Williams v. Poulos ( 1993 )


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    United States Court of Appeals
    United States Court of Appeals
    For the First Circuit
    For the First Circuit
    ____________________
    No. 93-1366

    GEORGE C. WILLIAMS, ET AL.,
    Plaintiffs, Appellants,

    v.

    RICHARD E. POULOS, ET AL.,
    Defendants, Appellees.

    ____________________

    No. 93-1367

    GEORGE C. WILLIAMS, ET AL.,
    Plaintiffs, Appellees,

    v.

    RICHARD E. POULOS, ET AL.,
    Defendants, Appellees,

    ____________________

    RALPH A. DYER
    Intervenor, Appellant.

    ____________________

    No. 93-1368

    GEORGE C. WILLIAMS, ET AL.,
    Plaintiffs, Appellees,

    v.

    RICHARD E. POULOS, ET AL.,
    Defendants, Appellees,

    ____________________

    RODNEY P. RODRIGUE
    Defendants, Appellants.
    ____________________
    No. 93-1680




















    GEORGE C. WILLIAMS, ET AL.,
    Plaintiffs, Appellees,

    v.

    RICHARD E. POULOS, ET AL.,
    Defendants, Appellants.
    ____________________

    APPEALS FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF MAINE

    [Hon. Morton A. Brody, U.S. District Judge]
    ___________________
    ____________________

    Before

    Selya and Stahl, Circuit Judges,
    ______________
    and Fuste,* District Judge.
    ______________
    ____________________

    Allen S. Rugg, with whom Ronald R. Massumi, Kutak, Rock &
    _______________ ___________________ _______________
    Campbell, John S. Whitman, Richardson & Troubh, were on brief for
    ________ ________________ ____________________
    plaintiffs-appellants George C. Williams, Allied Capital Corporation,
    Allied Investment Corporation, Allied Venture Partnership, Allied
    Capital Corporation II, David P. Parker, David Gladstone, Brooks H.
    Browne, Frederick L. Russell, Jr., and Thomas R. Salley, E. Stephen
    __________
    Murray, with whom Murray, Plumb & Murray were on brief for intervenor-
    ______ ______________________
    appellant Ralph A. Dyer.
    John A. McArdle, III, with whom Daniel G. Lilley and Daniel G.
    _____________________ _________________ _________
    Lilley Law Offices, P.A., were on brief for defendants/appellees/
    __________________________
    cross-appellants Rodney P. Rodrique, Wayne E. Bowers, Sr. and John
    Robichaud.
    Peter J. DeTroy, III, with whom Norman, Hanson & DeTroy were on
    _____________________ ________________________
    brief for defendants/appellees/cross-appellants Richard E. Poulos,
    John S. Campbell and Poulos & Campbell, P.A.
    ____________________

    December 14, 1993
    ____________________








    ____________________
    *Of the District of Puerto Rico, sitting by designation.
















    STAHL, Circuit Judge. Following a six-day civil
    ______________

    bench trial, the district court ruled that the former

    principal owners of Consolidated Auto Recyclers, Inc.

    ("CAR"), defendants Wayne Bowers, Rodney Rodrigue, and John

    Robichaud (hereinafter "the CAR defendants"), violated the

    federal and Maine anti-wiretap statutes when they intercepted

    and recorded telephone calls made by and to plaintiffs, who

    were employees or former employees of Allied Capital

    Corporation ("Allied") and certain of its subsidiaries and

    affiliates.1 See 18 U.S.C. 2511(1)(a) and 15 M.R.S.A.
    ___

    710(1).2 The court also held that counsel retained by the

    CAR defendants, defendants Richard E. Poulos and the law firm

    of Poulos, Campbell & Zendzian, P.A. (hereinafter "the Poulos

    defendants"), violated 18 U.S.C. 2511(1)(c) and (d) and 15

    M.R.S.A. 710(3)(A) and (B) when they disclosed and used the


    ____________________

    1. For simplicity's sake, the term "Allied" should be
    construed as encompassing all corporate and individual
    plaintiffs, including intervenor Ralph A. Dyer.

    2. 18 U.S.C. 2511(1)(a) is a provision of the federal
    anti-wiretap statute, found at Title III of the Omnibus Crime
    Control and Safe Streets Act of 1968, 18 U.S.C. 2510-2521.
    In conjunction with other statutory provisions, it creates
    criminal and civil liability for any person who
    "intentionally intercepts, endeavors to intercept, or
    procures any other person to intercept or endeavor to
    intercept, any wire, oral, or electronic communication."
    15 M.R.S.A. 710(1) is a provision of the Maine anti-
    wiretap statute, found at 15 M.R.S.A. 709-713. In
    conjunction with other statutory provisions, it creates
    criminal and civil liability for any person who
    "intentionally or knowingly intercepts, attempts to intercept
    or procures any other person to intercept or attempt to
    intercept, any wire or oral communication."

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    recordings of the telephone calls at issue with the requisite

    mens rea.3 As a result, the court enjoined all defendants
    ____ ___

    "from further using and disclosing information contained in

    the subject interceptions except to obtain rulings regarding









    ____________________

    3. 18 U.S.C. 2511(c) and (d), in conjunction with other
    statutory provisions, create criminal and civil liability for
    any person who

    (c) intentionally discloses, or endeavors to
    disclose, to any other person the contents of any
    wire, oral, or electronic communication, knowing or
    having reason to know that the information was
    obtained through the interception of a wire, oral
    or electronic communication in violation of this
    subsection; or

    (d) intentionally uses, or endeavors to use, the
    contents of any wire, oral, or electronic
    communication, knowing or having reason to know
    that the information was obtained through the
    interception of a wire, oral, or electronic
    communication in violation of this subsection . . .
    .

    15 M.R.S.A. 710(3)(A) and (B), in conjunction with
    other statutory provisions, create criminal and civil
    liability for any person who

    A. Intentionally or knowingly discloses to any
    person the contents of any wire communication,
    knowing that the information was obtained through
    interception; or

    B. Intentionally or knowingly uses or attempts to
    use the contents of any wire or oral communication,
    knowing that the information was obtained through
    interception.


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    4















    admissibility in [an] underlying suit [brought by the CAR

    defendants against plaintiffs]."4 See 18 U.S.C. 2520.5
    ___

    Each of the three sides to this controversy has

    appealed from various rulings made by the district court.

    Both the CAR defendants and the Poulos defendants challenge

    sundry factual findings and legal judgments, arguing

    essentially that their respective actions did not run afoul

    of Title III and the Maine anti-wiretap statute. Plaintiffs'

    primary claim is that the court's injunction does not

    sufficiently remedy the harm they have suffered and are

    continuing to suffer. After carefully reviewing the record

    and the parties' arguments, we affirm the judgment below.








    ____________________

    4. In the underlying suit, Bowers v. Allied Capital Corp.,
    ______ _____________________
    Civ. No. 91-0021-B (D. Me. filed January 1991) (Brody, J.)
    ("Bowers"), which was stayed pending resolution of the
    ______
    instant case, the CAR defendants assert causes of action
    under the Racketeer Influenced and Corrupt Organizations Act
    ("RICO"), 18 U.S.C. 1961-68, the Securities Exchange Act
    of 1934, 15 U.S.C. 78a-78kk, and a host of common law
    theories. Essentially, they contend that Allied entities and
    personnel brought about the demise of CAR through certain
    acts primarily committed in the summer of 1990. The
    particulars of the relationship between CAR and the Allied
    entities and personnel will be discussed more fully infra.
    _____

    5. Inter alia, 18 U.S.C. 2520 authorizes persons
    _____ ____
    victimized by violations of 18 U.S.C. 2511(1)(a),(c), and
    (d) to recover, by means of a civil action, (1) appropriate
    equitable or declaratory relief; (2) actual or statutory
    damages; (3) punitive damages; and (4) litigation costs and a
    reasonable attorney's fee.

