And on September 24, 2007, the U.S. Attorney's Office
and Epstein signed a seven-page agreement, entitled "Non-
Prosecution Agreement," documenting the government's
charging decision and Epstein's agreement with it.
The Agreement identified the federal crimes of Epstein and
his co-conspirators 4 and provided that the U.S. Attorney's
Office agreed that "prosecution in th[e] District for these
offenses shall be deferred" provided that Epstein met certain
conditions. Additionally, the Agreement extended immunity
to Epstein's named co-conspirators,
•
Lesley Groff, [and
' as well as "any
potential co-conspirators" of Epstein's. In return for federal
immunity, Epstein agreed to plead guilty to two low-level
state solicitation of prostitution charges and serve 18 months
in the county jail.5
A core term of the Agreement was that it remain secret
from the public, even after it was finalized. The Agreement
specifically provided that "[t]tle parties anticipate that this
agreement will not be made part of any public record,"
and that, should the United States receive "a Freedom of
Information Act request or any compulsory process *1291
commanding the disclosure of the agreement, it will provide
notice to Epstein before making that disclosure." 6
The victims were not notified of the executed Agreement.
Instead, for nine months after the September 2007 execution
of the Agreement, the U.S. Attorney's Office continued to
negotiate with Epstein's defense team about the extent of
crime victim notifications—a course of action which the
U.S. Attorney's Office now admits is a deviation from the
government's standard practice. Epstein's attorneys opposed
any victim notifications, but the U.S. Attorney's Office
insistently and repeatedly told Epstein's attorneys that it was
statutorily obligated under the CVRA to notify and confer
with the victims about the Agreement and upcoming events,
including Epstein's state plea. 7
Nevertheless, for still unknown reasons, the U.S. Attorney's
Office acquiesced to the demands of Epstein's attorneys and
did not notify all of the victims of the Agreement. Rather,
the U.S. Attorney's Office affirmatively misled victims
for months concerning the Agreement and the resolution
of the federal case. For example, on January 10, 2008,
the government sent Epstein's victims more letters, this
time misrepresenting that "[t]his case is currently under
investigation. This can be a lengthy process and we request
your continued patience while we conduct a thorough
investigation." Further, on January 31, 2008, Wild met with
AUSA Villafaila, FBI agents, and another federal prosecutor,
provided additional details of Epstein's sexual abuse of her,
and expressed her hope that Epstein would be prosecuted.
During that meeting, however, the federal prosecutors and
FBI agents still did not disclose the Agreement to Wild. Then,
in mid-June of 2008, Bradley Edwards, the attorney for Wild
and several of Epstein's other victims, discussed with AUSA
Villafafia the possibility of federal charges being filed against
Epstein in the future. AUSA Villafaiia failed to mention the
Agreement or its terms.
On June 30, 2008, Epstein pleaded guilty in Florida state court
to (I) solicitation of *1292 prostitution and (2) procuring a
person under the age of 18 for prostitution. That same day, the
state court sentenced Epstein to 18 months' imprisonment in
the county jail.
Having still not been informed of the resolution of Epstein's
federal case, on July 3, 2008, attorney Edwards sent a letter to
the U.S. Attorney's Office communicating the victims' wishes
that federal charges be filed against Epstein.
II. PROCEDURAL HISTORY
Because no prosecution was underway for years and lacking
any information about the case, on July 7, 2008, Courtney
Wild (proceeding as "Jane Doe I") filed an emergency
petition in "the district court in the district in which the crime
occurred." See 18 U.S.C. § 3771(d)(3) ("The rights described
in subsection (a) shall be asserted in the district court in
which a defendant is being prosecuted for the crime or, if no
prosecution is underway, in the district court in the district in
which the crime occurred.").
Wild's petition alleged that she was a victim of Epstein's
federal crimes and that the U.S. Attorney's Office had violated
her CVRA rights (1) to confer with federal prosecutors, (2)
to be treated with fairness, (3) to receive timely notice of
relevant court proceedings, and (4) to receive information
about restitution. Another of Epstein's victims identified as
Jane Doe 42 later joined the petition.
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Once the victims filed the petition in the district court, the
U.S. Attorney's Office reversed course, contradicting what it
had stated expressly in multiple earlier letters to the victims.
The U.S. Attorney's Office now claimed that the CVRA rights
never attached "pre-charge," and, therefore, because there
was no criminal indictment (or information or complaint) ever
filed, Epstein's victims never had any CVRA rights in the
first place. It was only in the U.S. Attorney's Office's July
9, 2008, responsive pleading in the district court that Wild
learned that, over nine months earlier in September 2007, the
U.S. Attorney's Office had signed an agreement with Epstein
not to prosecute him for federal crimes if Epstein pleaded
guilty to two state charges.
In August 2008, pursuant to a court order, the victims finally
obtained a copy of the Agreement. What followed was more
than a decade of contentious litigation between the victims,
the government, and Epstein, who was allowed to intervene
to oppose the victims' discovery requests. See c k Doe No. I
v. United States, 749 F.3d 999, 1003 (11th Cir. 2014).
A. District Court's 2011 and 2013 Orders: Victims Have
CVRA Rights That Attach "Pre-Charge"
During the district court proceedings, the government argued
that "as a matter of law the CVRA does not apply before
formal charges are filed, i.e., before an indictment or similar
charging document." ti Does v. United States, 817 F. Supp.
2d 1337, 1341 (S.D. Fla. 2011). The district court, in a
published order, rejected this argument, holding that "the
statutory language [of the CVRA] clearly contemplates pre-
charge proceedings," and, therefore, "those rights must attach
before a complaint or indictment formally charg[ing] the
defendant with the crime" is filed.
11d. at 1341-42.
Furthermore, in examining the statutory text and structure
of the CVRA, the district court interpreted the CVRA as
permitting a crime victim to initiate a freestanding cause
of action to enforce the victim's CVRA rights where no
prosecution is underway—just as Wild did here. !. 01d. at
1340-41. Specifically, citing § 3771(d)(3), the district court
explained that "[i]f a prosecution is underway, the CVRA
grants victims standing to vindicate *1293 their rights in
the ongoing criminal action. If, however, a prosecution is
not underway, the victims may initiate a new action under
the CVRA in the district court of the district where the
crime occurred." I/11d. (internal citation omitted). Having
determined that the CVRA rights could attach pre-charge, the
district court deferred ruling (pending discovery) on the issue
of whether the particular rights asserted by the victims here—
the rights to confer and to be treated fairly—attached, and, if
so, whether the U.S. Attorney's Office violated those rights.
Id. at 1343.
Thereafter, in a published order denying the government's
subsequent motion to dismiss the action, the district court held
that the "'reasonable right to confer... in the case' guaranteed
by the CVRA at § 377l (a)(5) is properly read to extend to the
pre-charge stage of criminal investigations and proceedings,
certainly where—as here—the relevant prosecuting authority
has formally accepted a case for prosecution." Doe v United
States, 950 F. Supp. 2d 1262, 1267 (S.D. Fla. 2013) (alteration
in original). 8
B. District Court's February 2019 Order: Government
Violated Victims' Rights
After years of litigation, in February 2019, the district court
ruled that the U.S. Attorney's Office had violated the victims'
CVRA rights to confer and to be treated fairly. Doe I v United
States, 359 F. Supp. 3d 1201, 1218-22 (S.D. Fla. 2019). The
court found that the U.S. Attorney's Office not only entered
into the Agreement without conferring with the victims but
also decided to "conceal the existence of the [Agreement] and
mislead the victims to believe that federal prosecution was
still a possibility." 9 Id. at 1218-19.
The district court directed the parties to brief potential
remedies. Id. at 1222. Wild proposed several remedies,
including an order scheduling a victim-impact hearing and a
meeting between the victims and the prosecutors, the release
of certain documents concerning the prosecutors' decision to
enter into the Agreement, the recission of the Agreement, and
the discovery of other materials.
C. District Court's September 2019 Order Closing Case
Epstein was found dead in his prison cell of an alleged suicide
on August 10, 2019. 10 *1294 On September 16, 2019, the
district court entered an order closing the case. As to Epstein,
the district court determined that "there is no longer an Article
Ill controversy" given his death. As to the co-conspirators,
the district court found it lacked jurisdiction over them.
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D. Wild's Petition for Mandamus in this Court
Thereafter, on September 30, 2019, Wild filed a petition for
writ of mandamus with this Court, seeking review of the
district court's September 2019 order closing the case. See IS
U.S.C. § 3771(d)(3) ("If the district court denies the relief
sought, the movant may petition the court of appeals for a writ
of mandamus."). Her petition set forth various types of relief
sought under the CVRA and explained why the petition was
not moot.
The government opposed Wild's arguments on the merits and
argued, in relevant part, that: (1 ) the action was moot because
any rights the victims had already had been or would be
vindicated; (2) the victims had no rights under the CVRA
because the government never filed formal federal charges
against Epstein in a court; and (3) the CVRA did not authorize
the victims to file this case or authorize their requested
remedies.
On April 14, 2020, a divided panel of this Court denied
Wild's mandamus petition. A majority of the panel agreed
with the government that the CVRA rights did not attach "pre-
charge" and that the victims never had any statutory rights
under the CVRA in the first place. 1 1/ In re Wild, 955 F.3d
at 1219. The dissent disagreed, discussing why the victims
had CV RA rights under the plain text of the statute. 11d. at
1223-25 (Hull, J., dissenting). All agreed that if the victims
had CVRA rights "pre-charge," the prosecutors egregiously
violated them. Wild petitioned this Court for rehearing en
bane. On August 7, 2020, this Court granted the petition,
vacated the panel opinion, and directed the parties to brief two
issues, which I discuss in turn.
III. CRIME VICTIMS' RIGHTS "PRE-CHARGE"
The first issue on which we ordered en bane briefing is
whether the CVRA grants crime victims the rights to confer
and be treated fairly prior to the filing of an indictment. This
question is about the timing of when CVRA rights attach, not
the scope of the rights. This issue, which was the basis of the
prior panel's decision, is an important legal question of first
impression in our Circuit. Nevertheless, the Majority declines
to address it in its en bane decision. Because the first question
of whether the CVRA grants crime victims any rights prior to
the filing of an indictment is inextricably intertwined with the
second question of whether the CVRA grants crime victims
a statutory remedy to enforce violations of those rights, I will
address both in order."
*1295 The CVRA grants "crime victims" 12 the following
rights:
( I) The right to be reasonably protected from the accused.
(2) The right to reasonable, accurate, and timely notice of
any public court proceeding, or any parole proceeding,
involving the crime or of any release or escape of the
accused.
(3) The right not to be excluded from any such public court
proceeding, unless the court, after receiving clear and
convincing evidence, determines that testimony by the
victim would be materially altered if the victim heard
other testimony at that proceeding.
(4) The right to be reasonably heard at any public
proceeding in the district court involving release, plea,
sentencing, or any parole proceeding.
(5) The reasonable right to confer with the attorney for the
Government in the case.
(6) The right to full and timely restitution as provided in
law.
(7) The right to proceedings free from unreasonable delay.
(8) The right to be treated with fairness and with respect for
the victim's dignity and privacy.
18 U.S.C. § 377I(a) (2008). 13 In this case, there are only
two CVRA rights at issue: the conferral right set forth in
subsection (aX5) and the right to be treated with fairness and
respect set forth in subsection (a)(8).
In determining when the statutory rights granted to crime
victims in the CVRA attach, "[o]ur starting point is the
language of the statute itself." I/ 1EEOC g STME, LLC, 938
F.3d 1305, 1313 (11th Cir. 2019) (quotation omitted). When
"the language at issue has a plain and unambiguous meaning,"
we "need go no further." United States v. St. Amour, 886
F.3d 1009, 1013 (11th Cir. 2018) (quoting
United States
v. Fisher, 289 F.3d 1329, 1337-38 (11th Cir. 2002)); see also
? Robinson g Shell Oil Co., 519 U.S. 337, 341, 117 S.Ct.
843, 136 L.Ed.2d 808 (1997) ("The plainness or ambiguity of
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statutory language is determined by reference to the language
*1296 itself, the specific context in which that language is
used, and the broader context of the statute as a whole.").
Furthermore, in determining the meaning of a statute, we
"assume that Congress used the words of the statute as they
are commonly and ordinarily understood and must construe
the statute so each of its provisions is given full effect."
P United States it McLymont, 45 F.3d 400, 401 (I I th Cir.
1995). Therefore, "[w]e do not look at one word or term in
isolation, but instead we look to the entire statutory context."
[ • STME, 938 F.3d at 1314 (quotation omitted).
Additionally, under the conventional rules of statutory
construction, when Congress has used a more limited term
in one part of a statute, but left it out of other parts, courts
should not imply the term where it has been excluded. See
Keene Corp. v. United States, 508 U.S. 200, 208, 113
S.Ct. 2035, 124 L.Ed.2d 118 (1993) ("[W]here Congress
includes particular language in one section of a statute but
omits it in another ..., it is generally presumed that Congress
acts intentionally and purposely in the disparate inclusion
or exclusion." (quotation omitted)); C a Russello v. United
States, 464 U.S. 16, 23, 104 S.Ct. 296, 78 L.Ed.2d 17 (1983)
(declining to read a term appearing in two subsections of a
statute to have the same meaning where there is "differing
language" in the subsections). Thus, our statutory analysis
begins (and ultimately ends) with the language of § 377I(a)
(5) and (a)(8).
The plain language of § 3771(a)(5) and (aX8) makes it clear
that the rights attach prior to the filing of any indictment.
Unlike the rights described in § 377I(aX2), (a)(3), and (aX4),
which contain temporally-limiting language that ties those
rights to post-indictment court proceedings, § 3771(aX5) and
(a)(8) contains no such language. The presence of temporally-
limiting language in certain subsections of the CVRA and
its absence in others demonstrates that when Congress
wants to limit crime victims' rights to post-indictment court
proceedings, it knows how to do so and does so expressly. See
Va. Uranium, Inc. it Warren, 587 U.S. —, 139 S. Ct. 1894,
1900, 204 L.Ed.2d 377 (2019) (explaining that "in any field of
statutory interpretation, it is our duty to respect not only what
Congress wrote but, as importantly, what it didn't write");
see also Antonin Scalia & Bryan A. Gamer, Reading Law:
The Interpretation of Legal Texts 182 (2012) ("The familiar
`easy-to-say-so-if-that-is-what-was-meant' rule of statutory
interpretation has MI force here. The silence of Congress is
strident." (quoting C a Commer of Internal Revenue v. Beck's
Est., 129 F.2d 243, 245 (2d Cir. 1942))). Where, as here,
the language Congress used is clear and unambiguous, our
inquiry is complete.
CBS Inc. it PrimeTime 24 Joint
Venture, 245 F.3d 1217, 1222 (11th Cir. 2001). We are bound
to "presume that Congress said what it meant and meant what
it said."
Id. (quoting P. United States it Steele, 147 F.3d
1316, 1318 (11th Cir. 1998) (en bane)); see alsol° Keene
Corp., 508 U.S. at 208, 113 S.Ct. 2035. Therefore, under the
plain language of the CVRA, the rights set forth in subsections
(a)(5) and (a)(8) attach pre-charge.
Indeed, the remainder of the CVRA is structured in
acknowledgement of the fact that the plain language of the
CVRA provides that certain rights attach pre-charge. See
! eiHome Depot U.S.A., Inc. v. Jackson, 587 U.S. —,
—, 139 S. Ct. 1743, 1748, 204 L.Ed.2d 34 (2019) ("It
is a fundamental canon of statutory construction that the
words of a statute must be read in their context and with a
view to their place in the overall statutory scheme." (quoting
! I Davis v. Mich. Dep't of Treasury, 489 U.S. 803, 809, 109
S.Ct. 1500, 103 L.Ed.2d 891 (1989))); P ° Johnson v. United
States, 559 U.S. 133, 139, 130 S.Ct. 1265, 176 L.Ed.2d I
(2010) ("Ultimately, context determines *1297 meaning.").
Specifically, subsections (c) and (d) expressly refer to the
rights in subsection (a) and further bolster the conclusion
that certain rights afforded to crime victims in subsection (a)
attach pre-charge.
Section 3771(c), titled "[blest efforts to accord rights,"
instructs that the Justice Department and "other departments
and agencies of the United States engaged in the detection,
investigation, or prosecution of crime shall make their best
efforts to see that crime victims are
accorded[ ] the
rights described in subsection (a)." 18 U.S.C. § 3771(c)( I)
(emphasis added). There would be no reason to mandate
that federal agencies involved in crime "detection" or
"investigation" ensure that crime victims are accorded their
CVRA rights if those rights did not exist "pre-charge." Rather,
the use of disjunctive wording in subsection (c)—the "or"—
indicates agencies that fit either description must comply,
even though in some circumstances the investigatory and
prosecution phases may overlap. Furthermore, if victims
have CVRA rights only after an indictment is filed, the
other "departments and agencies" would then necessarily
be involved, to some extent, with the "prosecution of
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[the] crime," and the use of the term "prosecution" would
be sufficient to sweep in all relevant actors, making the
"detection" and "investigation" language in subsection (c)
superfluous. See Scalia & Garner, supra, at 176 ("If a
provision is susceptible of (I) a meaning that gives it an effect
already achieved by another provision ..., and (2) another
meaning that leaves both provisions with some independent
operation, the latter should be preferred.').
Additionally, § 3771(d)(3) provides that "lino prosecution is
underway," crime victims can assert the rights described in
subsection (a) "in the district court in which a defendant is
being prosecuted for the crime or, in the district court in the
district in which the crime occurred." 18 U.S.C. § 3771(d)
(3) (emphasis added). Thus, the plain statutory language of
subsection (dX3) demonstrates that the CVRA grants crime
victims' rights that apply prior to formal charges being filed.
It is noteworthy that the only other circuit court to address
whether the statutory rights under the CVRA attach pre-
indictment has reached the same conclusion, holding that "
'Where are clearly rights under the CVRA that apply before
any prosecution is underway.' Logically, this includes the
CVRA's establishment of victims"reasonable right to confer
with the attorney for the Government.' "See ? j In re Dean,
527 F.3d 391, 394 (5th Cir. 2008) (per curiam) (internal
citation and quotation omitted). Notably, the facts of ? In
re Dean are similar to the facts in this case. Specifically,
after an explosion at a refinery owned and operated by BP
Products North America Inc. ("BP") killed 15 people and
injured more than 170, the Department of Justice ("DOJ")
investigated and decided to bring federal charges against BP.
Id. at 392-93. However, prior to the filing of an indictment
or information, the government filed a sealed ex pane
motion with the district court, advising the court that a plea
agreement was imminent and requesting an order outlining
the procedure it should follow under the CVRA. '
hi. at
392. The government indicated that due to the large number
of victims, consulting the victims prior to finalizing the plea
agreement was impracticable as were victim notifications of
the pending agreement because media coverage could disrupt
the plea negotiations and potentially prejudice the case.
Id. Based on the government's concerns and its proposed
recommendation for what would constitute a reasonable
procedure under the CVRA given the circumstances, the
district court entered an ex pane order that prohibited the
government from notifying the victims of a potential *1298
plea agreement until after one was executed.
Id. at 393.
Thereafter, the government filed a criminal information under
seal, and within days, the government and BP signed the plea
P
agreement.
Id. Upon the signing of the plea agreement,
the criminal information was unsealed, the plea agreement
was announced, and notices were mailed to the victims
"advising of scheduled proceedings and of their right to be
heard."
Id. Numerous victims came forward prior to, and
at, the plea hearing and requested that the plea agreement
be rejected based on the violations of their rights as crime
victims under the CVRA.
Id. The district court rejected the
victims' request, and the victims filed a petition for a writ of
mandamus in the U. S. Court of Appeals for the Fifth Circuit,
pursuant to § 377l (d)(3). ? I Id. Upon review, the Fifth Circuit
concluded, as discussed above, that " '[t]here am clearly
rights under the CVRA that apply before any prosecution
is underway.' ... includ[ing] the CVRA's establishment of
victims' reasonable right to confer with the attorney for
the Government.' " P Id. at 394. The Fifth Circuit also
concluded, based on the unique facts of that case, that the
government violated the victims' right to confer under §
3771(a)(5). ? I Id.