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    5















    I.
    I.
    __

    BACKGROUND
    BACKGROUND
    __________

    The following detailed recitation is derived from

    the factual findings made by the district court in

    conjunction with Allied's motion for preliminary injunctive

    relief, see Williams v. Poulos, 801 F. Supp. 867, 868-72 (D.
    ___ ________ ______

    Me. 1992) ("Poulos I"), and after the conclusion of the bench
    ________

    trial. See Williams v. Poulos, Civ. No. 92-0069-B, slip op.
    ___ ________ ______

    at 3-10 (D. Me. February 4, 1993) ("Poulos II").6
    _________

    This case is but one in a series of civil lawsuits

    and bankruptcy proceedings which can be traced to the

    collapse of CAR. CAR was founded in 1988 in order to

    dismantle automobiles and resell used parts. By May 1990,

    CAR employed approximately one hundred and forty people and

    operated throughout New England and in the Atlantic provinces

    of Canada. Twenty people worked in CAR's East Vassalboro,

    Maine, headquarters, including Bowers, Rodrigue, and

    Robichaud, the CAR defendants. These three owned 95% of

    CAR's stock and were members of CAR's Board of Directors

    ("the Board"). In addition, Bowers was CAR's Chief Executive

    Officer ("CEO") and Treasurer, while Rodrigue served as CAR's

    President.



    ____________________

    6. The order and memorandum of opinion on the bench trial
    incorporates by reference the factual findings set forth in
    the order and memorandum of opinion on the motion for a
    preliminary injunction. See Poulos II, slip op. at 3.
    ___ _________

    -6-
    6















    To finance its early growth and operations, CAR

    developed a banking relationship with Casco Northern Bank.

    In February 1990, Casco Northern refused to increase CAR's

    lines of credit. As a result, CAR found itself in a serious

    financial bind because it had already spent the additional

    money it expected to receive. Accordingly, CAR turned to

    Allied, a venture capital firm which had previously invested

    in it. Allied responded with a large infusion of capital

    that raised its total investment in CAR to approximately

    $4,500,000.

    Despite this additional funding, CAR was unable to

    resolve its financial difficulties. On May 29, 1990, Casco

    Northern declared CAR in default on its obligations. Two

    days later, Allied followed suit. On June 28, 1990, in an

    attempt to resolve the crisis, the CAR defendants entered

    into an agreement with Allied which came to be known as the

    "Midnight Agreement." Under its terms, Ralph A. Dyer was

    made CAR's CEO and Chairman of the Board, three

    representatives of Allied, plaintiffs George C. Williams,

    David Gladstone, and Frederick Russell, Jr., became members

    of the Board, and David Parker became an officer. The

    Agreement also provided that the CAR defendants would remain

    on the Board, that Bowers would retain his position as

    Treasurer, and that Rodrigue would continue as President.





    -7-
    7















    Meanwhile, in May 1990, the CAR defendants had

    commissioned Michael Leighton, who owned Probe Investigating

    Service, Inc. ("Probe"), to provide a system for

    electronically monitoring employee phone calls.7 The CAR

    defendants felt that a surveillance system was needed (1) to

    reduce CAR's telephone bills, and (2) decrease employee

    theft. At the time they installed the system, the CAR

    defendants apparently received impromptu advice from Attorney

    Nicholas Lanzilotta that "monitoring would not be illegal if

    notice was first given to the monitored employees."

    After examining CAR's telephone system, Leighton

    concluded that he lacked the skill and expertise to create an

    appropriate monitoring system. He therefore sought

    assistance from Jonathan Broome. Broome's principal business

    was repairing consumer electronics; he was not an authorized

    telephone system technician. Although Broome considered the

    project to be unusual, Leighton assured him of its legality.

    On or about June 17, 1990, Broome, working after

    hours along with CAR security officer David Fisher, installed

    a custom-designed monitoring system8 in CAR's East



    ____________________

    7. Leighton and Probe were also named as defendants in this
    action. At the close of trial, the district court granted
    their oral motions for judgment as a matter of law.
    Plaintiffs have not appealed these rulings.

    8. Apparently, there was no commercially available system
    which could perform the intercepting and recording functions
    desired by the CAR defendants.

    -8-
    8















    Vassalboro headquarters. In its findings of fact, the

    district court described the system as follows:

    The system . . . consisted of small
    alligator clips attached to a microphone
    cable at one end and a "punch-down" at
    the other. The wires to all the
    extension lines in CAR's offices were
    assembled on the punch-down. Calls could
    be intercepted by attaching the alligator
    clips and microphone wire to a designated
    extension line on the punch-down. The
    system could only monitor one extension
    at a time.
    The monitoring system designed by
    Broome also involved an interface
    connecting the microphone cable to a VCR
    and a video camera. The VCR allowed the
    system to record calls for up to eight
    hours. The video camera recorded the
    view meter on the VCR, allowing a person
    to fast forward the VCR tape until the
    meter indicated the presence of audio
    information. The VCR, video camera and
    interface were mounted together on a
    plywood board and set up in an unused
    bathroom next to the area containing the
    punch-down. Connecting wires were run
    through and over a suspended ceiling.

    Poulos II, slip op. at 4-5.
    _________

    At some point in June 1990, Rodrigue informed the

    managers at CAR that all telephone calls at CAR's offices

    would be subject to random monitoring and recording. He also

    instructed the managers to inform their subordinates of the

    new monitoring policy. At about the same time, Rodrigue

    directed employees to record long distance phone calls on

    provided telephone logs. The employees were told that the

    logging system was to be used in conjunction with the

    monitoring system to reduce costs. On June 29, 1990,


    -9-
    9















    Rodrigue told the new CEO, Dyer, that CAR had a system in

    place to deter employee phone abuse by randomly monitoring

    employee phone calls.

    David Fisher learned how to operate the monitoring

    system. At first, he was instructed by the CAR defendants to

    monitor the extension lines randomly. After a short time,

    however, the CAR defendants told him which lines to

    intercept. Fisher was further instructed to deliver the

    tapes of recorded conversations to Wayne Bowers each day.

    Bowers then made cassette tapes of those telephone

    conversations he wished to save.

    On June 21, 1990, Fisher was instructed to monitor

    the telephone line of CAR Chief Financial Officer Richard

    Lee, who had been hired on Allied's recommendation.

    Apparently, Rodrigue and Bowers doubted Lee's loyalty to CAR.

    A few weeks later, however, the monitoring system was

    attached to the phone line of Jim Starr, an accountant from

    an outside firm who had been assigned to audit CAR. The CAR

    defendants suspected that Starr was misusing the telephone

    system.

    During this same general time period, Dyer's

    relationship with the CAR defendants, which had been strained

    from the beginning, was rapidly deteriorating. By July 10,

    1990, Rodrigue and Robichaud were openly feuding with him.

    On July 12, 1990, Dyer fired Rodrigue and Robichaud. About



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    a week after the firing, Dyer obtained a temporary

    restraining order barring Rodrigue and Robichaud from the CAR

    premises and prohibiting them from conducting any business on

    the company's behalf. Meanwhile, on July 17 or 18, 1990,

    Dyer began occupying Starr's office and using Starr's

    telephone line. Between July 18, 1990, and July 25, 1990, a

    number of Dyer's telephone calls were intercepted and

    recorded. The CAR defendants admit that, by July 19, 1990,

    they were specifically targeting Dyer's conversations.9

    On July 21, 1990, the CAR defendants met with

    attorneys Richard E. Poulos, John S. Campbell, and Paul F.

    Zendzian, the partners of Poulos, Campbell & Zendzian, P.A.,

    to discuss possible legal representation in matters involving

    CAR, Allied, and Dyer.10 At that meeting, the existence of

    a tape containing recorded telephone conversations between

    Dyer and Allied employees and representatives was disclosed

    to the Poulos defendants. The Poulos defendants made no

    inquiry into either how the tape was obtained or whether



    ____________________

    9. Although not mentioned in the district court's findings
    of fact, the record reflects that telephone conversations
    involving Brooks Browne, an Allied employee working at CAR in
    late July 1990, also were intercepted and recorded. These
    conversations took place while Browne was using Dyer's
    telephone.

    10. Zendzian was not named as a defendant in this action.
    Campbell, who was a defendant below, was adjudged by the
    trial court not to have violated either Title III or the
    Maine anti-wiretap statute. Plaintiffs have not appealed
    from this ruling.

    -11-
    11















    there was employee notice or consent. They did, however,

    advise the CAR defendants to boycott a Board meeting that was

    scheduled for July 23, 1990. That meeting, which was held

    telephonically so that the out-of-town Allied employees could

    participate, was taped by the CAR defendants.