We should join the Fifth Circuit in holding that under the
plain language of the CVRA victims have a pm-charge right
to confer with prosecutors. Since the government admits that
it never conferred at any time with the victims, I also conclude
under the factual circumstances of this case that the victims'
conferral right was violated. However, I express no opinion
as to the scope of the conferral right or at what precise point
that right was violated in this case. I need go no further.
As explained above, under the CVRA, the Epstein crime
victims had a reasonable right to confer with the attorney for
the United States and a right to be treated with fairness and
these rights attach prior to any indictment or formal charges
being filed and were violated. Accordingly, I now turn to
the second question before this en bane court—whether the
CVRA grants crime victims a statutory remedy to enforce a
violation of their statutory rights.
IV. VICTIMS' STATUTORY REMEDY
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As posited by the Majority, the second en bane issue requires
us to determine whether Congress created in the CVRA "a
private right of action"—Le., a statutory remedy in the form of
a freestanding lawsuit to enforce a victim's CVRA rights prior
to the commencement of formal criminal proceedings. The
Majority and I agree that "[l]ike substantive federal law itself,
private rights of action to enforce federal law must be created
by Congress."? • Sandoval, 532 U.S. at 286, 121 S.Ct. 1511.
Thus, our "judicial task is to interpret the statute Congress
has passed to determine whether it displays an intent to create
not just a private right but also a private remedy." ? 11d. Our
inquiry must focus on the "text and structure" of the statute.
It t Id. at 288, 121 S.Ct. 1511.
Applying
Sandoval and its progeny to the CVRA, the
Majority holds that, while Congress created a statutory
remedy in § 3771(d) for crime victims to enforce their
statutory CVRA rights by filing a motion for relief in an
ongoing criminal proceeding, Congress did not authorize a
freestanding private right of action outside the context of
ongoing criminal proceedings. *1299 In other words, the
Majority holds that when CVRA violations occur pre-charge,
crime victims have no statutory remedy.
I disagree because, under the plain language of § 377I(d)
and the CVRA's structure as a whole, Congress granted the
victims a statutory remedy—a right to file a freestanding
"[m]otion for relief' in "the district court in the district
in which the crime occurred" when "no prosecution [is]
underway." 18 U.S.C. § 3771(dX3). Congress created an
express right of action in § 3771(d)(3) and our inquiry
should begin and end with the plain text of the CVRA. In
holding otherwise, the Majority ignores the ordinary and
common meaning of the statutory language in the CVRA and
misapplies ? 4 Sandoval. Because the Majority's holding is
premised on its application off u Sandoval, I begin with a
discussion of that decision and the flaws in the Majority's
interpretation.
A.
Sandoval and its application to the CVRA
As the Majority recognizes, in determining whether the
CVRA authorizes crime victims to file a freestanding suit to
enforce their CVRA rights outside of an ongoing criminal
proceeding, P Sandoval directs us to examine the text and
structure of the statute for evidence of congressional "intent
to create not just a private right but also a private remedy."
? d 532 U.S. at 286, 121 S.Ct. 1511;
Love a Delta Air
Lines, 310 F.3d 1347, 1351-52 (11th Cir. 2002) (explaining
that "legislative intent to create a private right of action [is]
the touchstone of [the] analysis").
Two statutes were at play in! "Sandoval—§ 601 and § 602 of
Title VI of the Civil Rights Act of 1964. Section 601 provides
that "[n]o person in the United States shall, on the ground of
race, color, or national origin, be excluded from participation
in, be denied the benefits of, or be subjected to discrimination
under any program or activity receiving Federal financial
assistance."? 142 U.S.C. § 2000d. And § 602 provides that:
Each Federal department and agency
which is empowered to extend
Federal financial assistance to any
program or activity, by way of
grant, loan, or contract other than a
contract of insurance or guaranty, is
authorized and directed to effectuate
the provisions of [§ 601] of this
title with respect to such program or
activity by issuing rules, regulations,
or orders of general applicability
which shall be
consistent
with
achievement of the objectives of
the statute authorizing the financial
assistance in connection with which
the action is taken....
Id. § 2000d-1.
Under § 602, the DOI enacted a federal regulation that forbid
federal funding recipients from using "criteria or methods of
administration which have the effect of subjecting individuals
to discrimination because of their race, color, or national
origin. ... " Pa 532 U.S. at 278, 121 S.Ct. 1511 (quoting 28
C.F.R. § 42.104(b)(2) (2000)). The Alabama Department of
Public Safety accepted federal funding from the DOI thereby
subjecting itself to the provisions of Title VI.
Id. Therefore,
when the Alabama Department of Public Safety changed its
policy and started administering written driver's license tests
only in English, Sandoval (a Spanish speaker), on behalf of
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a proposed class, sued seeking to enjoin the English-only
policy, arguing that it violated DOJ's regulation because it
had the effect of discriminating against non-English speakers
based on their national origin. ?a M. at 279, 121 S.Ct. 1511.
The district court concluded that Sandoval could sue under
§ 602 of to enforce the nondiscrimination regulation and
enjoined the English-only policy. !II M. at 279, 121 S.Ct.
151 I. We affirmed. t Id. Reversing, the Supreme Court held
that § 602 created no *1300 private right of action to enforce
the regulations promulgated under § 602 of Title VI. C a M. at
281, 121 S.Ct. 1511.
In reaching its decision, the Supreme Court explained that,
despite the absence of express authorization in § 601, it was
clear from the rights-creating language in § 601 that Title
VI provided for a private cause of action for individuals
to enforce the statutory rights guaranteed to them in §
601 through which they could obtain injunctive relief and
damages. 15
Id. at 279-80, 121 S.Ct. 1511. But as the
Supreme Court noted, § 601 did not apply to the issue raised
in Sandoval's case. 16 ?II Id at 285, 121 S.Ct. 1511. Thus, the
issue in C Sandoval was whether individuals had a private
cause of action under § 602 to enforce violations of agency
regulations. t Id. at 286, 121 S.Ct. 1511.
The C ■ Sandoval Court first looked to the language of § 602
for "rights-creating language"—te., whether the statutory
text evinced an intent on Congress's part to benefit a particular
class of persons.
Id. at 288-89, 121 S.Ct. 1511. The
Sandoval Court concluded that § 602 contained no "rights-
creating" language. ! I /d. The Supreme Court explained
that "[s]tatutes that focus on the person regulated rather
than the individuals protected create 'no implication of an
intent to confer rights on a particular class of persons.' "
Al
t Id. at 289, 121 S.Ct. 1511 (emphasis added) (quoting
!III California v. Sierra Club, 451 U.S. 287, 294, 101 S.Ct.
1775, 68 L.Ed.2d 101 (1981)). Section § 602 authorized
federal agencies to issue regulations and empowered the
agencies to enforce those regulations by terminating funding
or "by any other means authorized by law." C liM at 289,
101 S.Ct. 1775 (quoting 42 U.S.C. § 2000d-1). Thus, §
602—which "limit[ed] agencies to 'effectuat[ing]' rights
already created by § 60 1"—was "yet a step further removed"
from the types of statutes in which rights and private
causes of action had been found because § 602 "focuse[d]
neither on the individuals protected nor ... on the funding
recipients being regulated, but on the agencies that [would]
do the regulating." ,11d. (emphasis added). The '
Sandoval
Court also concluded that § 602's method "for enforcing
its authorized regulations," such as withholding funding,
similarly manifested no intent on Congress's part to create a
private right of action under § 602 for individual persons to
enforce agency regulations. t
M. Rather, the Court reasoned
that § 602's "express provision of one method of enforcing a
substantive rule *1301 suggests that Congress intended to
preclude others."
Id. at 290, 101 S.Ct. 1775. 17
We have emphasized that ( I) ! I Sandoval "clearly delimits
the sources that are relevant to ow search for legislative
intent," and (2) "[f]irst and foremost, we look to the statutory
text for 'rights-creating' language." CULove, 310 F.3d at
1352 (quotation omitted). Thus, in order to determine whether
Congress intended for crime victims, like Wild, to have a
statutory remedy to enforce their CVRA rights outside the
context of an ongoing criminal proceeding, we must apply the
principles from ? II/Sandoval to the CVRA.
Under ?I/ Sandoval, we must look for rights-creating
language in the CVRA. See? I Sandoval, 532 U.S. at 288-
89, 121 5.O. 1511; II a Love, 310 F.3d at 1352 (" 'Rights-
creating language' is language 'explicitly confer[ing] a right
directly on a class of persons that include[s] the plaintiff
in [a] case,' or language identifying 'the class for whose
especial benefit the statute was enacted.' " (citation omitted)
(quoting
Cannon, 441 U.S. at 690 n.13, 99 S.Ct. 1946,
and
let & Pac. Ry. Co. v. Rigsby, 241 U.S. 33, 39,
36 S.Ct. 482, 60 L.Ed. 874 (1916)). And it is clear that
the rights-creating language that was lacking in § 602 is
patently present in § 3771(a) of the CVRA. See? HSandoval,
532 U.S. at 288, 121 S.Ct. 1511 ("It is immediately clear
that the 'rights-creating' language so critical to the Court's
analysis in
Cannon of § 601 is completely absent from
§ 602." (citation omitted)). The CVRA states that "[a]
crime victim has the following rights," and goes on to list
"[t]he reasonable right to confer with the attorney for the
Government in the case," and "[t]he right to be treated
with fairness and with respect for the victim's dignity and
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privacy." 18 U.S.C. § 3771(a)(5), (8) (emphasis added).
Accordingly, the CVRA's statutory language, with its clear
and unmistakable focus on "the individuals protected" (crime
victims), evinces Congress's clear "intent to confer rights on
a particular class of persons." See '
Sandoval, 532 U.S. at
289, 121 S.Ct. 1511 (quotation omitted). In other words, the
text of the CVRA "expressly identifies the class Congress
intended to benefit"—crime victims—and grants them certain
statutory "rights." III Cannon, 441 U.S. at 690, 99 S.Ct. 1946.
And "it is a general and indisputable rule[ ] that where there
is a legal right, there is also a legal remedy." I I Marbuty
v. Madison, 5 U.S. (I Cranch) 137, 163, 2 L.Ed. 60 (1803)
(quoting 3 William Blackstone, Commentaries *23). I agree
with the Majority, however, that the presence of rights-
creating language alone does not establish that crime victims
have a statutory remedy. P ° Sandoval made clear that the
statute must "display[ ] an intent to create not just a private
right but also a private remedy." f 1532 U.S. at 286, 121 S.Ct.
1511 (emphasis added). Fortunately, unlike in P Sandoval,
in which the statute in question did not provide expressly for
a private cause of action and the Court had to decide whether
one should be implied—we need not concern ourselves
with implying any remedy here. Rather, Congress's intent
to provide crime victims with a private *1302 statutory
remedy is crystal clear because it expressly provided for such
a remedy in § 3771(d)—the ability to file a freestanding
motion for relief when no prosecution is underway to enforce
applicable rights under § 377I(a).
B. Section 3771(d) expressly provides for a statutory
remedy
Section 3771(d), entitled "Enforcement and limitations,"
provides as follows:
(d) Enforcement and limitations.—
(1) Rights.--The crime victim ... may assert the rights
described in subsection (a).
(3) Motion for relief and writ of mandamus.--The rights
described in subsection (a) shall be asserted in the district
court in which a defendant is being prosecuted for the crime
or, if no prosecution is underway, in the district court in the
district in which the crime occurred. The district court shall
take up and decide any motion asserting a victim's right
forthwith.
18 U.S.C. § 3771(d) (emphasis added). In the clear and
unambiguous text of § 3771(d), Congress created a legal
mechanism for crime victims to enforce their CVRA rights
(i.e., statutory remedy) whenever a violation of such rights
might occur. Specifically, crime victims who believe that
a violation of their statutory rights under the CVRA has
occurred may file a motion for relief (I) "in the district court
in which a defendant is being prosecuted for the crime,"
or (2) "if no prosecution is underway, in the district court
in the district in which the crime occurred." Id. § 3771(d)
(3) (emphasis added). As explained further below, read most
naturally, the phrase "if no prosecution is underway" refers
to situations in which formal court proceedings have not yet
begun—which is precisely what Epstein's victims faced. 18
This reading of the CVRA is the only one that gives full effect
to the plain statutory text.
Notwithstanding the clear "rights-creating" language in
the CVRA and Congress's express inclusion of a judicial
mechanism to enforce those rights even "if no prosecution
is underway," the Majority points to § 3771(d) and asserts
that there is no "i Sandovehqualifying" clear expression of
congressional intent to authorize a private right of action to
enforce CVRA rights until after an indictment is filed. The
Majority contends that this conclusion is compelled by the
remaining structure of the CVRA for the following reasons:
(I) § 377l (d)(3) authorizes a crime victim to file a "[m]otion
for relief," and a "motion" cannot initiate a freestanding cause
of action; (2) the phrase "if no prosecution is underway" in
§ 377I(d)(3) is best understood to refer to motions filed after
the prosecution is completed—i.e., post-judgment motions;
and (3) § 377I(d)(6)—which states that "[n]othing in this
chapter shall be construed to authorize a cause of action for
damages" and "[n]othing in this chapter shall be construed to
impair the prosecutorial discretion of the Attorney General or
any officer under his direction"—demonstrates that Congress
did not intend to authorize a freestanding lawsuit outside
the context of ongoing criminal proceedings. As explained
further, contrary to the *1303 Majority's contention, nothing
in the CVRA compels the conclusion that Congress did
not intend to authorize a private statutory remedy outside
the context of ongoing criminal proceedings. 19 Rather, for
the reasons that follow, the CVRA as a whole supports the
conclusion that Congress intended—and meant what it said
—when it authorized expressly a private right of action for
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judicial enforcement of a crime victims' statutory rights set
forth in subsection (a) if no prosecution is underway by the
filing of a motion for relief in the district court in the district
in which the crime was committed. See 18 U.S.C. § 377I(d)
(3), (6).
C. Errors in the Majority's statutory interpretation of §
3771(d)
1. Failure to honor common, ordinary definition of
"motion for relief in § 3771(dX3)
The Majority insists that the term "[m]otion for relief'
can mean only "a request filed within the context of
a preexisting judicial proceeding." The common legal
definition of "motion," however, is more general and
broader than the definition the Majority ascribes to it.
Specifically, a motion is "[a] written or oral application
requesting a court to make a specified ruling or order."
Motion, Black's Law Dictionary (11th ed. 2019); see also
Motion, Merriam-Webster Dictionary, https://www.merriam-
webstencorn/dictionarylmotion (last visited March 16, 2021)
(defining "motion" as "an application made to a court
or judge to obtain an order, ruling, or direction"). This
general definition encompasses a motion initiating a new
proceeding, as well as one filed mid-proceeding, and the
Majority's demand that we ascribe only a more specific,
narrow definition to the word "motion" violates basic canons
of statutory interpretation. See Scalia & Garner, supra, at
69 ("Words are to be understood in their ordinary, everyday
meanings—unless context indicates that they bear a technical
sense."); see also M tr Walter Energy, 911 F.3d 1121, 1143
(11th Cir. 2018) ("To determine the ordinary meaning of a
term, we often look to dictionary definitions for guidance.").
Further, although the Majority contends that "motion" can
mean only a request filed in an ongoing judicial proceeding,
the federal rules and statutes provide for quite a few motions
that can be filed outside of an ongoing proceeding as free-
standing motions. See, e.g., 28 U.S.C. § 2255 (motions to
vacate or correct sentences); 28 U.S.C. § 1361 (mandamus
proceedings are initiated as a new lawsuit); see also
In
re Stewart, 552 F.3d 1285, 1288 (11th Cir. 2008) ("The
mandamus proceeding before us is a free standing cause of
action, brought by persons claiming to be CVRA victims
against the district judge who denied them the right to appear
and be heard." (emphasis added)); Fed. R. Crim. P. 41(g)
(motions to return property); Fed. R. Crim. P. 17(c) (motion
to quash a grand jury subpoena). Often, such motions, like
the motion authorized under the CVRA, exist to provide
third parties a vehicle to assert and protect their rights in the
*1304 course of a criminal investigation to which they are
not themselves a party.
For example, Federal Rule of Criminal Procedure 4I(g),
entitled "Motion to Return Property," provides that "[a]
person aggrieved by an unlawful search and seizure of
property or by the deprivation of property may move for the
property's return," and it instructs an aggrieved party to file
"[t]he motion ... in the district where the property was seized."
Fed. R. Crim. P. 41(g) (emphasis added). Thus, Rule 41(g)
authorizes third parties to file a freestanding "motion" to
enforce their rights even before a prosecution is initiated, and
the filing of such a motion is a separate enforcement action.
Another pertinent example is a motion to quash a grand jury
subpoena under Fed. R. Crim. P. 17(cX2). Motions under
Rule I7(c)(2)—at least those directed at quashing subpoenas
issued by a federal grand jury—are often filed prior to the
initiation of any formal court proceeding, i.e., "pre-charge,"
because the subpoenas in question are usually issued by a
grand jury during the course of an investigation. 2° And while
federal grand juries are called into existence by order of the
district court, see Fed. R. Crim. P. 6(a)(I), they operate more
as instrumentalities of the U.S. Attorney's Office, see Wright
& Miller § 101 ("In short, in the grand jury room it is the
prosecutor who runs the show, a fact that has led some courts
to observe that grand juries are for all practical purposes an
investigative and prosecutorial arm of the executive branch
of government." (quotation marks omitted)). Further, as
we explained in ?a United States v. Eisenberg, "[u]ntil an
indictment is returned and a case presented to the United
States District Court, the responsibility for the functioning of
the grand jury is largely in the hands of the U.S. Attorney."
711 F.2d 959, 965 (11th Cir. 1983). However, the fact
that the prosecutor exercises a lot of control over the grand
jury "does not mean that the court cannot redress abuses by
either the grand jury or a U.S. Attorney." f 1 Id. Rather, by
filing a Rule 17(c) motion, an individual or company may ask
the district court to quash an "unreasonable or oppressive"
subpoena issued by the grand jury or to otherwise rein in
perceived abuses by the grand jury or prosecutors. Fed. R.
Crim. R 17(c).
In other words, Rule 17(c) authorizes an individual to file a
freestanding motion to quash a subpoena, which essentially
asks the district court to step in to ensure that the rights
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of third parties are respected, despite the fact that there
is no ongoing court proceeding. 21 See In re Grand fray
Proceedings, 832 F.2d 554, 554 (11th Cir. 1987) (considering
a third party's "claim of privilege to prevent disclosure of
their state grand jury testimony"). The motion to quash need
not—and in most cases could not—be filed in any ongoing
court proceeding because in most instances no formal charges
have been brought. See, e.g., id. at 555; In re Grand fury
Matter No. 91-01386, 969 F.2d 995, 996 (11th Cir. 1992); In
re Grand Jury Subpoena, 831 F.2d 225, 226 (I I th Cir. 1987).
Rather, motions to quash subpoenas are filed in the district
court overseeing the grand jury. In short, nothing precludes
a "motion" *1305 from initiating a separate enforcement
action.
The Majority also asserts that a reading of § 3771(d) that
permits victims to file a freestanding motion for relief would
cause the word "motion" to have two different meanings:
(I) a freestanding motion; and (2) a motion filed in a
preexisting judicial case. Wild's asserted interpretation of the
statute, however, does not create this so-called dual meaning
of motion. Rather, the common, general definition of the
word motion is "[a] written or oral application requesting a
court to make a specified ruling or order." Motion, Black's
Law Dictionary (11th ed. 2019). While the CVRA may
permit motions to be filed in either the district where the
crime occurred or the district where the defendant is being
prosecuted, the existence of alternative venues does not
change the fundamental, ordinary, and common meaning of
the word motion. That ordinary meaning—"a written or oral
application requesting a court to make a specified ruling or
order"—is consistent in both contexts. The text of the CVRA
authorizes a motion for relief and specifically contemplates
the filing of such a motion both before and after the initiation
of a court proceeding. See 18 U.S.C. § 3771(d)(3). The
controlling statutory interpretation "principle in this case is
the basic and unexceptional rule that courts must give effect
to the clear meaning of statutes as written." P a Est. of Cowart
tt Nicklos Drilling Co., 505 U.S. 469, 476, 112 S.Ct. 2589,
120 L.Ed.2d 379 (1992). The Majority can point to no canon
of statutory construction that would justify deviating from the
plain and ordinary meaning of the statute. 22
Moreover, as previously explained, there are other instances
in the federal rules where the single word "motion," using its
general, ordinary meaning, encompasses either a filing in an
ongoing court proceeding or a freestanding filing in a district
court outside the context of a court proceeding. See Fed. R.
Crim. P. 41(g) ("A person aggrieved by an unlawful search
and seizure of property or by the deprivation of property
may move for the property's return."); Fed. R. Crim. P.
17(c) ("On motion made promptly, the court may quash or
modify the subpoena if compliance would be unreasonable
or oppressive."); see also
United States v. R. Enters., 498
U.S. 292, 297-98, III S.Ct. 722, 112 L.Ed.2d 795 (1991)
(distinguishing the standard for judicial review of motions to
suppress subpoenas issued pursuant to Rule 17 by a grand jury
versus those "issued in the context of a prospective criminal
trial").
Consequently, for the above reasons, the Majority errs in
holding that a "motion for relief," as contemplated by §
377I(d)(3), must be filed in an ongoing court proceeding
*1306 and cannot initiate a freestanding enforcement action.
2. Misinterpretation of "if no prosecution is underway"
in § 3771(d)(3)
Additionally, the Majority asserts that the phrase "if no
prosecution is underway" in subsection (dX3) is best
understood to refer to motions filed after the prosecution is
completed—i.e., post-judgment motions. This reading of §
3771(d)(3) is strained and does not comport with how the
word "underway" is ordinarily or commonly understood. As
the Majority acknowledges implicitly, in everyday parlance,
if "a process, project, [or] activity" is not "undenvay," we
generally understand that it has not yet begun. It therefore
is not credible to say that the phrase "if no prosecution is
underway" is just as likely to be commonly or ordinarily
understood to refer to a post-prosecution scenario—i.e., a
judicial proceeding that has not only begun, but has fully
completed.
Further, the Majority's reading of the CVRA—as requiring
that the "[m]otion for relief" be filed only in an ongoing
proceeding—creates two statutory interpretation problems.
First, it effectively reads the phrase "if no prosecution is
underway" out of the statute—a highly disfavored practice.
See Scalia & Garner, supra, at 174 ("The surplusage canon
holds that it is no more the court's function to revise
by subtraction than by addition. ... As Chief Justice John
Marshall explained: 'It would be dangerous in the extreme to
infer from extrinsic circumstances, that a case for which the
words of an instrument expressly provide, shall be exempted
from its operation.' " (quoting !I I Sturges v. Crowninshield,
17 U.S. (4 Wheat.) 122, 202, 4 L.Ed. 529 (1819))).
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Second, the Majority's reading also impermissibly adds to the
text of the statute the following requirements: (I ) all motions
for relief must be filed in a preexisting court proceeding
(or after an indictment is filed); and (2) a crime victim can
never file a freestanding motion for relief. See L a Friends
of Everglades it S. Fla. Water Mgmt. Dist, 570 F.3d 1210,
1224 (11th Cir. 2009) ("[W]e are not allowed to add or
subtract words from a statute; we cannot rewrite it."); see
also f Blount it Rizzi, 400 U.S. 410, 419, 91 S.Ct. 423, 27
L.Ed.2d 498 (1971) ("[I]t is for Congress, not this Court, to
rewrite the statute.").
Moreover, § 377I(dX3) directs that "if no prosecution is
underway" a motion for relief must be filed "in the district
court in the district in which the crime occurred." See IR
U.S.C. § 3771(d)(3). This directive reveals the flaw in the
Majority's interpretation of the phrase "if no prosecution
is underway." Specifically, reading § 3771(d)(3)'s "if no
prosecution is underway" language to refer only to post-
judgment proceedings might require a victim to file a motion
for relief in the district where the crime occurred in which
there is no pending or closed court proceeding because the
defendant was prosecuted in a different district. In other
words, the motion for relief would initiate a freestanding
cause of action, something the Majority insists the statute
does not authorize. The Majority contends that this "supposed
oddity" is alleviated because, under the Sixth Amendment,
the district where the crime occurred will "almost always" be
the district in which the defendant is charged and prosecuted.
See U.S. Const. amend. VI (granting the accused the right to
be tried "by an impartial jury of the State and district wherein
the crime shall have been committed."). But this explanation
falls short.
First, had Congress intended the phrase "if no prosecution
is underway" to mean that victims shall file a post-judgment
motion for relief in the district court in which *1307 the
defendant was charged or prosecuted, it could easily have said
so explicitly.
Second, there are numerous circumstances—such as
continuing offenses and offenses consisting of several
transactions—in which a defendant is prosecuted in a
different district than the one in which the crime occurred,
notwithstanding the Sixth Amendment. See Fed. R. Crim.
P. 18 ("Unless a statute or these rules permit othenvise, the
government must prosecute an offense in a district where the
offense was committed."); Advisory Committee's Notes on
1944 Adoption of Fed. R. Crim. P. 18.23
In short, when engaging in statutory interpretation, we abide
by the maxim that "[w]here the language Congress chose to
express its intent is clear and unambiguous, that is as far
as we go to ascertain its intent because we must presume
that Congress said what it meant and meant what it said."
United States v. Strickland, 261 F.3d 1271, 1274 (11th Cir.
2001) (quoting f United States v. Steele, 147 F.3d 1316,
1318 (11th Cir. 1998) (en bane)). The Majority's insistence
that the CVRA's language—"motion for relief' and "if no
prosecution is underway"—could be read to refer only to
post-judgment proceedings turns this fundamental tenet of
statutory interpretation on its head. Rather, we must presume
that Congress "meant what it said," which is that in cases like
this one where a prosecution is not yet "underway," victims
are able to assert their "pre-charge" rights in motion for relief
filed "in the district court in the district in which the crime
occurred," which is what Wild did here. 24
3. Misapplication of § 3771(d)(6)
In further support of its interpretation of § 3771(d)(3)'s
"motion for relief' and "no prosecution is underway"
language, the Majority emphasizes that § 3771(d)(6)
explicitly precludes causes of action "for damages," which
also supposedly demonstrates that Congress did not intend for
a "motion for relief' to initiate a freestanding *1308 private
cause of action. See 18 U.S.C. § 3771(d)(6) ("Nothing in this
chapter shall be construed to authorize a cause of action for
damages ...."). But § 3771(d)(6) actually supports the remedy
pursued in this case.
Notably, the statute says nothing about the sort of declaratory
or injunctive relief the victims sought here. While we
generally "do not expect Congress to 'expressly preclude'
remedies," I/ a Christ it Beneficial Corp., 547 F.3d 1292, 1298
(11th Cir. 2008), it follows necessarily that where Congress
has done so, as in the CVRA, courts should be hesitant to
exclude other remedies not listed in the preclusive language.
See C a Transamerica Mortg. Advisors, Inc. it Lewis, 444 U.S.
11, 19, 100 S.Ct. 242, 62 L.Ed.2d 146 (1979) ("[I]t is an
elemental canon of statutory construction that where a statute
expressly provides a particular remedy or remedies, a court
must be chary of reading others into it.");
Franklin it
Gwinnett Cnty. Pub. Schs., 503 U.S. 60, 66, 112 S.Ct. 1028,
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117 L.Ed.2d 208 (1992) ("[W]e presume the availability of all
appropriate remedies unless Congress has expressly indicated
otherwise."). To be sure, if Congress intended to preclude all
causes of action regardless of the relief sought, it would have
been unnecessary to carve out money damages explicitly from
the panoply of potential relief. See? Delgado it U.S. All5P
Gen., 487 F.3d 855, 862 (11th Cir. 2007) ("[W]here Congress
knows how to say something but chooses not to, its silence is
controlling." (quotations omitted)). Thus, because Congress
precluded causes of action for damages expressly, but did
not mention declaratory or injunctive relief, there is no basis
for concluding that Congress intended to preclude such other
forms of relief. 25
D. Misapplication of
Sandoval to the administrative-
enforcement scheme in § 3771(0
I now turn to the Majority's argument that, under
Sandoval,
the existence of the administrative-enforcement scheme in
§ 3771(0 counsels against and "undermines any suggestion
that (without saying so) [Congress] intended to authorize
crime victims to file stand-alone civil actions in federal
court." I disagree because nothing in the administrative-
enforcement scheme evidences any congressional intent to
preclude the availability of the statutory legal mechanism
Congress expressly provided for in § 3771(d)(3) where "no
prosecution is underway." Moreover, as explained further,
crime victims whose rights are violated *1309 in the pre-
charge phase cannot avail themselves of the administrative
scheme. 26
Section § 377I (0 directs the Attorney General to "promulgate
regulations to enforce the rights of crime victims and to ensure
compliance by responsible officials with the obligations"
set out by statute. 18 U.S.C. § 3771(f)(1). Following this
directive, DOJ adopted administrative regulations, codified
at 28 C.F.R. § 45.10, that set forth an administrative
"[c]omplaint process" and state that a victim's complaint
"shall contain ... [t]he district court case number" and "[t]he
name of the defendant in the case." 28 C.F.R. § 45.10(c)
(2)(iii)-(iv). If CVRA violations are found, DOJ officials
may impose "disciplinary sanctions" and "[a] complainant
may not seek judicial review of the [DOD's] determination
regarding the complaint." Id. § 45.10(c X8).
The Majority argues that the regulations create a "robust
administrative-enforcement scheme" which "undermines"
any possibility that Congress intended to allow victims to
file a stand-alone action to enforce any pre-charge rights
the CVRA might grant them. In support of its position,
the Majority primarily points to
Sandaval's statement
that "[t]he express provision of one method of enforcing a
substantive rule suggests that Congress intended to preclude
others." t 532 U.S. at 290, 121 S.Ct. 1511. The Majority's
reasoning is flawed.
First, the Majority misunderstands the breadth of the holding
in IF
Sandoval.
.Sandoval involved private plaintiffs
seeking to enforce agency regulations under § 602 which
contained no rights-creating language and set forth a
comprehensive enforcement scheme for agencies to enforce
their own regulations. P I Sandoval's recognition that the
administrative enforcement scheme set forth in § 602
undermined any "congressional intent to create privately
enforceable rights" under § 602 did not alter its parallel
recognition that plaintiffs had a private right of action
to enforce their statutory rights under § 601—which
contained rights-creating language similar to the CVRA. It
follows, therefore, that notwithstanding the existence of the
enforcement scheme in § 3771(0, nothing precludes crime
victims from pursuing the judicial enforcement mechanism
set forth in § 3771(d)(3) to enforce their CVRA rights.
Indeed, under the Majority's own analysis, the CVRA
expressly grants two possible remedial paths to crime victims
post-indictment: both administrative and judicial enforcement
of CVRA rights. Specifically, the Majority admits that if the
government files an indictment, victims can file a motion for
relief in a district court in that ongoing court proceeding or an
administrative complaint filed with the DOJ under § 3771(0.
Therefore, under the Majority's own analysis, the existence
of the administrative remedy in § 3771(0 does not preclude
the express judicial remedy in § 3771(d), much less show
Congress intended to preclude that judicial remedy in *1310
favor of the § 3771(f) administrative scheme for crime victims
whose rights have been violated in the pre-charge context.
Second, and perhaps most critically, the Majority's analysis
forecloses all remedial paths to crime victims pre-indictment
because the administrative-enforcement scheme in the CVRA
is not available to the victims in this case. In [ t Sandoval,
it was not just that § 602 provided an alternative means to
enforce the regulations; it was that the alternative means were
actually available to enforce the regulation that the plaintiffs
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sought to enforce. In other words, the Supreme Court's ruling
in ? Ti Sandoval did not leave the government free to run afoul
of regulations promulgated under § 602, it simply recognized
that the statute prescribed a different enforcement mechanism
to address the government's violation.
532 U.S. at 290-91,
121 S.Ct. 1511. But the administrative remedy in § 3771(f)
requires that a victim's complaint contain a "district court
case number" and "[t]he name of the defendant." 28 C.F.R.
§ 45.10(c)(2Xiii)—(iv). Therefore, crime victims, like those
in this case, who suffer violations of their CVRA rights in
the pre-charge period when there is no prosecution underway,
would not be able to avail themselves of this administrative
remedy. 27
1.
The Majority also argues that our post-t Sandoval decision
in ? u Love v. Delta Air Lines supports the conclusion that the
creation of the administrative scheme in § 377I (0 undermines
any possibility that Congress intended for crime victims to
be able to file freestanding actions to enforce their CVRA
rights, but the Majority's reliance on ? Love is misplaced.
V :I
In
Love, we held that no implied private cause of action
existed under the Air Carrier Access Act of 1986 ("ACAA"),
? 149 U.S.C. § 41705, for disabled individuals alleging
a violation of the ACAA's antidiscrimination provision. 28
? 1 310 F.3d at 1358-59. In reaching this holding, we applied
the principles set forth in ?
_I Sandoval, emphasizing that
the focus was on interpreting the ACAA to determine
whether it displayed a congressional "intent to create not
just a private right but also a private remedy." ? l id. at
1352 (quotation omitted). We noted that it was "indisputable
that the ACAA d[id] not expressly provide a private
entitlement to sue in district court," and, therefore, if there
was a private remedy, it would be an implied remedy.
Id. at 1354. However, "the surrounding statutory and
regulatory structure create[d] an elaborate and comprehensive
enforcement scheme that belie[d] any congressional intent
to create a private remedy." ? I Id. Specifically.
§ 41705
provided for "three separate enforcement mechanisms":
(I) individuals could file an administrative complaint with
the Department of Transportation ("DOT"), and DOT was
required to investigate all complaints with its broad sanction
powers; (2) the air carriers were required to have internal
dispute resolution mechanisms; and (3) individuals "with
a substantial interest in a DOT enforcement action" could
seek judicial review of the DOT decision in a United States
Court of Appeals.
Id. at 1354-57. We concluded that the
two administrative enforcement mechanisms paired with the
*1311 right to seek judicial review "strongly undermine[d]
the suggestion that Congress also intended to create by
implication a private right of action in a federal district court
but declined to say so expressly."? a Id. at 1357.
This case is materially different from ?"Love. First, unlike
the ACAA, the CVRA expressly grants crime victims a right
to file a motion for relief directly in a district court. See
18 U.S.C. § 3771(d)(3). Thus, the question in
bile—
whether there was an implied private remedy available
for violations of the ACAA—is materially different from
the question in this case. Second, under the administrative
enforcement scheme of the ACAA, individuals who believed
they were discriminated against had a right to file an
administrative complaint and to seek judicial review of
the final administrative decision. Here, it is clear that the
CVRA grants crime victims certain rights that attach pre-
charge, but, as discussed previously, crime victims cannot
seek to vindicate violations of those rights through the
administrative scheme in § 3771(0. This difference makes
it clear that
Love—and
Sandoval for that matter—are
distinguishable.
Moreover, because the administrative-enforcement scheme in
§ 3771(0 is not available to the victims here, the Majority's
ruling—that the CVRA does not authorize a freestanding
cause of action—leaves Epstein's victims completely without
a remedy for the violation of their CVRA rights, despite
the existence of rights-creating language in the CVRA and
Congress's creation of a judicial remedy even when there is
"no prosecution underway."
Accordingly, as explained previously, the Majority's
misapplication of t Sandoval and its flawed statutory
interpretation of the CVRA as a whole results in its erroneous
holding that there is no
'Sandoval-qualifying" clear
expression of congressional intent to authorize a private right
of action to enforce CVRA rights until after an indictment is
filed. Contrary to the Majority, I would hold that the CVRA's
plain text, structure, and "the physical and logical relation of
its many parts" provides crime victims with a clear statutory
remedy to seek to enforce their statutory rights "pre-charge."
See Scalia & Garner, supra, at 167.
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V. PROSECUTORIAL DISCRETION
In an attempt to overcome the plain language of the CVRA,
the Majority emphasizes policy concerns that permitting
victims to file a motion for relief in a federal district court—
in the absence of a preexisting indictment or court proceeding
—would result in a number of ills, chief among them
"unduly impairing prosecutorial discretion." But statutory
interpretation begins and ends with the plain language of the
statute, and we are required to enforce that plain meaning
even if the proper interpretation raises policy concerns. See
?" Eldred v. Ashcroft, 537 U.S. 186, 222, 123 S.Ct. 769, 154
L.Ed.2d 683 (2003). "The wisdom of Congress' action ... is
not within our province to second guess." ? a Id. 29 *1312
But even assuming arguendo that such policy concerns could
justify abandoning the plain text of the statute, the Majority's
concerns fall apart upon closer inspection.
For example, the Majority and Judge Tjoflat's concurring
opinion explain that enforcing victim's rights pre-charge
would require judges to identify victims and would risk
judicial interference with ongoing "law-enforcement raids,
warrant applications, arrests, witness interviews, lineups,
and interrogations." In other words, pre-charge enforcement
would permit victims and/or judges to exert "undue
influence" over each step of criminal investigations and
the government's charging decisions. I disagree because the
text of the CVRA alleviates any concern that pre-charge
enforcement would unduly impair prosecutorial discretion.
As an initial matter, the Majority, Judge Tjoflat's concurring
opinion, and I agree that the Executive has exclusive and
complete authority over charging decisions. See? li United
States v. Nixon, 418 U.S. 683, 693, 94 S.Ct. 3090, 41
L.Ed.2d 1039 (1974) ("[T]he Executive Branch has exclusive
authority and absolute discretion to decide whether to
prosecute a case ...."); see also
Heckler v. Chaney, 470
U.S. 821, 832, 105 S.Ct. 1649, 84 L.Ed.2d 714 (1985)
("[T]he decision of a prosecutor in the Executive Branch not
to indict ... has long been regarded as [within] the special
province of the Executive Branch."). Section 377I(a)(5) in no
way undercuts this fundamental precept.
First, § 377I(d)(6) expressly prohibits interference with
prosecutorial discretion by mandating that nothing in the Act
"shall be construed to impair the prosecutorial discretion of
the Attorney General or any officer under his direction." IS
U.S.C. § 377 I (d)(6).
Second, the plain language of § 377I(a)(5) similarly makes
it clear that no such intrusion on prosecutorial discretion
will occur. Specifically, § 3771(a)(5) does not simply grant
victims an unfettered conferral right. Rather, it merely grants a
"reasonable" conferral right, and reasonableness is a common
and forceful limiting principle that is familiar throughout
the legal field. See,
Hardy v. Cross, 565 U.S. 65,
69-70, 132 S.Ct. 490, 181 L.Ed.2d 468 (2011) (explaining
that for purposes of the Sixth Amendment's Confrontation
Clause, the "lengths to which the prosecution must go
to produce a witness" is a "question of reasonableness");
? II Ohio v. Robinette, 519 U.S. 33, 39, 117 S.Ct. 417,
136 L.Ed.2d 347 (1996) ("We have long held that the
'touchstone of the Fourth Amendment is reasonableness.' ");
3 Thornburgh v. Abbott, 490 U.S. 401, 413, 109 S.Ct. 1874,
104 L.Ed.2d 459 (1989) (prison regulations affecting the
sending of publications to prisoners must be analyzed under
a reasonableness standard); ? a Strickland v. Washington, 466
U.S. 668, 688, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984)
("The proper measure of attorney performance" under the
Sixth Amendment "remains simply reasonableness under
prevailing professional norms."); ? 3 Hensley v. Eckerhart,
461 U.S. 424, 426, 103 S.Ct. 1933, 76 L.Ed.2d 40 (1983)
(explaining that "in federal civil right actions the court, in
its discretion, may allow the prevailing party, other than the
United States, a reasonable *1313 attorney's fee as part of
the costs" (quotation omitted)).
Furthermore, equally as limiting as the reasonableness
principle is that the conferral right granted to victims in §
377I(a)(5) is limited to conferral "with the attorney for the
Government in the case"—not with police or investigators.
See 18 U.S.C. § 377 I (a)(5). And nothing in the CVRA
suggests any steps or decisions that a prosecutor must take or
make in his charging decision. Thus, a plain reading of the
statute indicates that there will be no judicial interference with
a prosecutor's decision. If a prosecutor, after speaking with
the victim, decides not to prosecute or take the case to a grand
jury, there will be no violation for the district court to remedy.