    All monitoring and taping of telephone

    conversations at CAR's headquarters was discontinued on July

    25, 1990. On that same date, audio cassettes of some of the

    conversations that had been taped were delivered to the

    Poulos defendants, who soon thereafter agreed to represent

    the CAR defendants in the Bowers lawsuit. See supra note 4.
    ______ ___ _____

    Over the following six weeks, paralegals from the Poulos firm

    prepared transcripts of the tapes.

    On July 27, 1990, pursuant to a certificate filed

    by Dyer with the United States Bankruptcy Court, a Chapter 11

    bankruptcy proceeding was initiated on behalf of CAR.

    Anthony Swenson was appointed Chapter 11 trustee for CAR on

    August 10, 1990. On August 14, 1990, Swenson fired Dyer and

    rehired Bowers, Rodrigue, and Robichaud. Subsequently, the

    bankruptcy proceeding was converted to Chapter 7.

    In early August 1990, Poulos asked Stuart W.

    Tisdale, an associate attorney in his office, to prepare a

    memorandum concerning the legality of intercepting wire

    communications. In discussing the research assignment with

    Tisdale, Poulos stated that Dyer knew about the taping in



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    question. After reading Tisdale's memorandum, Poulos and

    Campbell were satisfied that at least some of the information

    from the tapes might be admissible as evidence or would be

    otherwise useful in the case against Allied. In the district

    court's view, however, they did not "follow through on their

    research on the issue of consent and the legality of the

    interceptions." Poulos II, slip op. at 8. Nor did they
    _________

    "make an effort to determine directly whether Dyer and the

    other Allied employees whose conversations were intercepted

    knew of or consented to the monitoring." Id. Finally, the
    ___

    Poulos defendants "did not consult with bar counsel or advise

    any court of the existence and use of the information derived

    from the telephone conversations." Id.
    ___

    On September 3 and 4, 1990, Poulos read the

    transcripts of most of the recorded conversations that had

    been preserved. On October 31, 1990, he disclosed contents

    of the tapes to Daniel Amory and David Crocker, counsel to

    the CAR Chapter 11 trustee. In so doing, Poulos told Amory

    and Crocker that the tapes he possessed might have been

    criminally obtained. He also asked them to keep the

    existence and contents of the tapes strictly confidential.

    In November and December of 1990, Poulos again reviewed the

    tapes.

    In September, October, and early November of 1990,

    the Poulos defendants obtained a large number of documents



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    previously delivered by Allied to CAR's Chapter 11 trustee.

    The documents were produced without any involvement of the

    Poulos defendants and without any connection to the existence

    of the taped telephone conversations. These documents

    included notes, memoranda, and other written records of

    telephone conversations that had been taped on July 18, 19,

    20, and 23, 1990.

    In January 1991, the CAR defendants filed the

    Bowers lawsuit, seeking $63,000,000 in damages from Allied,
    ______

    Dyer, and Leo Madden, a business associate of Dyer's. After

    the complaint was filed, all discovery was stayed until

    December 5, 1991. During January 1992, shortly after the

    discovery stay was lifted, Poulos took the depositions of

    Williams, Parker, Dyer, and Madden. Poulos used both the

    discovery documents pertaining to the taped conversations and

    the tapes of the conversations themselves in preparing for

    the aforementioned depositions. Following these depositions,

    Poulos revealed the existence of the tapes to counsel for

    Madden and Dyer. In so doing, he (1) told counsel that the

    tapes proved that Madden and Dyer had lied during their

    depositions, and (2) offered to settle with them. No

    settlement was reached between the parties, and the present

    lawsuit was filed by Allied on April 17, 1992.

    II.
    II.
    ___

    STANDARD OF REVIEW
    STANDARD OF REVIEW
    __________________



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    Insofar as the parties are challenging

    determinations made by the district court prior to and in

    conjunction with the bench trial, our standard of review is

    familiar. Claimed errors of law are, of course, reviewed de
    __

    novo. E.g., Dedham Water Co., Inc. v. Cumberland Farms
    ____ ____ ________________________ _________________

    Dairy, Inc., 972 F.2d 453, 457 (1st Cir. 1992); LoVuolo v.
    ___________ _______

    Gunning, 925 F.2d 22, 25 (1st Cir. 1991). Findings of fact,
    _______

    however, will not be set aside unless they are demonstrated

    to be clearly erroneous. Fed. R. Civ. P. 52(a); Dedham
    ______

    Water, 972 F.2d at 457. In other words, we will give such
    _____

    findings effect unless, after carefully reading the record

    and according due deference to the trial court's superior

    ability to judge credibility, we form "``a strong, unyielding

    belief that a mistake has been made.'" Dedham Water, 972
    _____________

    F.2d at 457 (quoting Cumpiano v. Banco Santander Puerto Rico,
    ________ ___________________________

    902 F.2d 148, 152 (1st Cir. 1990)). As a result, where there

    are two permissible views of the evidence, the interpretation

    assigned by the lower court must be adopted. Rodriguez-
    __________

    Morales v. Veterans Admin., 931 F.2d 980, 982 (1st Cir. 1991)
    _______ _______________

    (citing Anderson v. Bessemer City, 470 U.S. 564, 574 (1985)).
    ________ _____________

    The clearly erroneous standard also ordinarily

    applies when we review a trial court's resolution of mixed

    questions of law and fact. E.g., LoVuolo, 925 F.2d at 25;
    ____ _______

    Henry v. Connolly, 910 F.2d 1000, 1003 (1st Cir. 1990). In
    _____ ________

    such situations, however, we are obligated to determine



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    whether the court's resolution was infected by legal error.

    See LoVuolo, 925 F.2d at 25. And, "``if a trial court bases
    ___ _______

    its findings upon a mistaken impression of applicable legal

    principles, the reviewing court is not bound by the clearly

    erroneous standard.'" Id. (quoting Inwood Labs., Inc. v.
    ___ ___________________

    Ives Labs., Inc., 456 U.S. 844, 855 n.15 (1982)).11
    ________________

    With regard to Allied's attack upon the nature and

    extent of the injunction issued by the district court, our

    framework for review is equally well-established. Just as a

    trial court's decision on whether to exercise its equitable

    powers is committed to its sound discretion, Taino Lines,
    _____________

    Inc. v. M/V Constance Pan Atlantic, 982 F.2d 20, 24 (1st Cir.
    ____ __________________________

    1992), so too is its choice of equitable remedies, Rosario-
    ________

    Torres v. Hernandez-Colon, 889 F.2d 314, 323 (1st Cir. 1989)
    ______ _______________

    (en banc). Thus, our role is to review only for an abuse of

    that discretion. Taino, 982 F.2d at 24. Underlying this
    _____

    deferential standard is a recognition that, in exercising its

    equitable powers, the district court "``has had first-hand



    ____________________

    11. In a recent case, we explained our review standard for
    mixed questions in a slightly different manner: "The
    standard of review applicable to mixed questions usually
    depends upon where they fall along [a] degree-of-deference
    continuum: the more fact dominated the question, the more
    likely it is that the trier's resolution will be accepted
    unless shown to be clearly erroneous." In re Extradition of
    ____________________
    Howard, 996 F.2d 1320, 1328 (1st Cir. 1993) (reviewing
    ______
    findings made at extradition hearing) (citing United States
    ______________
    v. Mariano, 983 F.2d 1150, 1158-59 (1st Cir. 1993); Roland M.
    _______ _________
    v. Concord Sch. Comm., 910 F.2d 983, 990-91 (1st Cir. 1990),
    __________________
    cert. denied, 111 S. Ct. 1122 (1991)).
    _____ ______

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    exposure to the litigants and the evidence and is in a

    considerably better position to bring the scales into balance

    than an appellate tribunal.'" Hiraldo-Cancel v. Aponte, 925
    ______________ ______

    F.2d 10, 13 (1st Cir.) (quoting Rosario-Torres, 889 F.2d at
    ______________

    323) (ellipses omitted)), cert. denied, 112 S. Ct. 637
    _____ ______

    (1991). Nonetheless, we will reverse if the court committed

    a clear error of law. See In re Boston and Maine Corp., 719
    ___ ____________________________

    F.2d 493, 495 (1st Cir. 1983), cert. denied, 466 U.S. 938
    _____ ______

    (1984); see also Feinstein v. Space Ventures, Inc., 989 F.2d
    ___ ____ _________ _____________________

    49, 51 (1st Cir. 1993) (reviewing preliminary injunction).

    It is against this backdrop that we evaluate the

    parties' claims.

    III.
    III.
    ____

    DISCUSSION
    DISCUSSION
    __________

    On appeal, the CAR and Poulos defendants together

    contend (1) that the court erred in rejecting their arguments

    that two statutory exceptions -- the "business extension" and

    "consent" exceptions -- shielded them from liability; and (2)

    that the court erroneously refused to admit certain expert

    testimony. In addition, the Poulos defendants alone assert

    (1) that the court erred in ruling that plaintiffs' claims

    for equitable relief against them were not moot; (2) that the

    court erred in determining that Poulos had acted with

    sufficient knowledge to have violated Title III and the Maine

    anti-wiretap statute; (3) that the court erred in rejecting



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    their claim that the statutory "good faith" defense relieved

    them of liability; and (4) that the court erred in denying

    them a jury trial on these latter two issues.

    Plaintiffs' complaints essentially are (1) that the

    court made mistakes of law in fashioning equitable relief for

    the violations it found; (2) that the court erred in denying

    their Fed. R. Civ. P. 59(e) motion to amend judgment; (3)

    that the court erred in ruling that statutory damages under

    18 U.S.C. 2520 are legal, and not equitable, in nature; and

    (4) that the court erred in holding that the CAR defendants

    were not liable for use and disclosure violations under 18

    U.S.C. 2511(1)(c) and (d).

    We discuss each of these arguments in turn.

    A. Defendants' Arguments
    A. Defendants' Arguments
    _________________________

    1. Statutory Exceptions
    1. Statutory Exceptions
    ________________________

    As both the CAR and Poulos defendants point out,

    not all aural acquisitions of wire, oral, and electronic

    communications are illegal and give rise to liability under

    Title III and the Maine act. In fact, these statutes

    specifically delineate certain acquisitions that do not give
    ___

    rise to such liability. Defendants argue that the district

    court erred in ruling that two of these defined exceptions --

    the business extension and consent exceptions -- did not

    apply. Our review, however, persuades us that the court's

    rulings are supported by the record.



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    a. The Business Extension Exception12

    a. The Business Extension Exception12
    ______________________________________

    The business extension exception, often called the

    "extension telephone" exception, see, e.g., Campiti v.
    ___ ____ _______

    Walonis, 611 F.2d 387, 392 (1st Cir. 1979), places outside
    _______

    the reach of Title III the monitoring of communications

    carried out by certain types of equipment and done in the

    ordinary course of business. It derives from 18 U.S.C.

    2510(4) and (5). Section 2510(4) defines the term

    "interception" as "the aural or other acquisition of the

    contents of any wire, electronic, or oral communication

    through the use of any electronic, mechanical, or other
    _______ ___ ___ __ ___ __________ __________ __ _____

    device." (Emphasis supplied). Section 2510(5), insofar as is
    ______

    relevant, then defines "electronic, mechanical, or other

    device" in the following manner:

    (5) "electronic, mechanical, or other device"
    means any device or apparatus which can be used to
    intercept a wire, oral, or electronic communication
    other than --
    _____ ____

    (a) any telephone or telegraph
    instrument, equipment or facility, or any
    component thereof, (i) . . . furnished by
    [a] subscriber or user for connection to
    the facilities of [a wire or electronic
    communication] service and used in the
    ordinary course of its business[.]

    (Emphasis supplied). Thus, if the monitoring conducted by

    the CAR defendants had been effectuated by means of a



    ____________________

    12. The business extension exception is found only in the
    federal act. Thus, we confine our discussion in this section
    of the opinion to federal law.

    -19-
    19















    "telephone or telegraph instrument, equipment or facility, or

    any component thereof" which was both furnished by CAR for

    connection to the facilities of its communication service and

    used in the ordinary course of its business, defendants'

    actions would not constitute an interception and would be

    beyond the reach of Title III.

    The district court determined that the business

    extension exception did not apply for two reasons: (1)

    because "the subject conversations were intercepted and

    recorded by a device configured by someone other than a

    provider of electronic communication service"; and (2)

    because "a legitimate business purpose did not exist at the

    time the subject conversations were intercepted." See Poulos
    ___ ______

    II, slip op. at 17. Perhaps recognizing the amount of
    __

    deference owed to the court's resolution of this paradigmatic

    mixed question of law and fact, defendants do not expend a

    great amount of energy attacking the factual findings

    underpinning the court's conclusions. Instead, they argue

    that the court's ruling was infected by erroneous legal

    reasoning. More specifically, defendants assert that, with

    regard to its first stated reason, the court misapprehended

    the technical requirements of the statute, and, with regard

    to its second stated reason, the court misconstrued the term

    "ordinary course of business."





    -20-
    20















    We agree with defendants that, in concluding that

    the business extension exception did not apply, the court

    erred in its reasoning. Section 2510(5)(a) does not require

    that the acquisition device be configured by a provider of

    electronic communication service. Nor does it direct courts

    to conduct an inquiry into whether a "legitimate business

    purpose" for monitoring exists at the time of the challenged

    aural acquisition.

    Nonetheless, we believe the district court's

    ultimate determination, that the business extension exception

    does not apply, is sustainable. Simply put, we are at a loss

    to see how the monitoring system used here, consisting as it

    did of "alligator clips attached to a microphone cable at one

    end" and an "interface connecting [a] microphone cable to a

    VCR and a video camera" on the other, can be considered to be

    a "telephone or telegraph instrument, equipment or facility,

    or a[] component thereof."13 In so stating, we note that


    ____________________

    13. In support of its position that the CAR device should be
    so considered, defendants advance three arguments that are,
    at best, unpersuasive. First, defendants assert that the
    record evidence demonstrates that the monitoring device was
    comprised of standard electronic components which are
    "commonly used in telephone systems." Upon close scrutiny,
    however, it is clear that this assertion is premised solely
    upon an outrageous mischaracterization of the testimony of
    Jonathan Broome. Broome did not testify, as defendants
    suggest, that the components of the CAR system "are commonly
    ________
    used in telephone systems." (Emphasis supplied). Instead,
    __
    he answered the question, "So, these wires were not uncommon
    parts or components for use in various ways with the [sic]
    ____
    telephone systems, were they?" by responding, "No. It was
    all -- you don't usually use balanced shielded audio cable

    -21-
    21















    the CAR system is factually remote from the telephonic and

    telegraphic equipment courts have recognized as falling

    within the exception at 18 U.S.C. 2510(5)(a). See, e.g.,
    ___ ____

    Epps v. St. Mary's Hosp., 802 F.2d 412, 415-16 (11th Cir.
    ____ _________________

    1986) (dispatch console installed by telephone company

    considered telephone equipment); Watkins v. L.M. Berry & Co.,
    _______ ________________

    704 F.2d 577, 582-84 (11th Cir. 1983) (standard extension

    telephone implicitly considered telephone equipment); Briggs
    ______

    v. American Air Filter Co., Inc., 630 F.2d 414, 416-20 (5th
    ______________________________

    Cir. 1980) (same); James v. Newspaper Agency Corp., 591 F.2d
    _____ ______________________

    579, 581 (10th Cir. 1979) (monitoring device installed by


    ____________________

    for telephone, but it is quite acceptable to." (Emphasis
    supplied). In other words, rather than testifying that the
    components are commonly used in telephone systems, Broome
    ________ __
    stated that, though it was unusual, the components could
    _______ _____
    acceptably be used with telephone systems. In our view, such
    ____
    testimony is not helpful to defendants.
    Second, defendants claim that certain 1986 amendments to
    the federal anti-wiretap statute were intended to broaden the
    meaning of 18 U.S.C. 2510(5)(a) so as to include equipment
    such as the CAR monitoring device. This argument flagrantly
    misconstrues the purpose of the congressional action. The
    legislative history makes it apparent that the 1986
    amendments were aimed at strengthening the statute by
    _____________
    updating it to reflect nearly twenty years of
    telecommunications advances. See generally S. Rep. No. 99-
    ___ _________
    541, 99th Cong., 2d Sess. 1-11, reprinted in 1986
    _________ __
    U.S.C.C.A.N. 3555-65. Despite defendants' contrary urgings,
    there is absolutely no evidence in this history suggesting
    that Congress meant to expand the parameters of the business
    extension exception so as to embrace almost all wiretapping
    equipment.
    Finally, defendants seem to argue that the First
    Circuit, in Campiti, 611 F.2d at 392, read the "any telephone
    _______
    or telegraph instrument, equipment or facility, or any
    component thereof" provision out of 2510(5)(a). We think
    it sufficient to state without elaboration that Campiti, when
    _______
    fairly read in context, does no such thing.