The Majority's and Judge Tjoflat's concurring opinion's
parade of horribles about mini-trials to identify crime victims
and conferral "pre-charge" are red herrings. In the mine-run
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of cases that have advanced to the stage where a government
attorney is assigned, it will be obvious—as it was in this case
—who the identifiable victims are. The government's actions
in this case prove this point: AUSA Villafwia acknowledged
the status of petitioner and others as "victims" of Epstein
and sent them a letter stating that "as a victim ... of a
federal offense, you have a number of rights," including
"[t]he reasonable right to confer with the attorney for the
United States in the case" and "[t]he right to be treated with
fairness and with respect for the victim's dignity and privacy."
AUSA Villafatla had no trouble identifying Epstein's victims
as "crime victims" under the statute and treating them as
such. 30
Moreover, the Majority's concern about impairment of
prosecutorial discretion applies equally post-indictment.
Specifically, the Majority does not dispute that, post-
indictment, the conferral right in § 3771(a)(5) attaches and is
enforceable via a motion for relief under § 377l (d)(3). Given
the number of discretionary post-indictment decisions a
prosecutor may make—reducing charges, upgrading charges,
dismissing charges, and granting immunity—it is unclear
how the mere filing of an indictment alleviates the concerns
about "unduly impairing prosecutorial discretion." Rather, the
same concerns set forth *1314 by the Majority are present
regardless of whether a motion for relief is filed in the pre-
charge phase or the post-indictment phase, which leads to
the conclusion that these prosecutorial discretion concerns
are overblown. Therefore, concerns about undue interference
with prosecutorial discretion exist regardless of whether a
motion for relief under § 377I(d)(3) is filed pre- or post-
indictment. In any event, the CVRA expressly precludes such
interference; thus, this concern certainly provides no basis
for ignoring the plain language of the statute. Accordingly,
in enforcing the plain language of the CVRA, prosecutorial
discretion is in no way compromised.
VI. CONCLUSION
I would decide both en bane issues and hold that the CVRA's
plain text: (1) granted the crime victims two statutory rights
that attached in the "pre-charge" period—the reasonable right
to confer with the attorney for the Government and the right to
be treated with fairness and respect; and (2) granted the crime
victims a statutory remedy—a private right to seek judicial
enforcement of their statutory rights. See 18 U.S.C. § 3771(a)
(5), (a)(8) and (d)(3). Therefore, I would remand the case back
to the panel to address in the first instance the issue raised
in the original mandamus petition in this Court: whether the
district court correctly concluded that, given Epstein's death,
no remedy was available.
The Majority admits that it is drawing a "line limiting judicial
enforcement to the post-charge phases of a prosecution"—
one that "marks a clear and sensible boundary on the
prosecutorial-discretion spectrum" and "squares with the
background expectation of judicial involvement." The flaw
is that the Majority's line-drawing is of its own making
and does violence to the statutory text. See I` Rostock %:
Clayton Cry., Georgia, 590 U.S. —, 140 S. Ct. 1731, 1823,
207 L.Ed.2d 218 (2020) (Kavanaugh, J., dissenting) ("[O]ur
role as judges is to interpret and follow the law as written,
regardless of whether we like the result ... [it] is not to make
or amend the law"); SeePU Harbison v. Bell, 556 U.S. 180,
199, 129 S.Ct. 1481, 173 L.Ed.2d 347 (2009) (Thomas, J.,
concurring) (A statute's "silence with respect to a [temporal or
procedural] limitation in no way authorizes [courts] to assume
that such a limitation must be read into [the] subsections ...
in order to blunt the slippery-slope policy arguments of those
opposed to a plain-meaning construction of the provisions
under review.").
For all of these reasons, I respectfully dissent.
HULL, Circuit Judge, dissenting:
Respectfully, I join Judge Branch's Dissent in full. I write
separately to add five points. To start, I discuss how the
Majority skips over the first en banc issue and why we should
answer whether the Epstein victims' statutory conferral rights
in § 3771(a) attached pre-charge. That issue was the basis
of the Panel opinion and was briefed and argued en banc. It
involves an important legal issue of first impression in ow
Circuit. Significantly too, deciding whether under § 3771(a)
Ms. Wild had statutory conferral rights pre-charge that were
violated is integral to this ongoing dispute and the proper
statutory interpretation of whether the remedy provision in §
377I(d) applies pre-charge.
Second, as to the merits of that first en banc issue, I agree
with Judge Branch's Dissent that under the plain language
of the CVRA victims have reasonable rights to confer with
prosecutors and these rights attach pre-charge, and that the
Epstein victims' rights were violated. Branch Dissenting Op.
at 1298.
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Yet, to the extent one credits the Majority's concerns about
prosecutorial discretion, I set forth a narrow "conferral right"
*1315 ruling in Section 11.A., which holds that after the
government signed the Agreement, the Epstein victims had
conferral rights under § 377I(a)(5). Once the ink was dry
on the Agreement, the U.S. Attorney had exercised his
discretion and made his charging decision. The government's
post-Agreement misconduct—not conferring and telling the
victims about the Agreement, its terms, and upcoming state
court events for nearly a year—alone is sufficient to establish
CVRA violations. While not all the conferral rights that the
victims request, this narrower ruling would decide the merits
of the first issue and tee up concretely the second issue.
It
Third, as to the second issue, I discuss t
Sandoval in detail
because the Majority uses snippets out of context and fails to
r
tell the whole
Sandoval story. In t t Sandoval there was no
statute granting a private right of action, and [he l 'Sandoval
inquiry was whether to imp_ly a private right of action for
Ms. Sandoval to enforce agency regulations. Here, though,
the question is whether a specific statute, § 3771(d) enacted
by Congress, exprmly grants Ms. Wild, as a crime victim,
a private right of action to enforce her own CVRA statutory
rights (not agency regulations). I explain how the Majority
misapplies f Sandoval.
Fourth, I review the Amicus Brief of three U.S. Senators
that also supports Judge Branch's conclusion that the CVRA's
plain text does not condition a victim's rights and remedy
upon a preexisting indictment. Fifth, I discuss why the
Majority's ruling has far-reaching consequences beyond the
Epstein case.
I. FIRST EN BANC ISSUE: CONFERRAL RIGHTS
The conferral-right issue is an important legal question of first
impression in our Circuit. But the Majority blithely skips over
the issue, although it was the basis of the Panel opinion and
is now the first en bane issue briefed and argued.
Indeed, the Panel opinion squarely held: "We hold that at
least as matters currently stand—which is to say at least
as the CVRA is currently written—rights under the Act do
not attach until criminal proceedings have been initiated
against a defendant, either by complaint, information, or
indictment."
In re Wild 955 F.3d 1196, 1198 (11th
Cir. 2020). The Panel later stated: "[W]e hold that the
CVRA does not apply before the commencement of criminal
proceedings—and thus, on the facts of this case, does not
provide the petitioner here any judicially enforceable rights."
!rn Id. at 1220. The Panel reasoned: "The facts that the
CVRA (I) does not sanction freestanding suits and (2) does
prescribe mid-proceeding "motion[s]" combine—especially
in conjunction with subsection (a)'s enumeration—to indicate
that the Act's protections apply only after the initiation of
criminal proceedings." R Id. at 1210 (alteration in original).
The Majority now says "we needn't decide whether, in the
abstract, the rights to confer and to be treated with fairness
might attach prior to the formal commencement of criminal
proceedings." Maj. Op. at 1251-52. Good gracious, there's
nothing abstract about this case. The Majority admits that the
facts are "beyond scandalous" and the victims were not only
"left in the dark," but "affirmatively misled" by government
attorneys. Maj. Op. at 1247. To add insult to injury, the
Majority refuses to answer the first en banc question as
to whether the Epstein victims had any CVRA rights that
attached pre-charge.
Moreover, that first en bane question—whether the CVRA
in § 3771(a) granted victims rights that attach pre-charge—
is an integral part of the proper statutory interpretation of the
remedy provision in *1316 § 377I(d), which refers back to
those § 3771(a) rights. Indeed, both the Majority and Chief
Judge Pryor's concurrence examine the CVRA as a whole
and look to various subsections of the CVRA to support their
conclusion that § 377I(d) does not grant Ms. Wild a private
cause of action. Pryor Concurring Op. at 1316-18 ("We
Construe Statutes by Reading the Whole Text, Not Individual
Subsections in Isolation."); Maj. Op. at 1259-61, 1263-66
(examining other subsections of § 3771 and concluding they
support its statutory interpretation of § 3771(d)(3)). Yet they
refuse to decide whether the subsection (a)(5) and (8) rights
apply "pre-charge." If the CVRA grants the victims rights that
do attach pre-charge—as the plain language of § 377I(a)(5)
and (a)(8) suggests—that would also support Judge Branch's
conclusion that § 377I(d) provides Ms. Wild a private cause
of action to enforce those rights in the pre-charge period
before an indictment.
We should also decide the first issue as to pre-charge rights,
given: (1) the Epstein victims' perseverance in litigating the
rights issue for a decade and obtaining en banc review of
the rights issue, that was forthrightly decided by the Panel
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opinion; (2) the seriousness of the federal sex-trafficking
crimes against petitioner Wild and the other 30-plus minor
victims; (3) the government's egregious misconduct; and (4)
the fact that if the Epstein victims' CVRA rights attached pre-
charge, the government's misconduct undisputedly violated
them. It defies basic fairness for the Majority, at this late
stage, to avoid answering whether the Epstein victims had any
CVRA rights pre-charge.
Chief Judge Pryor's concurrence alleges that our answering
the first question would be issuing "an advisory opinion"
to the Executive Branch. Pryor Concurring Op. at 1269-72.
Invoking Article III of the Constitution, his concurrence states
that (1) an advisory opinion is one "that interpret[s] laws
without resolving cases or controversies": (2) "[n]o principle
is more fundamental to the judiciary's proper role in ow
system of government" than the "constitutional limitation"
imposed by Article Ill; and (3) the "prohibition against
advisory opinions is the oldest and most consistent thread
in the federal law of justiciability." Pryor Concurring Op.
at 1270-71 (quotation marks omitted). His theory seems to
be that the victims-rights issue became non-justiciable the
moment a majority of this Court concluded the CVRA did not
provide Ms. Wild with a pre-charge remedy for any violation
of her statutory rights. This advisory-opinion theory is flawed,
disregards the live controversy between the Epstein victims
and the government as adverse parties, and disrespects the
concrete injury to those victims.
Article Ill of the Constitution grants our Court the power
to decide "Cases" or "Controversies." U.S. Const. art. Ill, §
2. That constitutional phrase "require[s] that a case embody
a genuine, live dispute between adverse parties, thereby
preventing the federal courts from issuing advisory opinions."
P a Carney v. Adams, 592 U.S. —, 141 S. Ct. 493, 498, 208
L.Ed.2d 305 (2020). As the Supreme Court has explained,
this "longstanding legal doctrine" prevents courts from (1)
"providing advisory opinions at the request of one who,
without other concrete injury, believes that the government is
not following the law," and (2) ruling on hypothetical legal
issues, the answers to which have no effect on the relationship
between the parties before them. lil a
at 501 (emphasis
added); see also f Flast v. Cohen, 392 U.S. 83, 96-97, 88
S. Ct. 1942, 1951, 20 L.Ed.2d 947 (1968) (noting that suits
in which courts are asked to render advisory opinions "are
not pressed before the Court with that clear concreteness
provided when a question emerges *1317 precisely framed
and necessary for decision from a clash of adversary argument
exploring every aspect of a multifaced situation embracing
conflicting and demanding interests" (quoting United States
v. Fruehauf, 365 U.S. 146, 157, 81 S. Ct. 547, 554, 5 L.Ed.2d
476 (1961)).
Contrary to the concurrence, the first issue remains
justiciable, and answering it would not be an advisory
opinion. There is and has been a live controversy between
Ms. Wild and the government as to the scope of her conferral
right under the CVRA and the government's violations of her
rights. That genuine controversy did not end simply because
the Majority decided to dispose of her lawsuit on a procedural
ground without deciding the rights issue.
The concurrence also alleges (1) "our answer to the first
question would be an alternative holding only if we ...
concluded that the Act does not confer any pre-charge rights,
judicially enforceable or otherwise"; but (2) if we "say that
the Act does confer pre-charge rights, those rights would
not be judicially enforceable and our resolution of this
petition for a writ of mandamus would not change," and
thus our ruling on the rights issue would be an advisory
opinion. But the justiciability of both merits and procedural
issues depend on whether an underlying case or controversy
exists and remains—not on the outcome the court reaches
as to either issue. The federal law is replete with cases in
which courts address two issues in the alternative, ruling
alternatively on both the merits and procedural issues in
cases, even though the resolution of the appeal or petition
does not change. See. e.g., Riechmann v. Fla. Dep't of
Colt, 940 F.3d 559, 580 (11th Cir. 2019) ("Although we
conclude that the district court properly determined that
Riechmann's Brady claim was procedurally defaulted, we
will briefly address the substance of the underlying Brady
claim, which we alternatively find lacks merit."); Echols
v. Lawton 913 F.3d 1313, 1323 ( 1 1 th Cir.), cert. denied
— U.S. —, 139 S. Ct. 2678, 204 L.Ed.2d 1070 (2019)
(concluding that while a plaintiffs "complaint state[d] a claim
of retaliation under the First Amendment," the defendant was
nonetheless entitled to qualified immunity because he did not
violate a First Amendment right that was clearly established);
Dukes v. Deaton 852 F.3d 1035, 1041 (11th Cir. 2017)
("Although we conclude that [the officer's] conduct violated
the Fourth Amendment, qualified immunity protects him
from suit because his violation was not clearly established
in law when he acted.");
Cinder v. City of Auburn. Ala.
618 F.3d 1240, 1266-67 (11th Cir. 2010) (concluding, as
to qualified immunity. that (1) no constitutional violation
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occurred, and (2) "[a]lternatively, at a minimum, Plaintiffs
have not shown [the defendant] violated clearly established
federal law");
Bundy v. Dugger 850 F.2d 1402, 1414 (11th
Cir. 1988) ("Alternatively, if the procedural default doctrine
did not preclude us from examining the merits of the Faretta
inquiry claim, we would conclude that [petitioner] was not
entitled to relief on this ground."); F d Smith v. Local No.
25. Sheet Metal Workers Intl Ass'n 500 F.2d 741, 744-45
(5th Cir. 1974) (reviewing a court's order of "dismissal for
lack of subject matter jurisdiction or alternatively a *1318
grant of summary judgment on the merits"). 2 Furthermore,
"in this circuit additional or alternative holdings are not dicta,
but instead are as binding as solitary holdings." ? Bravo v.
United States 532 F.3d 1154, 1162 (1 I th Cir. 2008).
The mere fact that a court has decided one issue—procedural
or otherwise—that is capable of resolving a case on its own
does not mean that no case or controversy exists and remains
as to the other issue. The Panel opinion's holding—that Ms
Wild's CVRA rights did not attach pre-charge—was not an
advisory opinion. And that holding alone resolved the case
at the Panel stage. It makes no sense to conclude that this
Court at the Panel stage properly decided the justiciable issue
of whether Ms. Wild's rights under the CVRA attached pre-
charge only up and until it concluded at the en banc stage that
the Congress provided her with no cause of action to enforce
any rights she might have.
Perhaps it's strategic to bypass the rights issue altogether, as
the Majority does, rather than to hold Ms. Wild has CVRA
rights that were violated but no remedy as to the government's
misconduct. But it is wrong and a disservice to suggest
that our Court's ruling on whether Ms. Wild had conferral
rights pre-charge would constitute an impermissible advisory
opinion. 3
II. NARROW RULING: TIME
PERIOD AFTER THE AGREEMENT
Judge Branch's Dissent ably discusses why the CVRA's §
377I(a)(5) grants crime victims a "reasonable" conferral right
with *1319 "the attorney for the Government" and how
that conferral right attaches pre-charge and is not textually
conditioned on a preexisting indictment or formal charge. I
agree with her plain-text reading and that the government
violated the Epstein victims' rights.
In addition, I already expressed my view that after the
prosecutors concluded their investigation, drafted a 53-page
indictment against Epstein, and began plea negotiations with
Epstein's defense team, they had a legal obligation under
the CVRA to confer with the victims before executing the
secret plea Agreement. See I I In re Wild 955 F.3d at
1250. Requiring an "attorney for the Government" to merely
speak with a victim pre-charge in no way interferes with
prosecutorial discretion. After speaking with a victim, the
prosecutor retains exclusive discretion over whether to indict
or grant immunity. If a prosecutor confers, there is then no
CVRA violation for a victim to complain about in a court.
But to the extent one nonetheless credits the Majority's
concerns about possible interference with prosecutorial
discretion, I set forth below a narrow conferral-right ruling
based on only the time period after the prosecutor exercised
his discretion, made his charging decision, and executed the
Agreement.
A. Alternative Ruling: Conferral Right After the
Agreement's Execution
The Majority concedes that: (1) after the Agreement's
execution, the "prosecutors worked hand-in-hand with
Epstein's lawyers ... to keep the [September 2007]
NPA's existence and terms hidden from victims"; (2) the
government's efforts graduated to "active misrepresentation";
and (3) "it wasn't until July 2008—during the course of this
litigation—that Ms. Wild learned of the NPA's existence,
and until August 2008 that she finally obtained a copy of
the agreement." Maj. Op. at 1248-49. Once the Agreement
was signed, the U.S. Attorney had exercised his prosecutorial
discretion and was required to confer with and tell the victims.
The prosecutors well knew this, writing Epstein's defense
team that they must notify the victims about the Agreement
and upcoming state plea.
Thus, as an alternative merits ruling on the first en banc
issue, I would hold that after the prosecutor executed the
Agreement with Epstein, (1) his victims had a reasonable
right to confer with the prosecutor under § 377I(a)(5), and
(2) the government violated their rights by not disclosing the
Agreement, its terms, and upcoming state court events, and by
misrepresenting the case status. Such a narrow ruling is alone
sufficient to establish the merits of Ms. Wild's conferral-right
claim, and permits her claim to proceed.
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B. Majority Repositions Its Blanket Post-Indictment
Restriction from Conferral Right to Private Right of
Action
It is telling too that, at the panel stage, the Panel Majority
added a blanket post-indictment restriction to the conferral-
right text in 4 3771(a)(5) and held victims had no conferral
rights before an indictment was filed. 1 In re Wild, 955
F.3d at 1198. The Panel Majority feared that recognizing
a conferral right pre-indictment created these problems: (1)
undue interference with prosecutorial discretion; (2) the
need for mini-trials to identify the victims and the federal
offenses committed; and (3) federal judges' "injunctions
requiring (for instance) consultation with victims before raids,
warrant applications, arrests, witness interviews, lineups, and
interrogations." I Id. at 1216-18.
Now the en banc Majority (1) bypasses the conferral-rights
issue altogether, (2) transposes those exact same fears over
to the second issue as to a private right of *1320 action,
and (3) adds the blanket post-indictment restriction to the
private-right-of-action text in § 3771(d). It repositions the
same arguments from the conferral-right issue to the private-
right-of-action issue. Even if one credits those concerns, they
evaporate under my narrow holding in Section II.A. that afler
the U.S. Attorney signed the Agreement, the victims had
conferral rights that the government violated. 4
C. A Holding Limited to the Facts Before Us
The Majority and concurring opinions posit multiple
operational difficulties if victims may file a freestanding
motion in future cases. Although the CVRA expressly allows
a motion for relief when "no prosecution is underway,"
18 U.S.C. § 3771(d)(3), their opinions add a blanket post-
indictment restriction to the statute and conclude a motion
may be filed only when a formal prosecution is already
underway. $c Maj. Op. at 1247, 1265-66; Tjoflat Concurring
Op. at 1282.
Judicial restraint counsels against fashioning a blanket rule
against all applications of the CVRA statute pre-charge; yet
the Majority does that here. There is no ambiguity in the
CVRA's statutory text, and there is no ambiguity as to how
the CVRA's terms apply to the facts before us. Holding
that the CVRA as applied in this particular case does not
interfere with the prosecutor's discretion is all we need to
say. How constitutional doctrines protecting prosecutorial
discretion interact with the CVRA in other factual scenarios
are questions for future cases. See P a Bostock v. Clayton Cty.
Ga. 590 U.S. —,
140 S. Ct. 1731, 1749, 1753-54,
207 L.Ed.2d 218 (2020) (stating that "no ambiguity exists
about how Title VII's terms apply to the facts before us" and
that while "the [defendant] employers fear that complying
with Title VIPs requirement in cases like ours may require
some employers to violate their religious convictions," how
"doctrines protecting religious liberty interact with Title VII
are questions for future cases"). On these facts, the victims'
CVRA rights were violated!
III. PRIVATE RIGHT OF ACTION & SANDOVAL
As to the second en banc issue, I join Judge Branch's holding
that the CVRA's text in § 3771(d)(3), as written by Congress,
expressly granted Ms. Wild a private right of action to file
a "[m]otion for *1321 relief' to enforce CVRA rights "in
the district court in the district in which the crime occurred"
when "no prosecution is underway." 18 U.S.C. § 3771(dX3).
Because the CVRA expressly grants a judicial enforcement
mechanism, I need not and do not seek to imply a cause of
action.
Furthermore, the Majority and concurring opinions heavily
rely on
Sandoval where the inquiry was whether to imply
a private right of action for Ms. Sandoval to enforce agency
regulations. Here, though, the question is whether a specific
statute, § 3771(d) enacted by Congress expressly grants Ms.
Wild, as a crime victim, a private right of action to enforce
her own CVRA statutory rights (not agency regulations).
Because the Majority uses snippets of [ t Sandoval out of
context, I carefully walk the reader step-by-step through
.1
the
Sandoval decision and then discuss /12 Sandoval's
meaning for this case.
A. Sandoval
P. Sandoval's facts. Alabama changed its written driver's
license tests to English only. P tl Alexander v. Sandoval, 532
U.S. 275, 278-79, 121 S. Ct. 1511, 1515, 149 L.Ed.2d 517
(2001). Federal regulations forbid federal funding recipients,
like Alabama, from using procedures that had discriminatory
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effect. P . Id. at 278, 121 S. Ct. at 1515. Ms. Sandoval (a
Spanish speaker) filed a lawsuit, as a class representative,
to enjoin the English-only policy as discriminatory. t Id. at
279, 121 S. Ct. at [515. The P u Supreme Court held Ms.
Sandoval did not have a private right of action to enforce the
agency's regulations that forbid Alabama from using policies
with discriminatory impact. P. Id. at 281, 285, 293, 121 S.
Ct. at 1517,
`
1519, 1523. Only the agency could enforce its
regulations. t.
Sandoval discussed two statutes: §§ 601 and
602 of the Civil Rights Act.
P 1Sandoval's § 601 ruling. P I Sandoval recognized that
under § 601, individuals had a private right of action to
enforce their statutory rights. P Id. at 279—80, 121 S. Ct.
at 1516. The r Sandoval Court, citing P Cannon 6 and the
parties' concessions, took it as a given that individuals would
have a private right to enforce their statutory rights in §
601. V Id. But Ms. Sandoval was seeking to enforce agency
regulations under § 602. P I Id. at 279, 121 S. Ct. at 1515.
tis
Sandoval's § 602 ruling. The debated question in
Sandoval was about the § 602 statute, which authorized
federal agencies to issue regulations as follows:
Each Federal department and agency
which is empowered to extend
Federal financial assistance to any
program or activity, by way of
grant, loan, or contract other than a
contract of insurance or guaranty, is
authorized and directed to effectuate
the provisions of [§ 601] of this
title with respect to such program or
activity by issuing rules, regulations,
or orders of general applicability
which shall be
consistent
with
achievement of the objectives of
the statute authorizing the financial
assistance in connection with which
the action is taken.
42 U.S.C. § 2000d-1. Section 602 has no language about
"rights" and no text authorizing a private right of action.
rg Sandoval's no-right-of-action holding was only about
whether § 602 authorized Ms. Sandoval to privately sue to
enforce agency regulations. See
Sandoval 532 U.S. at
285—86, 121 S. Ct. at 1519.
Indeed, the § 602 inquiry in r . Sandoval was whether to
imply a private cause of action for Ms. Sandoval to enforce the
J
agency's regulations. See c id. at 284-88, 121 S. Ct. at 1518—
20. The c u
Sandoval Court concluded: (1 ) § 602 contained no
"rights-creating" language; (2) instead § 602 merely *1322
authorized federal agencies to issue regulations to effectuate
the provisions of § 601; and (3) thus § 602 evinced no intent
on Congress's part to create an individual private right of
action to enforce the agency's regulations. P Id. at 288-89,
121 S. Ct. at 1520-21.
The P Sandoval Court found § 602's lack of any "rights-
creating" language highly relevant, noting that statutes that
"focus on the person regulated rather than the individuals
protected create no implication of an intent to confer rights
on a particular class of persons."
Id. at 289, 121 S. Ct. at
1521 (emphasis added). The statutory language in § 602 did
not focus "on the individuals protected ... but on the agencies
that will do the regulating." r l Id at 289, 121 S. Ct. at 1521.
The P . Sandoval Court also discussed how § 602's method
for enforcing regulations included the agency's "terminating
funding to the particular program," such as funding recipient
J
Alabama. c Id. at 289-91, 121 S. Ct. at 1521-22 (quoting 42
U.S.C. § 2000d-l). The Supreme Court reasoned that § 602's
"express provision of one method of enforcing a substantive
rule suggests that Congress intended to preclude others."
V Id. at 290, 121 S. Ct. at 1521-22 (emphasis added).
Four times, the Majority cites this italicized statement
from P
Sandoval and argues the existence of the CVRA's
administrative scheme in § 3771(f) suggests Congress
intended to preclude a crime victim's private cause of action
in § 3771(d). Maj. Op. at 1255-56, 1259, 1264, 1264-65.
But as my detailed account of c It Sandoval demonstrates, the
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Majority is using this italicized statement wholly outside of
its actual factual context in the ! I Sandoval decision and
summarily applying it to a materially different statutory text
and structure.
Summarizing, in? . Sandoval the § 602 statute contained no
language or any evidence of congressional intent to create
either a private right or a private remedy for Ms. Sandoval.
Thus, the Supreme Court
`
in ? " Sandoval held Ms. Sandoval
could not sue. So what is ? Sandoval's meaning for this case
that involves a materially different statute? P. Sandoval tells
us what we must do: examine the text and structure of the
CVRA for evidence of congressional intent to create both a
private right and a private remedy, which I do below.
B. CVRA § 3771(d)
In stark contrast to the § 602 text, the CVRA text, enacted
by Congress, includes exactly the sort of "rights-creating"
language and private cause of action that the
Sandoval
Court found was absent from § 602. Sce
id. at 288, 121
S. Ct. at 1521; see also ? a Love v. Delta Air Lines, 310 F.3d
1347, 1352 (11th Cir. 2002) ("Rights-creating language is
language explicitly confer[ing] a right directly on a class of
persons that include[s] the plaintiff in [a] case, or language
identifying the class for whose especial benefit the statute was
enacted." (citation and quotation marks omitted) (alterations
in original)).
The CVRA statute is replete with "rights-creating" language,
such as "[a] crime victim has ... [t]he reasonable right to
confer with the attorney for the Government" and "[t]he right
to be treated with fairness." IS U.S.C. § 3771(a)(5), (8). The
CVRA text, with its emphasis on a discrete class—crime
victims—shows Congress's clear "intent to confer rights on
a particular class of persons." See f
Sandoval 532 U.S. at
289, 121 S. Ct. at 1521 (quotation marks omitted); sec. also
Geraaga_Univ. v. Doe, 536 U.S. 273, 284, 122 S. Ct. 2268,
2275, 153 L.Ed.2d 309 (2002) (concluding the statute at issue
was "phrased 'with an unmistakable focus on the benefited
class.' " (quoting ?. Cannon 441 U.S. at 691, 99 S. Ct. at
1955)).
As to enforcement of those statutory rights P. Sandoval
tells us that the presence *1323 of this "rights-creating
language" in a statute—here the CVRA—evinces an intent on
Congress's part to create a private right of action to enforce
those individual statutory rights. See ? " Sandoval 532 U.S.
at 288, 121 S. Ct. at 1521. To be clear. though, we need not,
and should not, imply a private right of action here. And we
do not rely solely on the rights-creating language in § 377 I (a)
(5) and (8). As the Supreme Court notes, "[w]hen Congress
intends private litigants to have a cause of action to support
their statutory rights, the far better course is for it to specify
as much when it creates those rights." ? "Cannon, 441 U.S.
at 717, 99 S. Ct. at 1968.
That is exactly what Congress did in the CVRA. In § 3771(d),
Congress expressly provided a private right of action: a
victim should "assert the rights described in subsection (a)"
via a "[m]otion for relief' filed "in the district court in
which a defendant is being prosecuted for the crime or. if no
prosecution is underway, in the district court in the district in
which the crime occurred." 18 U.S.C. § 3771(dX I ), (3). This
sentence is written in clear English prose. Further, Congress
in the same sentence expressly differentiated between when
a defendant is being prosecuted and when no prosecution is
underway. It is linguistically implausible to read this text as
always requiring Ms. Wild to file her motion for relief in a
preexisting and ongoing criminal proceeding. The Majority's
counterarguments cannot overcome Judge Branch's natural
reading of this sentence or the clear commands of § 3771(d)'s
text and statutory context.
C. Errors in Majority's Analysis About Sandoval
In my view, the Majority errs in its ? I Sandoval analysis in
several ways. First, the Majority endlessly voices concern
that (I) the Epstein victims, like the ? I Sandoval plaintiff,
are trying to "imply" a cause of action where Congress has
not expressly created one, and (2) ? " Saps:loyal precludes
"implying" a private right of action here. Maj. Op. at 1254-
56, 1259-61, 1263-66. The Majority opinion references
implied causes of action four times. Maj. Op. at 1249-
55, 1259, 1260, 1264. Chief Judge Pryoes concurring
opinion references implied rights of action six times. Pryor
Concurring Op. at 1269-70, 1273-74.
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Here, we need not, and do not, "imply" a private right
of action because the CVRA expressly creates a judicial
enforcement mechanism: a "[m]otion for relief' filed in "the
district court in the district in which the crime occurred." IS
U.S.C. § 377I(d)(3). Our Court can, and should, stop at the
plain text of the CVRA and the most natural reading of that
text.
Second, the Majority keeps repeating: (I) "we find no clear
evidence" that Congress intended crime victims to file this
case, and (2) we find no 4 5 Sandoval-qualifying clear
expression of congressional intent." Maj. Op. at 1256, 1258
n.13, 1259, 1265-66, 1266, 1268-69. The Majority ignores
that ? I Sandoval's finding of no congressional intent to grant
Ms. Sandoval a private right of action was based on these
key textual clues: (I) the § 602 statute had no "rights-creating
language"; (2) the § 602 statute contained no text creating a
judicial enforcement mechanism; (3) the § 602 statute only
empowered the agency to promulgate regulations and was not
enacted to benefit a discrete class of persons; and (4) the § 602
statute focused on the agencies that will do the regulating, not
on the individuals protected. Precisely what was missing in §
602 is fully present in § 377I(a) and (d). And that statutory
text in § 3771(a) and (d), enacted by Congress, expressly
grants the Epstein victims a private right of action when no
prosecution is underway.
Third, the Majority and Judge Tjoflat's opinions advance
policy reasons for the Majority's bright-line rule that are
untethered *1324 from
Sandoval's analytical framework.
To avoid impairing prosecutorial discretion, the Majority
says we need a "line limiting judicial enforcement to the
post-charge phases of a prosecution." Maj. Op. at 1262.
The Majority also contends that "[i]nterpreting the CVRA
to authorize judicial enforcement only in the context of
a preexisting proceeding ... squares with the background
expectation of judicial involvement" in a prosecutor's case.
Id. at 1262-63. The Majority concludes that "[r]eading
the Act to provide a private right of action for pre-
charge judicial enforcement, by contrast, contravenes the
background expectation of executive exclusivity." Id. at 1263.
The Majority shuts the courthouse door to the Epstein victims
by adding a strict preexisting indictment requirement to §
377I(d)(3) when none exists in the text of that section.
As Judge Branch's Dissent explains, this is not a
straightforward, plain-text interpretation of § 377I(dX3).
Even the Majority admits it is "reading the Act" in
a "practical" way to avoid judicial interference with
prosecutorial discretion and "the background expectation of
judicial involvement." 7 Id. at 1262, 1262-63, 1265-66.
Simply put, we are not asked, as in ? Sandoval to authorize
an implied private right of action that is nowhere to be found
in a statute. Rather, we are asked to give effect to the CVRA's
plain text without adding words to the statute. The Majority
accuses the Dissent and Ms. Wild of creating a remedy out of
whole cloth because that outcome is "desirable" from a policy
standpoint. Maj. Op. at 1264-65. Yet it's the Majority who
ignores the CVRA text in pursuit of its own policy concerns
and preferred bright-line restriction of victims' rights to a
post-indictment period.
IV. U.S. SENATORS' AMICUS BRIEF
While the text controls, the legislative history of the CVRA
is consistent with its *1325 plain text. See ? II CBS Inc. v.
PrimeTime 24 Joint Venture 245 F.3d 1217, 1229 n.7 (11th
Cir. 2001) (recognizing the "bedrock principle" that there is
no need to resort to legislative history where statutory text
is clear, but nonetheless reviewing legislative history that
"supports and complements the plain meaning of statutory
language" (quotation marks omitted)); see also In re BFW
Liquidation, LLC 899 F.3d 1178, 1190 (11th Cir. 2018)
(reasoning that legislative history "bolster[ed]" our reading of
unambiguous statutory text).
Senator Diane Feinstein and former Senators Jon Kyl
and Orrin Hatch filed an amicus brief in support of our
Court's rehearing en bane the Panel's erroneous statutory
interpretation of the CVRA. Senators Feinstein and Kyl
drafted and, along with Senator Hatch, co-sponsored the
CVRA. See Senators' Amicus Br. at I. All three senators
served on the Senate Judiciary Committee—with Senator
Hatch as its chairman—when Congress passed the CVRA.
The Senators urge this Court to hold that the CVRA's plain
text in § 3771(a) grants crime victims pre-charge rights to
confer and be treated fairly, and in § 3771 (d)(3) the right to
enforce them, "if no prosecution is undenvay," by filing a
motion for relief in the district court. See id. at 7-12 (citing 18
U.S.C. § 377I(a), (d)(3)). They urge fidelity to the CVRA's
text as written and enacted by Congress, stressing that the
CVRA's text does not contain a temporal limitation and does
not depend upon the filing of an indictment:
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Critically, as the panel majority acknowledged, its decision
was not compelled by statutory text. r 955 F.3d at 1205.
That comes as no surprise to the amici Senators who drafted
that text. Two rights conferred by the Act—the right "to
confer with the attorney for the Government" and the right
"to be treated with fairness and with respect"—do not, by
their text, depend upon the filing of formal charges. IS
U.S.C. § 377I(aX5), (8).
Id. at 7. The Senators emphasize that, beyond the lack
of any temporal limitation, two provisions—§ 3771(c)(1)
and (dX3)—"make clear that the Act's rights attach before
formal charges are filed." Id. Section 3771(c)(1) requires
that government employees "engaged in the detection,
investigation, or prosecution of crime" shall make best efforts
to accord victims their rights. See 18 U.S.C. § 377I(c)( I).
Next, the Senators submit that "if any doubts remain," about
the pre-charge application of the CVRA, "the Act sweeps
them away with its proviso [in § 377 I (d)(3)] that the rights
established by the Act may be asserted if no prosecution is
underway, in the district court in the district in which the crime
occurred." Senators' Amicus Br. at 7-8 (quotation marks
omitted).
The Senators bolster their position by pointing to their
statements in the Congressional Record at the time of the
CVRA's enactment. Senators Feinstein and Kyl "emphasized
that it 'is important for victims' rights to be asserted and
protected throughout the criminal justice process'—and to
do that, victims need to be 'heard at the very moment when
their rights are at stake.' " Id. at 5 (quoting 150 Cong. Rec.
7294, 7304 (2004)). To accomplish that goal, the CVRA gives
victims "the right to confer with the Government concerning
any critical stage or disposition of the case." Id. at 6 (quoting
150 Cong. Rec. at 7302).
The Senators emphasize that the events giving rise to this
litigation are "precisely the miscarriage ofjustice the Act was
intended to—and contrary to the [Panel] majority decision,
does—foreclose." Id. They express concern that ow Court's
erroneous decision limiting the CVRA to only the post-
indictment phase of the criminal *1326 justice process
"will undo decades of progress toward recognizing and
vindicating the vitally important rights of crime victims."
Id. at II. No matter the Majority and concurring opinions'
myriad policy concerns, Congress was entitled to grant
crime victims conferral rights that do not depend upon the
existence of a preexisting indictment or ongoing criminal
proceeding. "Only that policy choice, embodied in the terms
of the law Congress adopted, commands this Court's respect."
Pereida v. Wilkinson 592 U.S.—,—, 141 S. Ct. 754,
767, — L.Ed.2d —
(2021). This legislative history in the
Senators' Amicus Brief also supports Judge Branch's natural
reading of the CVRA's plain text.9
V. TWO-TIERED JUSTICE SYSTEM
The Majority's holding has far-reaching consequences in ow
Circuit. The pre-charge period has become critical in white-
collar cases. Defense attorneys are hired to represent potential
defendants pre-charge to negotiate and extract the best plea
deal in advance of, or to forestall, any indictment. The
Majority's ruling—limiting judicial enforcement of CVRA
violations to a formal post-charge period—leaves federal
prosecutors free to engage in the secret plea deals and
deception pre-charge that resulted in the travesty here. I°
Over the last fifteen years, there has been a dramatic increase
in the use of pre-indictment "alternative settlement vehicles"
*1327 such as deferred prosecution agreements and non-
prosecution agreements to resolve federal crimes. See Cindy
R. Alexander & Mark A. Cohen, The_Evolution of Corporate
Criminal Settlements: An Empirical Perspective on Non-
Prosecution. Deferred Prosecution. and Plea Agreements, 52
Am. Crim. L. Rev. 537, 537-40 & n.14 (2015). II Under the
Majority's ruling, victims have no CVRA remedy when a
prosecutor secretly negotiates these pre-charge agreements in
the absence of federal charges.
The Majority's ruling also exacerbates disparities between
wealthy defendants and those who cannot afford to hire well-
connected and experienced attorneys during the pre-charge
period. Most would-be defendants lack resources and usually
have no counsel during this pre-charge period. Consequently,
they do not have the pre-charge opportunity to negotiate
the kind of extremely favorable deal that Epstein received.
This sort of two-tiered justice system—one in which wealthy
defendants hire experienced counsel to negotiate plea deals in
secret and with no victim input—offends basic fairness and
exacerbates the unequal playing field for poor and wealthy
criminal defendants.
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VI. CONCLUSION
While the Majority laments how the national media fell
short on the Epstein story, this case is about how the U.S.
prosecutors fell short on Epstein's evil crimes. Mysteries
remain about how Epstein escaped federal prosecution and
why, for nearly a year, the government made affirmative
misrepresentations to the Florida victims of his serious
sex crimes and to the victims' counsel. The government
egregiously violated Ms. Wild's CVRA rights. "Our criminal
justice system should safeguard children from sexual
exploitation by criminal predators, not re-victimize them," as
the prosecutors did here. u In re Wild, 955 F.3d at 1249-50
(Hull, .I., dissenting).
The petition Ms. Wild filed in the district court was one
that the CVRA expressly authorizes when no prosecution
is underway. Ms. Wild has spent over ten years seeking to
vindicate her statutory rights expressly created by Congress.
Today, the Majority tells Ms. Wild and Epstein's other victims
that all of that was for naught, since they never had the right
to file their motion in the first place back in 2008. The Epstein
victims have no remedy as to the government's appalling
misconduct because the Majority rewrites the CVRA to add
a blanket post-indictment limitation and reads out of the
statute any ability for crime victims to judicially enforce their
conferral rights outside of a preexisting criminal proceeding.
The Majority's ruling eviscerates the CVRA and makes
the
I Epstein case a poster child for an entirely different
justice system for crime victims of wealthy defendants. I
respectfully dissent, once again. See " l id. at 1223-1250
(Hull, .I., dissenting).
All Citations
994 F.3d 1244,28 Ha. L. Weekly Fed. C 2701
Footnotes
Judges Tjoflat and Hull were members of the en banc Court that heard oral argument in this case, both
having elected to participate in this decision pursuant to 28 U.S.C. § 46(c)(1). Judges Jordan, Rosenbaum,
and Grant are recused.