    -22-
    22















    telephone company implicitly considered telephone equipment).

    Indeed, we think it self evident that the CAR system, far

    from being the type of exempt equipment contemplated by the

    authors of the business extension exception, is precisely the

    type of intercepting device Congress intended to regulate

    heavily when it enacted Title III.

    We recognize that it is not ordinarily the province

    of appellate courts to make findings of fact or to resolve,

    in the first instance, mixed questions of law and fact. Yet,

    where only one resolution of a predominantly factbound

    question would, on a full record, be sustainable, courts of

    appeals can, and often should, decline to remand where there

    has been an error committed. See Dedham Water, 972 F.2d at
    ___ ____________

    463; see also In re Two Appeals Arising Out of the San Juan
    ___ ____ _______________________________________________

    Plaza Hotel Fire Litigation, 994 F.2d 956, 968-69 (1st Cir.
    ____________________________

    1993) (appellate courts may eschew remand where remanding

    would be an empty exercise); Societe Des Produits Nestle,
    ______________________________

    S.A. v. Casa Helvetia, Inc., 982 F.2d 633, 642 (1st Cir.
    ____ ____________________

    1992) (where trial court "supportably ``made the key findings

    of fact' but applied the wrong rule of law, the court of

    appeals ha[s] the power, in lieu of remanding, simply to

    regroup the findings ``along the proper matrix'") (quoting

    United States v. Mora, 821 F.2d 860, 869 (1st Cir. 1987)).
    _____________ ____

    Here, given the trial court's findings regarding the nature

    of the monitoring device, the only sustainable ruling would



    -23-
    23















    be that the device was not a "telephone or telegraph

    instrument, equipment or facility, or a component thereof,"

    and therefore not within the parameters of the business

    extension exception. Accordingly, we reject the argument

    that defendants are protected by this exception.14

    b. The Consent Exception
    b. The Consent Exception
    _________________________

    Both the federal and Maine acts specifically exempt

    from their prohibitions the interceptions of telephone calls

    where one or more of the conversants has consented to or, in

    the case of the Maine act, previously authorized the

    interception. See 18 U.S.C. 2511(2)(d) and 15 M.R.S.A.
    ___

    709(4)(C).15 As we have made clear, consent under Title


    ____________________

    14. In their brief, the CAR defendants conclude their
    argument that the business extension exception applies with a
    very short equitable argument that their "good faith"
    reliance on the advice of others, including counsel, in
    installing the monitoring system should absolve them from
    liability. They do not, however, adduce any authority in
    support of this novel proposition. Moreover, in the course
    of rebuffing defendants' business extension exception
    argument, the district court supportably found that the
    interceptions here at issue were not effectuated to further
    the original purpose of the monitoring system. Defendants do
    not, and cannot, seriously contest this finding. Thus, the
    alleged good faith of the CAR defendants in originally
    __ __________
    installing the system is irrelevant.
    __________ ___ ______

    15. In relevant part, 18 U.S.C. 2511(2)(d) provides:

    It shall not be unlawful under this chapter for a
    person not acting under color of law to intercept a
    wire, oral, or electronic communication where . . .
    one of the parties to the communication has given
    prior consent to such interception . . . .

    Similarly, 15 M.R.S.A. 709(4)(C) excludes from the
    reach of the statute those interceptors "given prior

    -24-
    24















    III16 need not be explicit; instead, it can be implied.

    See Griggs-Ryan v. Smith, 904 F.2d 112, 116 (1st Cir. 1990).
    ___ ___________ _____

    Implied consent is not, however, constructive consent. Id.
    ___

    "Rather, implied consent is ``consent in fact' which is

    inferred ``from surrounding circumstances indicating that the

    party knowingly agreed to the surveillance.'" Id. at 116-17
    _________ ______ ___

    (quoting United States v. Amen, 831 F.2d 373, 378 (2d Cir.
    ______________ ____

    1987), cert. denied, 108 S. Ct. 1573 (1988)) (brackets
    _____ ______

    omitted) (emphasis supplied). In light of the prophylactic

    purposes of Title III, implied consent should not be casually

    inferred. See id. at 117.
    ___ ___

    Here, the record reflects and the district court

    found that Ralph Dyer was told of the "monitoring" of CAR

    employee telephone calls.17 The record is not clear,

    however, as to whether Dyer was informed (1) of the manner --

    i.e., the intercepting and recording of telephone



    ____________________

    authority by the sender or receiver."

    16. Because the "consent" standard under Title III is
    certainly no more stringent than the "prior authority"
    standard set forth in 15 M.R.S.A. 709(4)(C), see supra note
    ___ _____
    15, and because, as will be demonstrated below, we rule that
    the district court did not clearly err in finding that the
    consent standard had not been met, we need only discuss the
    federal act in this section of the opinion.

    17. Defendants' consent arguments involve only the actions
    of Ralph Dyer, and are not directed at the district court's
    summary judgment ruling that the consent exception does apply
    to the conversations involving Brooks Browne. Accordingly,
    we limit our discussion to whether Dyer consented to
    interceptions of his telephone conversations.

    -25-
    25















    conversations -- in which this monitoring was conducted; and

    (2) that he himself would be subjected to such monitoring.

    There was testimony tending to indicate that he was so

    informed, which the district judge apparently chose not to

    credit, and testimony tending to indicate that he was not.

    In our view, the latter testimony, far from being incredible,

    was highly plausible.18 Thus, there is no basis for us to

    conclude that the district court clearly erred in finding

    that Dyer was not told of the manner in which the monitoring

    was conducted and that he himself would be monitored. Cf.
    ___

    Rodriguez-Morales, 931 F.2d at 982 (district court's finding
    _________________

    should not be disturbed where there are two permissible views

    of the evidence). And, without at least this minimal
    __ _____

    knowledge on the part of Dyer, we do not see how his consent

    in fact to the monitoring could be inferred from this record.

    Cf. Griggs-Ryan, 904 F.2d at 117 (implied consent inferred
    ___ ___________

    where defendant was informed (1) that all incoming calls, (2)

    on a particular line, (3) would be tape recorded).

    Accordingly, we reject the contention that the court erred in

    finding that defendants are not protected by the consent

    exception.

    2. Refusal to Admit Expert Testimony
    2. Refusal to Admit Expert Testimony
    _____________________________________


    ____________________

    18. It is difficult to believe that the newly-installed CEO
    and Chairman of the Board would have assented to the
    intercepting and recording of his conversations by
    subordinates with whom he was engaged in a struggle for
    power.

    -26-
    26















    Defendants also assert that the court erred in


    refusing to admit, pursuant to Fed. R. Evid. 702, the

    testimony of their expert, G. Robert Blakey.19 This

    argument does not require extended discussion.

    Rule 702 provides: "If scientific, technical, or

    other specialized knowledge will assist the trier of fact to

    understand the evidence or to determine a fact in issue, a

    witness qualified as an expert by knowledge, skill,

    experience, training, or education, may testify thereto in

    the form of an opinion or otherwise." It is settled that

    "``the admission of expert testimony under [Rule] 702 is

    within the discretion of the district court and will be

    reversed only for an abuse of that discretion.'" Navarro de
    __________



    ____________________

    19. Blakey, described by the CAR defendants as "one of the
    drafters and architects" of Title III, would, in defendants'
    words, "[have] address[ed] the many mixed questions of law
    and fact which [arose] in this action . . . ." Indeed, a
    review of the Poulos defendants' offer of proof regarding
    Blakey reveals that, if he had been allowed to testify,
    Blakey would have opined on virtually all of the mixed
    questions of law and fact in this litigation. Specifically,
    Blakey would have testified, inter alia, (1) that the CAR
    _____ ____
    defendants' monitoring equipment was not a "device" as
    defined by 18 U.S.C. 2510(5)(a) or 15 M.R.S.A. 709(3);
    (2) that the monitoring equipment "was telephone ``equipment
    or facility'" [sic], see 18 U.S.C. 2510(5)(a); (3) that the
    ___
    monitoring at issue was done "within the ordinary course of
    [CAR's] business," see id.; (4) that the actions and
    ___ ___
    activities of the Poulos defendants "were carried out in a
    good faith reliance on a statutory authorization within the
    terms of 18 U.S.C. 2520(d)"; and (5) that "under all the
    relevant facts and circumstances, attorneys in the position
    of the Poulos defendants . . . would not have had ``reason to
    know' that the [intercepted] information was obtained in
    violation of law."