1
The NPA also contained several provisions concerning Epstein's victims. The government, for instance,
agreed to provide a list of known victims to Epstein and, "in consultation with and subject to the good faith
approval of Epstein's counsel," to "select an attorney representative" for the victims, to be "paid for by Epstein."
Epstein waived his right to contest liability or damages "up to an [agreed] amount" in a victim's civil suit, "so
long as the identified individual elect[ed] to proceed exclusively under 18 U.S.C. § 2255, and agree[d] to
waive any other claim for damages." An odd set-up—and one that, it seems to us, was likely calculated to
quickly and quietly resolve as many victim suits as possible.
2
The government has contended that these letters were technically accurate because the already-signed NPA
remained under review by senior members of the Department of Justice.
3
Cl. David Folkenflik, A Dead Cat, A Lawyer's Call And A 5-Figure Donation: How Media Fell Short on Epstein,
National Public Radio (Aug. 22, 2019, 6:06 PM), https://www.npr.org/2019/08/22/753390385/a-dead-cat-a-
lawyers-call-and-a-5-figure-donation-how-media-fell-short-on-epstei.
4
A second petitioner joined the suit shortly after ft was filed. For simplicity's sake, we will refer to the present
action as "Ms. Wild's" suit.
5
Although the CVRA instructs the court of appeals to "take up and decide" any mandamus petition 'forthwith
within 72 hours," the Act also authorizes parties to stipulate, as they did here, to "a different time period for
consideration." 18 U.S.C. § 3771(d)(3).
6
In its en banc brief, the government also (for the first time) contested our jurisdiction to consider Ms. Wild's
mandamus petition. The 2015 version of the CVRA—which was in effect at the time Ms. Wild sought review
in this Court—provides that a crime victim may file a mandamus petition in the "court of appeals," which it
defines as "the United States court of appeals for the judicial district in which a defendant is being prosecuted."
18 U.S.C. § 3771(e)(1)(A). According to the government, that means that a victim may seek mandamus
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relief only if (and while) a criminal defendant "is being prosecuted." Because that's not the case here, the
argument goes, we lack jurisdiction even to entertain Wild's petition. We disagree for three reasons. First, §
3771(e)(1)(A) is more properly understood as a venue provision than a jurisdictional provision—it specifies in
which "court of appeals" a victim should file. Cf. United States v. Ross. 963 F.3d 1056. 1063 (11th Cir. 2020)
(en banc) (noting "the Supreme Court's directive that courts should avoid 'jurisdictionalizing' issues" that are
more properly framed in other terms). Second, the governments position would render the CVRA internally
inconsistent. By its terms, the Act clearly applies in the context of habeas corpus proceedings. See 18 U.S.C.
§ 3771(b)(2). But, of course, no one "is being prosecuted- in a habeas proceeding. So the government's
position would imply that there is no mandamus jurisdiction to address a violation that occurs during a habeas
proceeding, which the Act plainly covers. Finally, the government's position defies common sense. If Ms.
Wild had sought mandamus relief in 2014, there would undoubtedly have been no bar to our review—there
being no restrictive definition of "court of appeals- at that time. But, the government asserts, with the passage
of the 2015 amendment—which all agree was meant to enhance victims' rights—that jurisdiction somehow
evaporated. That seems exceedingly unlikely.
This was the posture in which the "attachment- issue arose in
In re Dean, 527 F.3d 391 (5th Cir. 2008), on
which our dissenting colleagues rely. See Branch Dissenting Op. at 1297. Because the question we answer is
different from the one presented in
Dean, our decision creates no circuit split, as our dissenting colleagues
imply.
8
The CVRA (as amended in 2015) provides that this Court "shall apply ordinary standards of appellate review-
to the issues presented in a mandamus petition under the Act. 18 U.S.C. § 3771(d)(3). Because the issues
presented here are questions of law, we review them de novo. See. e.g.,
De Sandoval v. U.S. Arty Gen..
440 F.3d 1276, 1278 (11th Cir. 2006).
9
Our dissenting colleagues accuse us of "blithely" "skip[ping] over the first of the two questions specified in
our briefing order in favor of the second. See Hull Dissenting Op. at 1315; see also Branch Dissenting Op.
at 1294. With respect, our path results from a shared conviction that courts should decide cases narrowly
wherever possible. Our charge here is simply to resolve the parties' dispute, not to answer questions that
don't (and can't) affect the outcome. Cf.
District of Columbia v. Wesby, — U.S. -,
138 S. Ct. 577. 589
n.7. 199 L.Ed.2d 453 (2018) (encouraging courts addressing qualified-immunity cases to bypass the merits
of the logically antecedent constitutional question in favor of the logically subsequent "clearly established
law" question). Because we don't need to address the first, "attachment- question, we won't do so and,
accordingly, won't engage our dissenting colleagues' extended analyses of the issues that it presents. See
Branch Dissenting Op. at 1294-98; Hull Dissenting Op. at 1315-18.
10
Before considering the merits of Ms. Wild's petition, we must briefly address a front-end procedural issue.
Ms. Wild contends that the government waived any argument that the CVRA doesn't provide for pre-charge
judicial enforcement here when it failed to file a "cross-appeal" from the district court's 2011 order, which
(as already explained) held as a matter of law [that] the CVRA can apply before formal charges are filed."
Does. 817 F. Supp. 2d at 1343. We reject Ms. Wild's waiver argument. It's true that in the usual case,
the government's failure to cross-appeal the district court's adverse 2011 order might well have precluded
our review of that decision. See
Greenlaw v. United States, 554 U.S. 237. 244-45, 128 S.Ct. 2559. 171
L.Ed.2d 399 (2008). This, though, isn't the usual case. Ms. Wild didn't file an "appeal"; rather, as the CVRA
requires, she filed a petition for writ of mandamus. See 18 U.S.C. § 3771(d)(3); see also 16 Charles Alan
Wright & Arthur R. Miller, Federal Practice and Procedure § 3932 (3d ed. 2019) (explaining that a mandamus
petition is "an original application to the court of appeals"). The question before us, therefore, isn't whether
to affirm or reverse the district court's orders, but rather whether to grant or deny Ms. Wild's mandamus
petition—and the government is entitled to raise any argument it likes in support of its position that we should
deny. And while the CVRA (as amended in 2015 to resolve a then-existing circuit split) directs us to 'apply
ordinary standards of appellate review- in deciding the mandamus petition, see 18 U.S.C. § 3771(d)(3)-
7
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rather than the heightened "clear usurpation of power or abuse of discretion" standard that typically applies
in the mandamus context,
In re Loudermilch, 158 F.3d 1143, 1145 (11th Cir. 1998)—it doesn't direct us
to employ the rules of procedure that would apply if this were a typical appeal.
11
Our dissenting colleagues come perilously close to saying that "rights-creating" language is a sufficient basis
for recognizing a private right of action. See Branch Dissenting Op. at 1300-02: Hull Dissenting Op. at 1322-
23. That is incorrect, at least under
Sandoval. To be sure, such language is a necessary condition to
a cause of action's existence, but it's not sufficient To the contrary, as the Sandoval Court clarified—and
as we have emphasized here in text—"[t]he judicial task is to interpret the statute Congress has passed to
determine whether it displays an intent to create not just a private right but also a private remedy."
532
U.S. at 286. 121 S.Ct. 1511 (emphasis added).
12
Our dissenting colleagues insist that they have the "common, ordinary" meaning of the word "motion" on their
side—so much so, in fact, that they claim to have "dismantle[d]" our "tortured construction of the term. See
Branch Dissenting Op. at 1302-03; Hull Dissenting Op. at 1324 n.7. Conspicuously, though, they offer no
response to our exhaustive analysis of that word's accepted usage, as confirmed by legal dictionaries and
encyclopedias.
13
We've been pointed to only two other instances, both arising out of the Federal Rules of Criminal Procedure,
in which the term "motion" is even arguably used to initiate legal proceedings: Under Rule 41(g), which
establishes the procedures governing searches during investigations, a third party may file a `motion" to
enforce her rights before a criminal prosecution is formally commenced; and under Rule 17(c)(2), a witness
may file a "motion" to quash a grand-jury subpoena before an indictment is handed down. Even setting aside
the fact that both arise in altogether different contexts, those two examples don't alter our view that the term
"motion- has never been commonly understood to denote a vehicle for initiating litigation, let alone as the
vehicle for initiating a stand-alone civil action of the sort that Ms. Wild seems to envision—let alone the sort
of
Sandoval-qualifying clear expression of an intent required to create a private right of action.
14
Cf. Antonin Scalia & Bryan A. Garner, Reading Law: The Interpretation of Legal Texts 170 (2012) ("A word
or phrase is presumed to bear the same meaning throughout a text ...."); cf. also
Mohasco Corp. v. Silver.
447 U.S. 807, 826, 100 S.Ct. 2486.65 L.Ed.2d 532 (1980) (rejecting interpretation that would "giv[e] the word
'filed' two different meanings in the same section of the statute").
15
This case's procedural history provides still further evidence that subsection (d)(3)'s "motion" remedy doesn't
authorize a crime victim to file a freestanding civil action, outside the confines of a preexisting proceeding.
Although the Act specifies a "motion- as its lone judicial-enforcement mechanism, Ms. Wild filed a document
called an "Emergency Victim's Petition" in the district court, and she did so without naming a defendant.
No doubt confused, the clerk of the district court docketed Ms. Wild's "Petition" as a civil action against the
United States. See
Does. 817 F. Supp. 2d at 1339-41 & n.4. The obvious problem: Absent a waiver, the
United States is immune from suit. If the CVRA was intended to provide a vehicle for initiating a freestanding
action against the government, it would have had to waive the United States' sovereign immunity, which,
so far as we can tell, it didn't. See
Lane v. Pena. 518 U.S. 187. 192. 116 S.Ct. 2092. 135 L.Ed.2d 486
(1996) (explaining that a waiver of the United States' sovereign immunity "must be unequivocally expressed
in statutory text"); Scalia & Garner, Reading Law at 281 ("A statute does not waive sovereign immunity ...
unless that disposition is unequivocally clear.").
16
This prosecutorial discretion 'flows not from a desire to give carte blanche to law enforcement officials but
from recognition of the constitutional principle of separation of powers." United States v. Ream. 491 F.2d
1243. 1246 n.2 (5th Cir. 1974). As we said in Ream—
The discretionary power of the attorney for the United States in determining whether a prosecution shall
be commenced or maintained may well depend upon matters of policy wholly apart from any question of
probable cause. Although as a member of the bar, the attorney for the United States is an officer of the
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court, he is nevertheless an executive official of the Government, and it is as an officer of the executive
department that he exercises a discretion as to whether or not there shall be a prosecution in a particular
case. It follows, as an incident of the constitutional separation of powers, that the courts are not to interfere
with the free exercise of the discretionary powers of the attorneys of the United States in their control over
criminal prosecutions.
Id. (quoting
United States v. Cox. 342 F.2d 167.171 (5th Cir. 1965)); accord, e.g.,
Heckler v. Chaney.
470 U.S. 821.832. 105 S.Ct. 1649,84 L.Ed.2d 714 (1985) ("[T]he decision of a prosecutor in the Executive
Branch not to indict ... has long been regarded as the special province of the Executive Branch, inasmuch
as it is the Executive who is charged by the Constitution to 'take Care that the Laws be faithfully executed.'
" (quoting U.S. Const. art. II. § 3)).
17
To be clear, its no answer to say—as our dissenting colleagues do—that because government prosecutors
identified Ms. Wild and others as "crime victim[s]" in the 2007 victim-notification letters, requiring a court to
make a "crime victim" determination prior to any charging decision wouldn't pose a problem. See Branch
Dissenting Op. at 1312-13. Needless to say, a prosecutor doesn't "impair (her own] discretion" by sending a
victim-notification letter. By contrast, were a federal court to determine before the fact—literally, to prejudge
—that a criminal "offense" had (or hadn't) occurred, it would be stepping all over prosecutors' toes. That very
real concern is hardly a "red herring[ ]." Id. at 1312-13.
18
Just a brief word in response to our dissenting colleagues' prosecutorial-discretion argument: They seem
to say that their interpretation of the CVRA doesn't impair prosecution because § 3771(d)( 6 ) states—as of
course it does—that nothing in the Act "'shall be construed to impair prosecutorial discretion of the Attorney
General or any officer under his direction."' Branch Dissenting Op. at 1313-14. To be clear, though, § 3771(d)
(6) is not a panacea against "construlctionsr of the Act that, in actual operation, impair prosecutorial discretion
—it is a prohibition of such constructions. Subsection (d)(6), therefore, doesn't save our dissenting colleagues'
interpretation, but rather condemns it.
19
Our dissenting colleagues' assertion that "concern[s] about impairment of prosecutorial discretion appl[y]
equally post-indictment- (Branch Dissenting Op. at 1313) ignores what we have called the `clear and sensible
boundary' that is marked by the formal initiation of criminal proceedings and that Chief Judge Srinivasan
astutely recognized for the D.C. Circuit in
Fokker Services. There is a world of difference between a court
insinuating itself into a prosecutor's case before charges are filed and stepping in to "administer( I" the case
thereafter.
818 F.3d at 737.
Our dissenting colleagues accuse us of "drawing" our own line between the pre- and post-charge phases
—i.e.. between detection and investigation, on the one hand, and formal prosecution, on the other. See
Branch Dissenting Op. at 1314; see also Hull Dissenting Op. at 1323-24. That is incorrect. We have simply
acknowledged—and enforced—the line that the CVRA itself embodies, and recognized that it (perhaps not
surprisingly) is a sensible one.
20
With respect, we think that our dissenting colleagues misunderstand the relevance of the fact that, in addition
to its (in-proceeding) "motion" remedy, the CVRA specifies a means of administrative enforcement. They
reason backwards from the premises (which may or may not be correct) that -the administrative-enforcement
scheme in the CVRA is not available to the victims in this case," and that -Epstein's victims [are thus]
completely without a remedy," to the conclusion that a pre-charge cause of action must exist. Branch
Dissenting Op. at 1309-10, 1311. To be sure, that mode of reasoning—if there's no other viable remedy, the
courts should fashion one—prevailed in what the Supreme Court in
Sandoval called the -ancien regime."
532 U.S. at 287.121 S.Ct. 1511. But the
Sandoval Court couldn't have been much clearer that it was
"sw[earing] off" its old way of thinking and establishing a new, more rigorous standard: Absent clear "statutory
intent- to "create not just a private right but also a private remedy," a "cause of action does not exist and courts
may not create one, no matter how desirable that might be as a matter of policy matter, or how compatible
with the statute."
Id. at 286-87, 121 S.Ct. 1511. The point for present purposes is that in the
Sandoval
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era the significance of an administrative apparatus is that it "suggests that Congress intended to preclude
other" means of enforcement. f ai Id. at 290, 121 S.Ct. 1511.
21
Ms. Wild objects that it would be odd, under the "no prosecution is underway" clause, to require a victim to
file a post-prosecution CVRA motion in the "district in which the crime occurred" rather than the "district court
in which the defendant is being prosecuted." But any supposed oddity is alleviated by the fact that under
the Sixth Amendment, those two districts will almost always be the same: "In all criminal prosecutions, the
accused shall enjoy the right to a speedy and public trial, by an impartial jury of the State and district wherein
the crime shall have been committed ...." U.S. Const. amend. VI; see also Fed. R. Crim. P. 18 ("Unless a
statute or these rules permit otherwise, the government must prosecute an offense in a district where the
offense was committed.").
We should note that there is still another way of understanding § 3771(d)(3)'s "no prosecution is underway"
clause. That clause could be read to apply to the period of time between the initiation of criminal proceedings
—which may occur as early as the filing of a criminal complaint under Federal Rule of Criminal Procedure 3—
and the levying of formal charges in an indictment. The word "prosecution"—on which subsection (d)(3) pivots
—is a legal term of art; in relevant part, it refers to a[t]he institution and continuance of a criminal suit [and]
the process of exhibiting formal charges against an offender before a legal tribunal, and pursuing them to
final judgment on behalf of the state or govemment, as by indictment or information." Prosecution, Webster's
New International Dictionary (2d ed. 1944). Moreover, the law is clear, at least for Sixth Amendment right-to-
counsel purposes, that a "prosecution" does notbegin with the criminal complaint's filing. See United States v.
Langley, 848 F.2d 152, 153 (11th Cir. 1988) (explaining that, with respect to a defendant's Sixth Amendment
right to counsel, prosecution begins "only after the government initiates adversarial judicial proceedings,"
not with "[t]he mere filing of a complaint); see also, e.g.,
United States v. States, 652 F.3d 734. 741-
42 (7th Cir. 2011) (same);
United States v. Boskic, 545 F.3d 69, 82—84 (1st Cir. 2008) (same);
United
States v. Alvarado, 440 F.3d 191, 199-200 (4th Cir. 2006) (same). Rather, the Sixth Amendment right doesn't
attach—because a "prosecution" doesn't begin—until, at the earliest, a suspect's 'initial appearance before a
judicial officer."
Rothgery v. Gillespie County, 554 U.S. 191, 199, 128 S.Ct. 2578, 171 L.Ed.2d 366 (2008).
All of which is to say that even if Ms. Wild and the district court were correct that the "no prosecution is
underway" clause meant that CVRA rights apply—and that a freestanding lawsuit may be initiated—before
formal charges are filed, they may yet be incorrect that those rights can be judicially enforced during a
pre-complaint investigation. Subsection (d)(3) can be read sensibly enough to apply (and to give victims a
judicially enforceable right, for example, to "confer" with prosecutors, § 3771(a)(5)) between the filing of the
criminal complaint and the suspect's initial appearance before a judge. That would, for instance, allow victims
to express their views to prosecutors about whether the defendant should be granted pretrial release. See
Fed. R. Crim. P. 5(d)(1)(C) (noting that pretrial-release decisions are made at the "initial appearance").
22
Ms. Wild contends that this interpretation of § 3771(c)(1) can't explain "why Congress found it necessary
to break out three separate phases of the criminal justice process: the 'detection,' 'investigation,' and
'prosecution' of crime." En Banc Br. of Petitioner at 21-22. If, she argues, Congress's intent was simply
to cover federal agents during the post-charging phase of a case, it could have simply omitted the words
"detection" and "investigation" from the Act, because any agent "who is in some way connected to the
'prosecution'—and, thus, in some way connected to crime victims—is already covered by the CVRA's
language applying the Act to agencies engaged in 'prosecution.' " Id. at 22. Thus, she says, our interpretation
impermissibly renders the terms "detection" and "investigation" meaningless. Id.; see also Paul G. Cassell
et al., Crime Victims' Rights During Criminal Investigations? Applying the Crime Victims' Rights Act Before
Criminal Charges Are Filed, 104 J. Crim. L. & Criminology 59, 87 (2014). We don't think so. We read
subsection (c)(1) not as -break[ing] out" three different phases, but rather as attempting to broadly cover all
necessary government-employee participants—in short, to ensure that the Act's protection extends beyond
prosecutors. "Doublets and triplets abound in legalese," especially given that Congress often uses a "belt-
and-suspenders" approach when drafting statutes. See Scalia & Gamer, Reading Law at 176-77 (cautioning
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that the surplusage canon must be applied 'With careful regard to context" and that "a court may well prefer
ordinary meaning to an unusual meaning that will avoid surplusage").
1
Although I recognize that more than one dissenting opinion was written in this case, because multiple judges
concurred in Judge Branch's opinion, I will refer to her dissent as 'The dissent" throughout my concurrence.
2
It is worth noting at the outset that I believe the pre-charge model would likely be used most frequently in
complex cases—think wire fraud, financial fraud, etc. There is little need for CVRA enforcement of a victim's
rights in a one-on-one crime, as the victim will almost certainly have been contacted by federal investigators
to assist in investigating the offense. Indeed, it is likely that the attorney for the federal government would
also be in contact with the victim prior to filing a criminal complaint or seeking an indictment, as the victim
would presumably be a key trial witness.
3
I refer to the United States Attorney here and throughout this concurrence for ease of analysis. Of course,
in the typical case, the victim would sue the specific attorney—typically an Assistant United States Attorney
—in charge of the criminal investigation.
However, it is worth noting that, "[a]bsent a waiver, sovereign immunity shields the Federal Government and
its agencies from suit."
Fed. Deposit Ins. Corp. v. Meyer, 510 U.S. 471. 475. 114 S. Ct. 996. 1000. 127
L.Ed.2d 308 (1994). This presents an additional hurdle for the dissent's model, but because the Majority
already ably discusses the sovereign immunity issue, Maj. Op. at 1258-59 n.15, I will assume it is not a
barrier to the victim's civil suit for the sake of analysis.
4
That provision states: -The term 'crime victim' means a person directly and proximately harmed as a result
of the commission of a Federal offense or an offense in the District of Columbia." 18 U.S.C. § 3771(e)(2)(A).
5
The crime victim's complaint and the United States Attorney's answer—along with any accompanying
discovery—would presumptively be accessible by the public, see
Wilson v. Am. Motors Corp.. 759 F.2d
1568. 1571 (11th Cir. 1985) (per curiam). absent a successful motion to seal the docket by one of the parties.
I discuss some issues this raises in part III.
6
Anything less than a finding that there is probable cause to believe the accused committed a federal crime
and that the victim was harmed by that offense would render the pre-charge civil suit little more than a fishing
expedition for information about an ongoing federal criminal investigation.
7
See infra part III for a detailed discussion of the difficulties of constructing such an order.
8
The majority opinion suggests that the post-charge model is triggered by the levying of formal charges in
an indictment. See Maj. Op. at 1266-67 n.21. Though I take the majority's point on the meaning of the term
"prosecution," see id., I suggest that a finding of probable cause by a magistrate judge when issuing a warrant
under Federal Rule of Criminal Procedure 4(a) or in a Rule 5.1 preliminary hearing would make the post-
charge model operative as well. In both of those cases, the magistrate judge is asked to determine whether
there is probable cause to believe that an offense has been committed and that the accused committed it.
See Fed. R. Crim. P. 4(a), 5.1(e). For purposes of triggering the post-charge model, I see no reason why
we should distinguish between a finding of probable cause made by the grand jury and the same finding
made by a magistrate judge.
9
The full text of Federal Rule of Civil Procedure 19(a)(1) states:
a) Persons Required to Be Joined if Feasible.
(1) Required Party. A person who is subject to service of process and whose joinder will not deprive the
court of subject-matter jurisdiction must be joined as a party if:
(A) in that person's absence, the court cannot accord complete relief among existing parties: or
(B) that person claims an interest relating to the subject of the action and is so situated that disposing
of the action in the person's absence may:
(i) as a practical matter impair or impede the person's ability to protect the interest; or
(ii) leave an existing party subject to a substantial risk of incurring double, multiple, or otherwise
inconsistent obligations because of the interest.
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10
The district court has a duty to join required parties on its own initiative. Fed R. Civ. P. 19(a)(2) ("If a person
has not been joined as required, the court must order that the person be made a party.").
11
Indeed, this is also the same determination a magistrate judge is asked to make when determining whether
an arrest warrant should issue. Fed. R. Crim. P. 4(a) ("If the complaint or one or more affidavits filed with the
complaint establish probable cause to believe that an offense has been committed and that the defendant
committed it, the judge must issue an arrest warrant to an officer authorized to execute it.").
12
Separately, I posit that the potential for unfairness to the accused in such a suit may require a judicially-created
rule that the accused be permitted to attend the civil "preliminary hearing: regardless of the application of
Rule 19. Otherwise, I have grave concerns that the district court will appear biased against the accused
and will give the public the appearance of impropriety. See Code of Conduct for United States Judges
Canon 2A (2019) ("An appearance of impropriety occurs when reasonable minds, with knowledge of all the
relevant circumstances disclosed by a reasonable inquiry, would conclude that the judge's honesty, integrity,
impartiality, temperament, or fitness to serve as a judge is impaired. Public confidence in the judiciary is
eroded by irresponsible or improper conduct by judges. ...").
28 U.S.C. § 1915(e)(1) specifically states that "[t]he court may request an attorney to represent any person
unable to afford counsel."
14
Puzzlingly. the dissent states that we must enforce the plain meaning of the CVRA 'even if the proper
interpretation raises policy concerns." Branch Dissenting Op. at 1311 (citing
Eldred v. Ashcroft, 537 U.S.
186. 222. 123 S. Ct. 769. 790. 154 L.Ed.2d 683 (2003)). Of course, that is only true to the extent that the
dissent's "plain meaning" interpretation of the CVRA does not render the statute unconstitutional; we will
not enforce an unconstitutional statute. See. e.g.,
Fed. Election Comm'n v. Wis. Right To Life. Inc.. 551
U.S. 449, 503. 127 S. Ct. 2652. 2686. 168 L.Ed.2d 329 (2007) (Scalia. J., concurring) (stating that when a
statute creates an "unworkable and unconstitutional" regime, "it is our responsibility to decline enforcement").
For reasons I explain throughout part III, even if the dissent's read of the CVRA is correct, its arrogation of
Executive Branch authority would nevertheless render the statute unconstitutional and thus unenforceable.
Of course, the dissent is correct that if the language of a statute is unambiguous, we will enforce the statutes
plain meaning. Branch Dissenting Op. at 1311-12 n.29. But "when deciding which of two plausible statutory
constructions to adopt, a court must consider the necessary consequences of its choice. If one of them would
raise a multitude of constitutional problems, the other should prevail—whether or not those constitutional
problems pertain to the particular litigant before the Court."
°Clad< v. Martinez. 543 U.S. 371. 380-81.
125 S. Ct. 716. 724. 160 L.Ed.2d 734 (2005). It is thus no answer to say that the separation of powers
problems might not apply to Ms. Wild's case, see Branch Dissenting Op. at 1313 n.30, or that we should
consider the issue on an as-applied, case-by-case basis, see
td. at 149—50 n.29. 47 S. Ct. 21, because
we must consider the constitutional issues whether or not they apply to the specific facts of Ms. Wilds
case,
()Clark. 543 U.S. at 380. 125 S. Ct. at 724. This is not some groundbreaking method of statutory
interpretation—it is simply the canon of constitutional avoidance.
Now, if one believes that the CVRA unambiguously grants a crime victim a pre-charge freestanding cause of
action, or if one believes the pre-charge model does not raise 'serious constitutional problems," there is no
issue.
Edward J. DeBartolo Corp. v. Florida Gulf Coast Bldg. & Constr. Trades Council. 485 U.S. 568. 575.
108 S. Ct. 1392. 1397. 99 L.Ed.2d 645 (1988)). But I do not believe the text is so clear, and—as I discuss
below—I believe the separation of powers concerns that accompany the pre-charge model are severe. As a
result, I am convinced that we are compelled to adopt the majority's post-charge model.
15
For example, we have stated that, in the context of grand jury proceedings, secrecy is paramount to
"encourage) ) full and frank testimony on the part of witnesses." Pitch v. United States. 953 F.3d 1226. 1229
(11th Cir.), cert. denied, —U.S.-, 141 S. Ct. 624, 208 L.Ed.2d 230 (2020). If witnesses in these pseudo-
13
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preliminary hearings thought their testimony—which could be released to the public—carried with it the threat
of harm, it is difficult to imagine that they would ever be completely candid.
16
As the Fifth Circuit has put it:
Legal arguments, and the documents underlying them, belong in the public domain. American courts are
not private tribunals summoned to resolve disputes confidentially at taxpayer expense. When it comes to
protecting the right of access, the judge is the public interest's principal champion. And when the parties
are mutually interested in secrecy, the judge is its only champion.
Binh Hoa Le v. Exeter Fin. Corp.. 990 F.3d 410. 421 (5th Cir. 2021) (footnote omitted).
17
Federal Rule of Criminal Procedure 6(e)(2)(B) reads:
B) Unless these rules provide otherwise, the following persons must not disclose a matter occurring
before the grand jury:
(i) a grand juror;
(ii) an interpreter:
(iii) a court reporter;
(iv) an operator of a recording device:
(v) a person who transcribes recorded testimony;
(vi) an attorney for the government; or
(vii) a person to whom disclosure is made under Rule 6(e)(3)(A)(ii) or (iii).
18
Because the issue of probable cause would be tried as a bench trial, and not before a jury, the district court
would be required to enter findings of facts and conclusions of law pursuant to Federal Rule of Civil Procedure
52(a)(1). As a result, there is simply no way that the district court can avoid making determinations regarding
the existence—or non-existence—of probable cause and the facts that support that conclusion. To shirk this
Rule 52(a)(1) responsibility would essentially preclude meaningful appellate review.
Of course, once the district court has made its findings and conclusions, the court's decision becomes a final,
appealable order pursuant to 28 U.S.C. § 1291. The fact that the victim could appeal the district court's denial
of probable cause—further protracting the pre-charge litigation—only increases the publicity drawn to the
case and the potential for outside interference with the government's investigation.
19
At the criminal trial, the United States Attorney would be prepared with additional ammunition to question
these witnesses: their testimony from the civil trial. So long as the parties agree to the authenticity of the civil
trial transcripts, the witnesses' prior testimony would be admissible as impeachment evidence. This could be
very beneficial for the government. For example, if a cooperating witness's—who may have been somehow
involved in the federal crime—testimony at the civil trial suggested the accused's guilt, the United States
Attorney is equipped to impeach the cooperating witness should he attempt to flip his story at the criminal trial.
20
There is, of course, a fourth scenario: the district court finds no probable cause, and the United States Attorney
does not go on to prosecute the accused. I see little problem with that case, though one could express concern
that a freestanding CVRA cause of action provides a platform for members of the public to falsely accuse
individuals of committing federal crimes under the guise of filing a lawsuit.
21
In
()Bonner v. City of Prichard, 661 F.2d 1206. 1209 (11th Cir. 1981) (en banc), this court adopted as
binding precedent all decisions of the former Fifth Circuit handed down prior to October 1, 1981.
22
This is, in my view, the most serious interference with the executive branch's discretion. Before a magistrate
judge has found probable cause in the criminal case—either under Federal Rule of Criminal Procedure 4(a)
or Rule 5.1—the district court in the pre-charge civil case is being led on a fishing expedition by the victim
to "discover- probable cause. Of course, even after probable cause has been found in the pre-charge suit,
the district court is still required to poke around in the government's investigation to craft and enforce the
injunctive relief requested by the victim. As the saying goes: "Once the camel gets its nose in the tent, the
body will soon follow."
23
The dissent makes much out of the fact that an Assistant United States Attorney acknowledged that Ms. Wild
and others were "crime victims," arguing that this proves that crime victims will be readily identifiable and
that my "parade of horribles" is actually a very manageable set of procedures. See Branch Dissenting Op. at
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1312-13. Not so fast. As an initial matter, the majority is correct to point out that "a prosecutor doesn't 'impair
[her own] discretion' by sending a victim-notification letter." Maj. Op. at 1262 n.17. The Assistant United States
Attorney's actions do nothing to alleviate the separation of powers concerns the dissent's model raises. And,
in any event, the dissent misses the point: we are not only deciding Ms. Wild's case today. The majority's
opinion will set precedent for how CVRA suits will proceed in the Eleventh Circuit. The mere fact that an
Assistant United States Attorney in this case recognized certain individuals as victims says nothing about
how prosecutors and victims will act in future cases.
1
Because the prior panel held the victims had no pre-charge CVRA rights, it did not decide whether the victims
had a statutory remedy to enforce any CVRA rights.
2
From June 2005 to June 2009, Acosta was the U.S. Attorney for the Southern District of Florida.
3
At that time, the State of Florida had already charged Epstein with one count of solicitation of prostitution.
4
The Agreement listed the following federal crimes: (1) using and conspiring to use a facility of interstate
commerce to persuade, induce, or entice minors to engage in prostitution, in violation of 18 U.S.C. §§2422(b),
371, and 2; (2) traveling and conspiring to travel in interstate commerce for the purpose of engaging in illicit
sexual conduct with minors, in violation of ? ill 18 U.S.C. § 2423(b) and r a (e); and (3) recruiting, enticing, and
obtaining a minor to engage in a commercial sex act, in violation of ? II 18 U.S.C. §§ 1591(a)(1) and 2.
5
The Agreement also provided that the ongoing grand jury proceedings would be suspended. Epstein also
agreed to pay for a government-selected attorney for those specific individuals that the government had
already identified as "victims" under 18 U.S.C. § 2255, and to not contest jurisdiction, liability, or damages
(up to an agreed-upon amount) should any of the identified victims elect to file suit for restitution pursuant to
§ 2255 (so long as the victim elected to proceed exclusively under § 2255, as opposed to a civil damages
action).
6
As the Agreement was being signed, Epstein's attorney Jay Lefkowitz e-mailed AUSA Villafana, requesting:
"Marie - Please do whatever you can to keep this [Agreement] from becoming public." (emphasis added).
AUSA Villafafia assured Lefkowitz that the Agreement would be kept confidential.
7
For example, in a December 6, 2007 letter, AUSA Villafana informed Lefkowitz that "fsjection 3771 ...
commands that 'employees of the Department of Justice ... engaged in the detection. investigation,
pr prosecution of crime shall make their best efforts to see that crime victims are notified of. and
accorded, the rights described in subsection (a).' " (emphasis added) (second ellipsis in original).
AUSA Villafana went on to note that the "Non-Prosecution Agreement resolves the federal investigation by
allowing Mr. Epstein to plead to a state offense. The victims identified through the federal investigation should
be appropriately in9rmed, and our... Agreement does not require the U.S. Attorney's Office to forego
its legal obligation4" (emphasis added)
AUSA Villafaha also sent Lefkowitz a draft of the Victim Notification Letter. She stated that the U.S. Attorney's
Office would "not remove the language about contacting AUSA Villafafia or Special Agent Kuyrkendall with
questions or concerns." Again, AUSA Villafafia wrote that "federal law requires that victims have the
`reasonable right to confer with the attorney for the Government in this case/ 18 U.S.C. § 3771(a)
(5)." (emphasis added).
In a subsequent letter to Epstein's counsel, dated December 19, 2007, U.S. Attorney Acosta again addressed
"the issue of victim's [sic] rights pursuant to Section 3771." U.S. Attorney Acosta stated: "I understand that
the defense objects to the victims being given notice of (the] time and place of Mr. Epstein's state
court sentencing hearing.... We intend to provide victims with notice of the federal resolution, as
required by law." (emphasis added).
8
For a number of years, discovery disputes continued. The district court ordered that the U.S. Attorneys
Office disclose its correspondence with Epstein's defense counsel to the victims. Epstein, as an intervenor,
appealed that order.
Doe No. 1 v. United States, 749 F.3d 999 (11th Cir. 2014). In 2014, our Court heard
that appeal. In affirming the discovery order (and finding that we had appellate jurisdiction), we noted that
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this very case was "a proceeding ancillary to a criminal investigation," wherein the victims had brought this
lawsuit to enforce their rights under the CVRA.
Id. at 1001-04.
9
Although the February 2019 order did not specifically mention the right to be treated fairly, the district court
later clarified, in its order denying as moot Wild's requested remedies, that the petitioners' "right[s] to be
treated with fairness and to receive notice of court proceedings ... flow from the right to confer and were
encompassed in the Court's ruling finding a violation of the CVRA."
Doe I v. United States. 411 F. Supp.
3d 1321. 1329 (S.D. Fla. 2019) (footnote omitted). The government does not dispute that it never conferred
with the victims and kept the Agreement secret. See Gov't En Banc Brief at 5.
10
In July 2019, the U.S. Attorney's Office for the Southern District of New York (`SDNY") had unsealed
an indictment charging Epstein with a sex-trafficking conspiracy and substantive sex trafficking involving
conduct that occurred in New York (and Florida to some extent). While he was in custody on these
charges, Epstein was found dead. Statement of Attorney General William P. Barr on the Death of Jeffrey
Epstein (Aug. 10, 2018), available at https://www.justice.gov/opa/pristatement-attorney-general-william-p-
barr-death-jeffrey-epstein. In June 2020, the SDNY U.S. Attorneys Office indicted Ghislaine Maxwell for
her participation with Epstein in the sexual abuse of numerous minor girls in New York and elsewhere. That
case remains pending.
11
Chief Judge Pryor's concurrence asserts that addressing the first en banc question results in an impermissible
advisory opinion. It is well-established that title exercise of judicial power under Art. III of the Constitution
depends on the existence of a case or controversy."
Preiser v. Newkirk, 422 U.S. 395, 401, 95 S.Ct. 2330,
45 L.Ed.2d 272 (1975). Thus, "a federal court has neither the power to render advisory opinions nor to decide
questions that cannot affect the rights of litigants in the case before them."
Id. (quotation omitted). Rather, a
federal court's judgments must resolve "a real and substantial controversy admitting of specific relief through
a decree of a conclusive character, as distinguished from an opinion advising what the law would be upon a
hypothetical state of facts."
Id. (quotation omitted). Whether Epstein's crime victims had any CVRA rights
that attached pre-charge was—and continues to be—a live controversy in this case. Indeed, the prior panel
decision resolved this case on that very question. Consequently, addressing the first question issued by
this en banc court does not result in an impermissible advisory opinion. See
id. In any event, because I
conclude that the CVRA grants crime victims a statutory remedy to enforce violations of their CVRA rights via
a freestanding motion for relief under § 3771(d)(3) if no prosecution is underway, I must necessarily answer
the first question—whether the CVRA grants crime victims any rights that attach pre-charge.
Chief Judge Pryor's concurrence contends that the dissents respond to the advisory opinion concern "by
turning it into a jurisdictional issue" or advocating for an alternative holding. Similarly, he questions our
purported "motivations" for answering the first en banc question. Lest there be any confusion, my response
to the advisory opinion concern expressed in his concurrence is not cast in jurisdictional garb. Rather, as
explained in the previous paragraph, because I conclude that the CVRA grants crime victims a statutory
remedy to enforce violations of their CVRA rights via a freestanding motion for relief under § 3771(d)(3) if no
prosecution is underway, I must necessarily answer the first question. Thus, my motivation for answering the
first en banc question derives solely from a plain-text application of the statute.
12
The CVRA defines a crime victim as "a person directly and proximately harmed as a result of the commission
of a Federal offense." 18 U.S.C. § 3771(e). The government agreed, during the course of the district court
proceedings and on appeal, that petitioner Wild qualifies as a "crime victim" for purposes of the CVRA.
13
These eight rights have not changed from 2004 to the present. However, in 2015, Congress added a ninth
and tenth right to the CVRA. See Justice for Victims of Trafficking Act of 2015, Pub. L. No. 114-22, § 113(a)
(1), 129 Stat. 227, 240.
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14
15
It is true that, unlike in this case, a criminal information was filed in
In re Dean.
527 F.3d at 393. That
point is a distinction without a difference, however, because in
In re Dean, the court addressed the issue
of the victims' CVRA rights prior to the filing of the criminal information.
This conclusion flowed in part from the Supreme Court's earlier decision in
Cannon, which in addressing
§ 901 of Title IX—which is patterned atter § 601 of Title VI—recognized that both § 601 and § 901 contained
"rights-creating" language that benefited a particular class of persons.
Cannon v. Univ. of Chicago. 441
U.S. 677. 683. 689-93. 99 S.Ct. 1946. 60 L.Ed.2d 560 (1979). The Supreme Court concluded that, although
nothing in the text of § 601 or § 901 authorized a private cause of action for a violation of the statute, the
"rights-creating" language in the statutes demonstrated clear congressional intent to provide for a statutory
remedy to enforce the rights guaranteed in § 601 and § 901.
Id. at 694-703, 717, 99 S.Ct. 1946. And, as
noted in
Sandoval, "Congress has since ratified
Cannon's holding."
532 U.S. at 280. 121 S.Ct. 1511.
16
The Supreme Court explained that § 601 forbid only intentional discrimination, not disparate impact
discrimination.
Sandoval. 532 U.S. at 280-81. 121 S.Ct. 1511. Thus, it was "clear ... that the disparate-
impact regulation( ] [at issue did] not simply apply [the provision] of § 601—since [the regulation] indeed forbid
conduct that § 601 permits—and therefore lit was also] clear that the private right of action to enforce § 601
[did] not include a private right to enforce these regulations."
Id. at 285-86. 121 S.Ct. 1511. Accordingly,
the Supreme Court explained that a right to enforce the regulations 'must come, if at all, from the independent
force of § 602."