    -27-
    27















    Cosme v. Hospital Pavia, 922 F.2d 926, 931 (1st Cir. 1991)
    _____ ______________

    (quoting Forrestal v. Magendantz, 848 F.2d 303, 305 (1st Cir.
    _________ __________

    1988)).

    Here, the court granted plaintiffs' motion to

    exclude Blakey by stating: "I'm satisfied with regard to

    expert witnesses in this case that expert witnesses are not

    appropriate, . . . and I have excluded both the plaintiffs'

    and the defendants' experts by appropriate action on their

    respective motions." Thus, it appears that the court, as

    factfinder, concluded that it could "understand the evidence

    [and] determine [the] fact[s] in issue" without the

    assistance of experts. Our review of this record persuades

    us that the court acted well within its discretion in so

    concluding.20 Accordingly, we reject defendants'

    contention that the court erred in excluding Blakey's

    testimony.

    3. Mootness
    3. Mootness
    ____________

    The Poulos defendants assert that plaintiffs'

    claims against them became moot when plaintiffs amended their


    ____________________

    20. The court's decision rests upon especially firm ground
    with regard to Blakey. The Poulos defendants' offer of
    proof, see supra note 19, reveals that virtually all of
    ___ _____
    Blakey's testimony would have been opinion testimony
    regarding (1) the state of mind of the Poulos defendants, and
    (2) the applicability of certain statutory provisions to the
    facts of this case. Leaving aside overall admissibility
    concerns, it is apparent that such testimony is not based
    upon "scientific, technical, or . . . specialized knowledge"
    likely to be lacking in the able district judge who conducted
    this bench trial.

    -28-
    28















    complaint so as to drop their claims for monetary

    damages.21 In so doing, they point to the fact that, as

    the CAR defendants' attorneys, they would be bound by any

    injunction or restraining order issued against the CAR

    defendants alone. See Fed. R. Civ. P. 65(d).22 In the
    ___

    Poulos defendants' view, the fact that they would be so

    bound, when combined with the fact that the trial was solely

    for equitable relief, means that complete relief could have

    been afforded to plaintiffs without their presence as named

    defendants. Thus, the argument concludes, after the damages

    claims were dropped, there was no longer a case or

    controversy between plaintiffs and themselves. We cannot

    agree with the Poulos defendants' argument.

    Among its infirmities, this argument fails to

    recognize that plaintiffs sought from the Poulos defendants

    two forms of relief other than an injunction. First,
    _____ ____

    plaintiffs sought a declaration that the Poulos defendants
    ___ ______ __________

    themselves, irrespective of their relationship with the CAR
    __________


    ____________________

    21. In their original complaint, plaintiffs sought
    declaratory and injunctive relief; actual, statutory, and
    punitive damages; and attorneys' fees. Eventually, however,
    plaintiffs amended their complaint so as to dismiss all their
    damages claims. As a result, the case was reduced to a
    completely equitable proceeding tried only before the
    district court.

    22. The part of Rule 65(d) upon which the Poulos defendants
    rely states: "Every order granting an injunction and every
    restraining order . . . is binding only upon the parties to
    the action, their officers, agents, servants, employees, and
    attorneys . . . ."

    -29-
    29















    defendants, had violated, inter alia, the disclosure and use
    _____ ____

    provisions of Title III and the Maine act.23 And second,

    plaintiffs sought from the Poulos defendants the attorneys'

    fees they had incurred in the course of protecting their

    statutorily created rights. Thus, even if we were to endorse

    for the sake of argument the dubious premise upon which the

    Poulos defendants' argument rests, we are still compelled to

    conclude that there was a very live case and controversy

    between plaintiffs and the Poulos defendants. Accordingly,

    we reject the contention that plaintiffs' claims against the

    Poulos defendants were mooted when they dropped their damages

    claims.24

    4. Poulos's Knowledge
    4. Poulos's Knowledge
    ______________________


    ____________________

    23. Despite the fact that it is specifically made available
    by 18 U.S.C. 2520(b)(1), the Poulos defendants contend that
    such a declaration, standing alone, would be "completely
    inappropriate" because it would have no future application.
    We are not persuaded by this argument. The Poulos defendants
    are the attorneys of record for the CAR defendants in the
    Bowers litigation. Surely a declaration that the Poulos
    ______
    defendants had disclosed and used the contents of intercepted
    communications, relevant to the Bowers lawsuit, in violation
    ______
    of Title III and the Maine act would be useful to plaintiffs
    in any motion they might file to disqualify the Poulos
    defendants in that case.

    24. The Poulos defendants also assert that the injunction
    issued against them was improper because plaintiffs were not
    in danger of suffering "actual or imminent, not ``conjectural'
    or ``hypothetical'" harm from them. See Whitmore v. Arkansas,
    ___ ________ ________
    495 U.S. 149, 155 (1990) (elaborating upon Article III's
    "case or controversy" requirement) (quoting City of Los
    _____________
    Angeles v. Lyons, 461 U.S. 95, 101-02 (1983)). In light of
    _______ _____
    the imminence of Bowers and the fact that the Poulos
    ______
    defendants may still participate in it, we find this line of
    argument entirely unconvincing.

    -30-
    30















    The Poulos defendants next contend that the

    district court clearly erred when, in determining that they

    had violated the disclosure and use provisions of Title III,

    it found that Richard Poulos knew or had reason to know that

    the interceptions at issue had been effectuated in violation

    of Title III. See 18 U.S.C. 2511(c) and (d), supra note
    ___ _____

    3.25 More particularly, they argue that the judge clearly

    erred in implicitly deciding that plaintiffs had met their

    burden of proving that Poulos knew or had reason to know that

    the statutory business extension and consent exceptions did

    not apply to the interceptions. After carefully considering

    this argument, we are not convinced.

    It is settled that a person has not committed a

    disclosure or use violation under Title III unless s/he "knew

    or had reason to know that the interception [by which the


    ____________________

    25. In the course of so ruling, the court also found that
    the Poulos defendants had violated the disclosure and use
    provisions of the Maine act. See 15 M.R.S.A. 710(3)(A) and
    ___
    (B), supra note 3. The Poulos defendants also contest this
    _____
    finding, arguing (1) that the Maine act required the court to
    find that they had disclosed and used the intercepted
    information "actually knowing" that it had been illegally
    _________
    obtained, and (2) that the evidence could not support such a
    finding. This argument is built on a faulty legal
    foundation. Section 710(3)(A) and (B) do not require
    knowledge that the information was illegally intercepted;
    they merely require knowledge "that the information was
    obtained through interception [as that term is defined by the
    Maine act]." See supra note 3. Accordingly, because of its
    ___ _____
    defective premise, and because a thorough review of the
    record convinces us that the court did not clearly err in
    implicitly finding that the Poulos defendants knew that the
    information they disclosed and used had been "obtained
    through interception," we reject this argument.

    -31-
    31















    information which was disclosed or used had been obtained]

    itself was in violation of Title III." United States v.
    ______________

    Wuliger, 981 F.2d 1497, 1501 (10th Cir. 1992); see also
    _______ ___ ____

    Thompson v. Dulaney, 970 F.2d 744, 749 (10th Cir. 1992). In
    ________ _______

    other words, "knowledge or reason to know of the illegality

    is an element of the offense." Wuliger, 981 F.2d at 1501.
    _______

    Thus, in a civil action, a plaintiff must demonstrate "1) the

    information used or disclosed came from an intercepted

    communication, and 2) sufficient facts concerning the

    circumstances of the interception such that the defendant

    could, with presumed knowledge of the law, determine that the

    interception was prohibited in light of Title III."

    Thompson, 970 F.2d at 749; see also Cheek v. United States,
    ________ ___ ____ _____ _____________

    498 U.S. 192, 199-200 (1991) (making clear that the common

    law presumption that every person knows the law ordinarily

    applies when courts construe criminal statutes). This

    demonstration includes a showing that any statutory

    exceptions asserted by a defendant do not, in fact, apply.

    See Thompson, 970 F.2d at 749.
    ___ ________

    Here, we perceive no clear error in the district

    court's implicit findings that the statutory defenses did not

    apply. Insofar as the Poulos defendants are challenging the

    court's finding regarding the business extension exception,

    we again observe that the exception applies only when, inter
    _____

    alia, the aural acquisition at issue is effectuated by means
    ____



    -32-
    32















    of a "telephone or telegraph instrument, equipment or

    facility, or a component thereof." See 18 U.S.C.
    ___

    2510(5)(a), supra at 19. As noted earlier, we think it
    _____

    evident that the monitoring equipment used by the CAR

    defendants cannot be so characterized. Moreover, there is no

    suggestion that Poulos misapprehended the nature of the

    equipment the CAR defendants used to monitor plaintiffs'

    calls. Given these facts, we discern no basis for upsetting

    the court's finding that Poulos knew or had reason to know

    that the business extension exception would not apply to the

    intercepted calls.

    Similarly, insofar as the Poulos defendants are

    contesting the court's finding regarding the consent

    exception, we again note that consent, even if implied, must

    be "``consent in fact.'" See Griggs-Ryan, 904 F.2d at 116-17
    ___ ___________

    (quoting Amen, 831 F.2d at 378). As observed earlier, there
    ____

    is record evidence tending to indicate that Dyer26 never

    was informed (1) of the manner in which the monitoring was

    being conducted; and (2) that he himself would be subjected

    to such monitoring. Moreover, there is record evidence from

    which a rational factfinder could have found, under a

    preponderance of the evidence standard, that Poulos was not






    ____________________

    26. See supra note 17.
    ___ _____

    -33-
    33















    laboring under the assumption that Dyer had been so

    informed.27 Thus, we can discern no clear error in the

    district court's finding that Poulos knew or had reason to

    know that the consent exception would not apply to the

    intercepted calls.

    Accordingly, we reject the Poulos defendants'

    challenge to the court's finding that Poulos knew or had

    reason to know that the interceptions violated Title III.

    5. The Poulos Defendants' Good Faith Defense
    5. The Poulos Defendants' Good Faith Defense
    _____________________________________________

    The Poulos defendants' next argument, that the good

    faith defense provided for in 18 U.S.C. 2520(d)28

    exonerates them, is a variation on this same theme. In

    essence, the Poulos defendants claim that Poulos, in good

    faith, believed that the business extension and consent

    exceptions applied and were "statutory authorization[s]" for

    the wiretapping that occurred. Thus, they assert, they have

    a complete defense against plaintiffs' civil claims. Again,

    we do not agree.



    ____________________

    27. For example, in response to a question at trial
    regarding a journal entry made by Dyer, Poulos testified:
    "You people didn't know about and Dyer didn't know about the
    ___ ____ ______ ____ _____ ___
    wiretaps on August 25 or so and when he's talking about sue -
    ________
    - [sic]." Also, when Poulos disclosed the contents of the
    tapes to counsel for CAR's Chapter 11 trustee, he informed
    them that the tapes might have been criminally obtained.

    28. In relevant part, 18 U.S.C. 2520(d) states: "A good
    faith reliance on . . . a statutory authorization . . . is a
    complete defense against any civil or criminal action brought
    under this chapter or any other law."

    -34-
    34















    As we have stated, the district court sustainably

    found that Poulos disclosed and used the contents of

    intercepted communications despite, at the very least, having

    had reason to know that the interception was effectuated in

    violation of Title III. Therefore, even if we assume

    arguendo that the term "statutory authorization" in 2520(d)
    ________

    encompasses the business extension and consent exceptions (a

    matter that we do not now decide), it is evident that any

    belief on Poulos's part that these exceptions did apply could

    have been premised only upon mistakes of law. And, as we

    have held, nothing in 2520(d) supports a conclusion that

    the good faith defense applies where a defendant mistakenly
    __________

    believes that there exists a statutory authorization for the

    wiretapping. See Campiti, 611 F.2d at 394-95 (mistaken
    ___ _______

    belief that statutory exceptions apply does not give rise to

    a good faith defense);29 see also Heggy v. Heggy, 944 F.2d
    ___ ____ _____ _____

    1537, 1542 (10th Cir. 1991) ( 2520(d) does not embrace

    mistake of law), cert. denied, 112 S. Ct. 1514 (1992).
    _____ ______



    ____________________

    29. The Poulos defendants point out that the term "statutory
    authorization" was added to 2520(d) after Campiti was
    _______
    handed down and assert, without any elaboration, that this
    means that 2520(d) "may in fact now exempt a mistake of
    law." Given the dearth of contexts where subjective mistakes
    of law allow a defendant to avoid liability, see Cheek, 498
    ___ _____
    U.S. at 199-200, we find this perfunctorily made argument to
    be highly suspect. At any rate, we deem it waived, see
    ___
    United States v. Innamorati, 996 F.2d 456, 468 (1st Cir.
    ______________ __________
    1993) (issues adverted to in a perfunctory manner and without
    developed argumentation are deemed waived on appeal), cert.
    _____
    denied, 62 U.S.L.W. 3320 (Nov. 1, 1993).
    ______

    -35-
    35















    Accordingly, we reject as meritless the Poulos defendants'

    argument that they are protected by the good faith defense of

    2520(d).30

    6. Entitlement to Jury Trial
    6. Entitlement to Jury Trial
    _____________________________

    Finally, in one sentence, the Poulos defendants

    assert:

    Due to the professional implications, the
    exposure to substantial attorneys [sic]
    fees, the [district] court's decision to
    determine whether there was a use and
    disclosure violation under both [Title
    III] and the Maine Act, and the criminal
    nature of the statute involved, [the
    Poulos defendants] should have been
    accorded a jury trial on the issues of
    whether they used the tapes knowing or
    with reason to know of the illegality and
    the good-faith defense.

    They do not, however, explain how the presence in this case

    of "professional implications," an attorneys' fees request,

    use and disclosure issues, and the fact that Title III also

    contains criminal provisions renders this action an

    essentially legal one. Nor do they cite to any authority

    from which we can derive such an inference. As such, their

    argument is perfunctory and we will not address it. See
    ___

    Innamorati, 996 F.2d at 468.31
    __________


    ____________________

    30. Because 2520(d) does not shield the Poulos defendants
    from plaintiffs' Title III claims, it also obviously does
    not, despite their argument to the contrary, shield them from
    plaintiffs' claims under the Maine act.

    31. The Poulos defendants do, without elaboration, advert to
    authority which enunciates the settled rule that an action
    for declaratory relief which is essentially legal in nature

    -36-
    36















    B. Plaintiffs' Arguments
    B. Plaintiffs' Arguments
    _________________________

    1. Scope of the Injunction
    1. Scope of the Injunction
    ___________________________

    Plaintiffs' primary argument on appeal is their

    complaint concerning the reach of the injunction issued by

    the district court. The argument has three components: (1)

    that the court abused its discretion in permitting defendants

    to disclose and/or use the intercepted recordings in Bowers;
    ______

    (2) that the court also abused its discretion in failing to

    enjoin the Bowers litigation; and (3) that the court
    ______

    erroneously thought itself restricted to the relief provided

    for in 18 U.S.C. 251532 when it issued the injunction.

    We address each branch of plaintiffs' argument in turn.

    a. Disclosure and/or Use of the Recordings in
    a. Disclosure and/or Use of the Recordings in
    ___________________________________________________
    Bowers
    Bowers
    ______

    The first aspect of plaintiffs' argument is not

    difficult to comprehend. They contend that the court's



    ____________________

    gives rise to the right to a jury trial. See, e.g., Simler
    ___ ____ ______
    v. Conner, 372 U.S. 221, 223 (1963); Beacon Theatres, Inc. v.
    ______ _____________________
    Westover, 359 U.S. 500, 504 (1959). They do not, however,
    ________
    make any attempt to demonstrate the applicability of this
    authority to the facts of this case. Accordingly, we deem
    __ ___ _____ __ ____ ____
    their efforts insufficient to preserve this issue for
    appellate review. See Innamorati, 996 F.2d at 468.
    ___ __________

    32. In relevant part, 18 U.S.C. 2515 provides:

    Whenever any wire or oral communication has been
    intercepted, no part of the contents of such
    communication and no evidence derived therefrom may
    be received in evidence in any trial, hearing, or
    other proceeding in or before any court . . . if
    disclosure of that information would be in
    violation of this chapter.