Id. at 286, 121 S.Ct. 1511.
17
Further. § 602 provided numerous barriers even to an agency enforcement action, including that the agency
must first notify the violators of their failure to comply with regulations and determine that compliance cannot
be obtained by voluntary means.
Sandoval. 532 U.S. at 289-90, 121 S.Ct. 1511. These "elaborate
restrictions on agency enforcement ... tend to contradict a congressional intent to create privately enforceable
rights through § 602 itself."
Id. at 290, 121 S.Ct. 1511. Because § 602 did not include any "rights-creating-
language at all, there was no need for the Supreme Court to address "whether § 602's remedial scheme
[could] overbear other evidence of congressional intent.-
Id. at 291, 121 S.Ct. 1511.
The Majority expresses concern repeatedly that (1) the Epstein victims, like the plaintiffs in
Sandoval,
are trying to "imply a cause of action where Congress has not expressly created one, and (2)
Sandoval
precludes "implying" a private right of action here. There is no need to "imply" a private right of action here
because the CVRA expressly creates a judicial enforcement mechanism: a "[m]otion for relief" filed in "the
district court in the district in which the crime occurred." 18 U.S.C. § 3771(d)(3). We can, and should, end
our analysis with the plain text of the CVRA statute.
19
I agree that statutory interpretation "requires paying attention to the whole law, not homing in on isolated
words or even isolated sections. Context always matters. Let us not forget, however, why context matters:
It is a tool for understanding the terms of the law, not an excuse for rewriting them."
King v. Burwell. 576
U.S. 473, 500-01. 135 S.Ct. 2480, 192 L.Ed.2d 483 (2015) (Scalia, J., dissenting). As explained further in
this opinion, the Majority's purportedly whole-text reading not only renders certain portions of the statute
superfluous. but impermissibly rewrites the statute by adding to the text the following requirements: (1) all
motions for relief must be filed in a preexisting court proceeding (or after an indictment is filed); and (2) a
crime victim can never file a freestanding motion for relief.
20
Grand jury proceedings, by their very nature, occur prior to the filing of charges, as their purpose is to
determine whether to bring charges is the first place. See 1 Charles A. Wright & Arthur R. Miller, Federal
Practice and Procedure § 101 (4th ed. 2020).
18
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21
In a prior interlocutory appeal in this case, we recognized the similarity between an action to quash a grand jury
subpoena and an action to enforce CVRA rights, noting that "the victims' petition, like a grand jury proceeding,
is ancillary to a criminal investigation."
Doe No. 1 v. United States. 749 F.3d 999. 1005 (11th Cir. 2014).
22
Chief Judge Pryor's concurrence asserts that the alleged dual meaning of motion demonstrates that I have
failed to apply the whole-text canon and have erroneously read § 3771(a)(5), (a)(8), and (d)(3) in isolation. I
disagree. As explained above, the meaning of the word "motion" remains the same regardless of whether the
judicial enforcement mechanism is available pre- or post-charge. Furthermore, "[t]he whole-text canon refers
to the principle that, when interpreting the meaning of a statute, the court should "consider the entire text,
in view of its structure and of the physical and logical relation of its many parts: Scalia & Garner, supra, at
167. Many other canons are derived from the whole-text canon, including the surplusage canon. Id. at 168.
Reading the CVRA as (1) providing crime victims with certain rights that attach pre-charge and (2) authorizing
a private right of action to judicially enforce those rights when no prosecution is underway adheres faithfully
to the whole-text canon as it is the only one that gives full effect to the plain statutory text of the CVRA as a
whole, while simultaneously avoiding rendering portions of the statute superfluous and impermissibly adding
words to the text.
23
The Advisory Committee Notes to Rule 18 state that "numerous statutes have been enacted to regulate
the venue of criminal proceedings, particularly in respect to continuing offenses and offenses consisting of
several transactions occurring in different districts. These special venue provisions are not affected by the
rule" and are consistent with the Sixth Amendment. Advisory Committees Notes on 1944 Adoption of Fed.
R. Crim. P. 18 (citations omitted).
24
Alternatively, the Majority suggests subsection (d)(3)'s "no prosecution is underway" language could also be
read to refer specifically to the time between the filing of informal criminal charges—by way of, for example, a
criminal complaint—and "the levying of formal charges in an indictment." Meaning, according to the Majority,
that "even if Ms. Wild and the district court were correct that the *no prosecution is underway' clause meant
that CVRA rights apply—and that a freestanding lawsuit may be initiated—before formal charges are filed,
they may yet be incorrect that those rights can be judicially enforced during a pre-complaint investigation." In
support of this reading, the Majority points to the Sixth Amendment right to counsel, which is triggered when
"a prosecution is commenced" by, at a minimum, a suspect's "initial appearance before a judicial officer.-
Rothgefy v. Gillespie Cnty.. 554 U.S. 191. 199. 128 S.Ct. 2578, 171 L.Ed.2d 366 (2008). There is, of
course, no such temporal limitation in the plain language of § 3771(d)(3). And this reading suffers from the
same logical flaw as the Majority's primary alternative reading: if Congress meant to instruct victims to file a
motion for relief in the district in which a defendant has been informally charged, it would have said so.
Furthermore, it is also not readily apparent why we should look to the Sixth Amendment right to counsel for
our construction of "prosecution- and not instead to the Sixth Amendments speedy trial right, which "may
attach before an indictment and as early as the time of arrest and holding to answer a criminal charge:
Gouveia. 467 U.S. at 190. 104 S.Ct. 2292.
25
In addition to its discussion of § 3771(d)(3) and (d)(6), the Majority also briefly notes that § 3771(b), the only
other provision of the CVRA that explicitly mentions judicial enforcement of CVRA rights, does not authorize a
cause of action and, in fact, suggests that the judiciary is responsible for enforcement only within the confines
of a preexisting "proceeding.- Subsection (b) specifies that "the court shall ensure that the crime victim is
afforded the rights described in subsection (ay "pin any court proceeding involving an offense against a crime
victim." 18 U.S.C. § 3771(b). Thus, the Majority reasons that the fact that § 3771(b) directs a district court
presiding over a court proceeding to "ensure- that crime victims are afforded their rights in the context of
that proceeding necessarily precludes the enforcement of those same rights outside that context. I disagree
because, if anything, § 3771(b) reinforces the separate and important role that § 3771(d) plays.
Subsection (b) simply makes clear that once a court proceeding has commenced, the district court has an
ongoing duty to ensure that crime victims are accorded their rights, independent of whether a victim has
filed a motion to enforce those rights. This duty is reinforced by the statute's prescription of a mechanism
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—in subsection (d)—for victims to enforce their rights that exist separate and apart from the district court's
independent duty to ensure those rights are enforced in a proceeding over which it is presiding. 18 U.S.C.
§ 3771(d).
26
The Majority asserts that in addressing the fact that the administrative remedy in § 3771(0 is not available
to crime victims who believe they have suffered a violation of their statutory rights under the CVRA during
the pre-charge phase, I am somehow reasoning that "if there is no visible remedy, courts should fashion
one." To be clear, that is not the basis of my reasoning. It is of course the task of the legislature to create a
private remedy and, as explained previously, Congress created such a remedy expressly and unequivocally
in § 3771(d)(3)—a In0otion for relief' filed in "the district court in the district in which the crime occurred."
While the existence of an administrative remedy in ? Sandoval counseled against implying a private cause
of action, we are not faced with an implied remedy case. We can, and should, end our analysis with the plain
text of the CVRA statute and enforce the express private cause of action Congress authorized in §3771(d)(3).
27
The Majority itself never says that these victims can vindicate their rights through the administrative process
in § 3771(f). Rather, the Majority states that the victims' rights "might be enforceable through, say, political
or administrative channels." (emphasis added). But given the language of the administrative scheme—
which requires a victim's complaint to contain a district court case number—it is unclear to what political or
administrative channels the Majority refers.
28
The ACAA provides, in pertinent part, that
providing air transportation, an air carrier .... may not
discriminate against an otherwise qualified individual on" certain grounds related to that individual's "physical
or mental impairment."
49 U.S.C. § 41705(a).
29
I am not in any way suggesting that we ignore constitutional concerns. Such concerns, however, are simply
not present in this case nor has the government raised any as-applied challenge to the constitutionality
of the statute. Similarly, because I would hold that the statutory text is clear and unambiguous, the canon
of constitutional avoidance discussed in Judge Tjoflat's concurring opinion never comes into play. See
III Nielsen v. Preap, — U.S. -,
139 S. Ct. 954, 972, 203 L.Ed.2d 333 (2019) (explaining that this canon
"has no application absent ambiguity" (quotation omitted)).
Judge Tjoflat's concurring opinion argues that we are just deciding the case before us but are setting
precedent for how the CVRA will be applied and such suits will proceed in the future. True to some extent. But
there are any number of instances where the attachment and enforcement of the CVRA's conferral right pre-
charge will not impair prosecutorial discretion. The fact that there may be some hypothetical future cases in
which the application of the CVRA rights pre-charge might possibly intrude on prosecutorial discretion is not a
basis for ignoring the plain language of the statute. Rather, the vehicle for addressing any risk to prosecutorial
discretion by the parade of horribles posited by the Majority and Judge Tjoflat's concurring opinion is through
an as-applied constitutional challenge—which the government is free to bring in a future case should such
concerns arise.
30
The Majority and Judge Tjoflat's concurring opinion vigorously argue that identifying who is a crime victim pre-
charge presents "three intractable problems": (1) courts, not prosecutors, deciding if any offense occurred;
(2) the need for a "mini-trial" to figure out whether a federal offense occurred and who was a victim; and
(3) courts exerting pressure on the government's charging decision by conducting such mini-trials. Yet the
CVRA's definition of a crime victim is straightforward: a "crime victim" is "a person directly and proximately
harmed as a result of the commission of a Federal offense." 18 U.S.C. § 3771(e). Even in this massive sex-
trafficking case in which no formal charges were ever filed, the prosecutors had no trouble determining that
a federal offense had occurred and identifying 30 crime victims.
Judge Tjoflat's concurring opinion expresses concern that the fact that the government in this particular
case was able to identify victims does not establish necessarily that the government will be able to do so
in future cases. Nevertheless, the concerns identified by the Majority and Judge Tjoflat's concurring opinion
surrounding the identification of victims are undermined by the fact that in the many years since the Fifth
Circuit's opinion in ? I In re Dean and the district court here ruled that crime victims have rights pre-charge,
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the government has not presented any evidence suggesting any difficulties in identifying crime victims of
federal offenses or of mini-trials to do so. I stand by my conclusion that both the attachment pre-charge of
crime victims' rights to reasonable conferral and to be treated fairly and with respect and the enforcement of
those rights through a freestanding cause of action via a motion for relief if no prosecution is underway—as
authorized expressly by Congress—do not impair prosecutorial discretion in this case.
1
Federal courts cannot issue advisory opinions because of the Constitution's case or controversy requirement.
Thus, to be justiciable, the first issue must involve a genuine live controversy involving a present claim by
one party and another party disputing it that can be determined judicially. See
Carney. 592 U.S. at —.
141 S. Ct. at 498. Whether the Epstein victims had conferral rights that the government violated is justiciable
and should be decided for the reasons outlined above.
2
See also Hamm v. Comm'r, Ala. Dept of Corr.. 620 F. App'x 752. 782 (11th Cir. 2015) ("[W]e conclude that [the
petitioners] Brady claim here is procedurally defaulted and that a merits review is precluded. Alternatively,
we find the claim to be without merit." (emphasis added)); Harris v. Goderick. 608 F. App'x 760, 764 (11th
Cir. 2015) r[E]ven assuming, arguendo, that [plaintiff's] false arrest claims are not barred by the statute of
limitations, each non-immune defendant arguably possessed probable cause for actions taken in the course
of prosecuting [plaintiff] for his probation violation ...."); Davies v. Former Acting Dist. Dir.-Orlando. 484 F.
App'x 385. 389 & n.5 (11th Cir. 2012) (affirming the dismissal of a Bivens claim as barred by the applicable
statute of limitations but noting that. "(elven assuming arguendo that the statute of limitations did not bar this
case .... it is apparent that Defendants would in any event be entitled to qualified immunity").
3
As a separate and different argument, the Majority opinion likens its avoiding the victims' rights question (the
first en banc issue) to qualified immunity cases, in which a court may bypass the antecedent constitutional-
rights question. Maj. Op. at 1252 n.9. But when a court skips over a constitutional issue, two things happen.
First, the court avoids making any precedent as to the constitutional violation, and the
42 U.S.C. § 1983
plaintiff in the next case will still have no clearly established law to cite. Second, the government officials will
not be on notice that certain conduct is a constitutional violation. The fact that a court may elect to skip over
an individual-rights question does not mean that a court should do so.
Indeed, for years in qualified immunity cases, the Supreme Court required lower courts to decide the
constitutional question and stop avoiding it because otherwise the law would never be clearly established.
See *
Saucier v. Katz. 533 U.S. 194. 201. 121 S. Ct. 2151. 2156. 150 L.Ed.2d 272 (2001). Although the
Supreme Court has now relaxed this rule, the fact remains that the first question as to the victims' rights—like
that of individual rights in qualified immunity cases—is an important legal question that should be answered
here for the reasons articulated above. See
Pearson v. Callahan. 555 U.S. 223, 236, 129 S. Ct. 808, 818,
172 L.Ed.2d 565 (2009) (holding that the two-step sequence from s Saucier "should not be regarded as
mandatory in all cases," but recognizing that it is "often beneficial" and "appropriate- and that "the" Saucier
Court was certainly correct in noting that the two-step procedure promotes the development of constitutional
precedent").
4
This narrow conferral-right ruling limited to the post-Agreement time frame also pretermits any need to draw
a line marking a precise point when the conferral right attaches. And because the prosecutor had made
his charging decision and executed the Agreement, this eliminates debate about § 3771(d)(6)'s proscription
against impairing prosecutorial discretion. See 18 U.S.C. § 3771(d)(6).
5
Although Judge Tjoflat's concurring opinion invokes the canon of constitutional avoidance, it does not apply
here because there is no ambiguity in the CVRA text. See
United States v. Stevens. 559 U.S. 460, 481,
130 S. Ct. 1577. 1591-92. 176 L.Ed.2d 435 (2010) (providing that courts cannot 'rely upon the canon of
construction that 'ambiguous statutory language [should] be construed to avoid serious constitutional doubts'
" unless the statute is first ambiguous (alteration in original)). As the Supreme Court recently explained,
"[s]potting a constitutional issue does not give a court the authority to rewrite a statute as it pleases."
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6
Jennings v. Rodriguez. 538 U.S. -.
-.
138 S. Ct. 830. 843-44, 200 L.Ed.2d 122 (2018) (declining
to apply the canon of constitutional avoidance because the statutory language at issue was not ambiguous).
To that end, the Supreme Court has cautioned that, "rewrit[ing) a ... law to conform it to constitutional
requirements ... would constitute a serious invasion of the legislative domain."
Stevens. 559 U.S. at 481,
130 S. Ct. at 1592 (second alteration in original) (citations and quotation marks omitted).
Cannon v. Univ. of Chicago. 441 U.S. 677. 99 S. Ct. 1946.60 L.Ed.2d 560 (1979).
7
Judge Branch's Dissent dismantles the Majority's tortured construction of § 3771(d)(3)'s terms, like "motion"
and "no prosecution is underway." Her Dissent reviews how the Majority eschews the common, ordinary,
everyday meaning of the word "motion; and wrongly defines "motion- to require a preexisting underlying
court proceeding. Her Dissent explains the common meaning of "motions" and how federal law authorizes a
"motion- to be filed freestanding in numerous other areas of criminal law. I agree and need not cover this
territory. Rather, I show how the Majority strays from the plain text and muses about expectations.
8
Chief Judge Pryor's concurrence points out that each dissent spends at least 10 pages discussing
Sandoval, an implied cause of action decision, even though they contend that the CVRA grants a private
right of action. The concurrence describes the dissents as "puzzling" and "schizophrenic" for this reason:
"If the Act expressly granted a private right of action, then
Sandoval would be beside the point.- Pryor
Concurring Op. at —.
Although clever wordsmithing, this is a non sequitur.
Sandoval is necessarily discussed. First, the
Majority and the concurring opinions rely heavily upon it; yet our explication of
Sandoval reveals how
they misconstrue
Sandoval, an implied cause of action decision, and misapply it to the materially
different statutory text and structure in the CVRA. Second, as the most recent Supreme Court decision
cited,
Sandoval instructs that we examine the text and structure of the statute at issue for evidence of
congressional intent to create both a private right and a private remedy. But the Majority skips over the
private rights issue altogether. Third, our journey through
Sandoval demonstrates that the evidence of
congressional intent that was missing in the § 602 statute in
Sandoval is patently present in the CVRA's
statutory language. Fourth, a full read of
Sandoval is required to compare the § 602 text and the nature of
the administrative enforcement scheme (with judicial review) available in that case with the CVRA text and
wholly dissimilar administrative scheme (with no judicial review) unavailable to the victims here.
9
I appreciate my colleague's sincere "sense of sorrow," "heart break[ ],- and regret about the result reached in
the Majority opinion authored by him. Newsom Concurring Op. at 1275-76. But this personal consternation
goes too far when it admonishes us that the job, as a judge, is "adherence to the rule of law; and the
"obligation- and "oath" of a judge is to "the law" and implies that only the Majority opinion he has authored
does that. Id.
If nothing else, we should all agree that each judge has taken the same oath and is attempting to honor the
same obligation to the rule of law. The dissenters simply read the CVRA's plain statutory language quite
differently. For what it's worth, the Senators read that text as the dissenters do. But I still don't believe any
colleague has violated his or her oath.
10
The DOD's failure to discipline its own prosecutors heightens the importance of the CVRA's private right
of action. The DOD's Office of Professional Responsibility ('OPR") conducted a review of the
Epstein
case. While the Report found that prosecutors exercised "poor judgment; it concluded they did not commit
"professional misconduct" and did not recommend any sanctions or disciplinary actions. See Department of
Justice Office of Professional Responsibility Report, Executive Summary, at ix—xii (Nov. 2020). The Report
has been heavily criticized. See e.g., Kevin G. Hall, Jay Weaver & Ben Wieder Senator rips finding that
Acosta used 'poor judgment' but broke no rules in Epstein case. Miami Herald. Nov. 14, 2020, available
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at https://www.miamiherald.cominewsAocal/article247133141.html (" 'Letting a well-connected billionaire
get away with child rape and international sex trafficking isn't "poor judgment"—it is a disgusting failure.
Americans ought to be enraged,' Nebraska Sen. Ben Sasse, chairman of the Senate Judiciary Oversight
Subcommittee, said in a statement Thursday afternoon.....'The DOJ's crooked deal with Epstein effectively
shut down investigations into his child sex trafficking ring and protected his co-conspirators in other states.
Justice has not been served,' Sasse added.").
OPR's Report is viewed as a "whitewash," letting everyone off the hook," "offensive," "hurtful," and like
another slap in the face to the victims." James Hill, Key takeaways from the Justice Department review
of Jeffrey Epstein sweetheart deal, ABC News (Nov. 16, 2020), available at https&/abcnews.go.com/US/
key-takeaways-justice-department-review-jeffrey-epsteln-sweetheartistory?id.74222922. Given the OPR
Report, it is hardly surprising the victims continue to pursue this civil suit to discover and unravel the mystery
of why the prosecutors not only signed such a sweetheart plea deal for the billionaire Epstein in the first
place but did so in secret and then for nearly a year took great efforts to hide the Agreement by affirmative
misrepresentations to the victims and their counsel too.
11
In 2020 alone, the DOJ executed 32 agreements to defer prosecution for corporate criminality. See Duke
University School of Law & University of Virginia's Legal Data Lab, Data and flonimp.nts, Corporate
Prosecution Registry, https://corporate-prosecution-registry.cornibrowse/; see also 2019 Year-End Update
on Corporate Non-Prosecution Agreements and Deferred Prosecution Agreements, Gibson Dunn (Jan. 8,
2020), https://www.gibsondunn.com/2019-year-end-npa-dpa-update/ (stating that the DOJ's use of NPAs
and DPAs in white collar cases rose from 2 in 2000 to 31 in 2019 and has been normalized "[a]cross
[a]gencies").
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