    -37-
    37















    injunction, insofar as it permits defendants to disclose

    and/or use the contents of the tapes for admissibility

    determinations in Bowers, must be reversed. In plaintiffs'
    ______

    view, Title III33 simply does not allow for any disclosures

    and/or use of illegally intercepted material in civil cases.

    After careful consideration, we disagree with this position.

    In making their argument, plaintiffs rely upon the

    fact that Title III, without exception, makes criminal

    "disclosures" and/or "uses" of illegally intercepted

    material. In our view, however, there are at least two

    reasons why the lack of any such explicit exception does not

    dictate the conclusion reached by plaintiffs.

    First, we think it important to note:

    A statute is passed as a whole and not in
    parts or sections and is animated by one
    general purpose and intent.
    Consequently, each part or section should
    be construed in connection with every
    other part or section so as to produce a
    harmonious whole.

    2A Norman J. Singer, Sutherland Statutory Construction,
    __________________________________

    46.05, at 103 (5th ed. 1992). Here, if we were to interpret

    the criminal provisions of Title III in the manner suggested

    by plaintiffs, we would render the statute unenforceable.34


    ____________________

    33. Again here, the parties' discussion of the issue centers
    around Title III. Therefore, we confine our analysis to
    federal law.

    34. After all, a court (or jury) would almost never be able
    to determine whether an interception violated Title III
    without having the interception "disclosed" in court and

    -38-
    38















    Thus, we must reject plaintiffs' interpretation as violative

    of a fundamental tenet of statutory construction.

    Moreover, we think that Congress, in enacting

    2515, see supra note 32, made clear its endorsement of
    ___ _____

    disclosures and/or uses of illegally intercepted material for

    the adjudicatory purposes contemplated by the district court.

    As noted, 2515 bans the introduction into evidence of both

    illegally intercepted material and any evidence derived

    therefrom. Implicit in this ban, we believe, are two

    assumptions: (1) that the intercepted material will be

    presented to a court or jury for an initial adjudication of

    whether it was acquired illegally; and (2) that a court will

    thereafter determine whether other evidence was derived from

    the intercepted evidence. Simply put, we are at a loss to

    see how these functions could be performed without the types

    of adjudicatory "disclosures" and/or "uses" that plaintiffs

    view as banned by Title III.

    Accordingly, we reject the argument that the court

    erred in permitting future disclosures and/or uses of the

    recordings and transcriptions here at issue for the limited

    purpose of aiding it in the making of admissibility

    determinations in Bowers.
    ______

    Despite the fact that the court's injunction

    explicitly made reference only to disclosures and/or uses in


    ____________________

    "using" this interception to inform its determination.

    -39-
    39















    the context of admissibility determinations, the parties also

    disagree over whether the tapes at issue can be used "for

    purposes of impeachment" in Bowers. Because we believe that
    ______

    this is an important issue certain to arise during the course

    of that litigation, we address it at this time.

    We start with the obvious. As we have observed,

    Title III makes criminal the intentional disclosure and/or

    use of information obtained through unauthorized

    interceptions of wire, oral, or electronic communications

    (when the discloser/user knows or has reason to know that the

    interception was unauthorized). See 18 U.S.C. 2511(c) and
    ___

    (d), supra note 3; see also Gelbard v. United States, 408
    _____ ___ ____ _______ ______________

    U.S. 41, 46 (1972). It also generally reserves as a remedy

    to anyone subjected to an unlawful interception "such . . .

    equitable or declaratory relief as may be appropriate." See
    ___

    18 U.S.C. 2520(b), supra note 5. We think it apparent,
    _____

    therefore, that, in order to provide aggrieved plaintiffs

    with "appropriate" relief, courts ordinarily should

    completely enjoin persons in possession of illegally

    intercepted information from disclosing and/or using that

    information.

    With regard to how, if at all, illegally

    intercepted communications may be disclosed and/or used as
    __

    evidence in court proceedings, Title III is more explicit.
    ________

    As noted above, 2515 states that "no part of the contents



    -40-
    40















    of such communication and no evidence derived therefrom may

    be received in evidence . . . ." See supra note 32. Despite
    ___ _____

    the unequivocal nature of this statutory language, however,

    several courts, including this one, have allowed the

    government to disclose and use the contents of illegally
    __________

    intercepted communications in order to impeach testifying

    criminal defendants. See United States v. Vest, 813 F.2d
    ________ ___ _____________ ____

    477, 484 (1st Cir. 1987); United States v. Winter, 663 F.2d
    _____________ ______

    1120, 1154 (1st Cir. 1981), cert. denied, 460 U.S. 1011
    _____ ______

    (1983); see also, e.g., United States v. Echavarria-Olarte,
    ___ ____ ____ _____________ _________________

    904 F.2d 1391, 1397 (9th Cir. 1990); United States v. Caron,
    _____________ _____

    474 F.2d 506, 508 (5th Cir. 1973). In so doing, these

    courts, either explicitly or implicitly, have relied upon a

    passage in the legislative history of Title III which

    indicates a congressional desire to incorporate, inter alia,
    _____ ____

    the impeachment exception of "search and seizure law"35

    into the Title III calculus. See generally Caron, 474 F.2d
    ___ _________ _____

    at 510 (interpreting the meaning of S. Rep. No. 1097, 90th




    ____________________

    35. In criminal law, evidence obtained in violation of the
    Fourth Amendment can be used for the limited purpose of
    attacking a testifying defendant's credibility. Walder v.
    ______
    United States, 347 U.S. 62, 65 (1954). It can, however, only
    _____________
    be used to impeach on matters "plainly within the scope of
    the defendant's direct examination." United States v.
    ______________
    Havens, 446 U.S. 620, 627 (1980). Moreover, the tainted
    ______
    evidence can only be used to impeach the criminal defendant
    him/herself; it cannot be used to impeach other witnesses,
    even other defense witnesses. James v. Illinois, 493 U.S.
    _____ ________
    307, 313 (1990).

    -41-
    41















    Cong., 2d Sess. at 96, reprinted in 1968 U.S.C.C.A.N. 2184-
    _________ __

    85).36

    Every federal court that has passed on the question

    has, however, declined to extend this impeachment exception

    to civil actions brought under Title III. See, e.g.,
    ___ ____

    Wuliger, 981 F.2d at 1506; Anthony v. United States, 667 F.2d
    _______ _______ _____________

    870, 879 (10th Cir. 1981), cert. denied, 457 U.S. 1133
    _____ ______

    (1982). In so doing, these courts, have taken note of (1)

    the "overriding concern for protection of privacy . . .

    [Title III] sets out," Wuliger, 981 F.2d at 1506, and (2) the
    _______

    fact that 2515, by its terms, allows for no exceptions.

    They, therefore, have proceeded from the premise that "``what

    is not permitted [by the Act] is forbidden.'" Id. (quoting
    ___

    Fultz v. Gilliam, 942 F.2d 396, 401 (6th Cir. 1991)). Then,
    _____ _______

    these courts have observed that the allowance of an

    impeachment exception derives from the references in the

    legislative history to "search and seizure law" and the

    Supreme Court's decision in Walder. See S. Rep. No. 1097,
    ______ ___

    90th Cong., 2d Sess. at 96, reprinted in 1968 U.S.C.C.A.N. at
    _________ __

    2184. Thus, because "[n]ormal search and seizure laws have

    arisen in the context of the Fourth Amendment which is

    directed against the government, not against private



    ____________________

    36. The legislative history's reference to the impeachment
    exception is made indirectly by means of an approving
    citation to Walder, the case wherein the impeachment
    ______
    exception was created. See supra note 35.
    ___ _____

    -42-
    42















    individuals," Anthony, 667 F.2d at 879, and because the
    _______

    Fourth Amendment does not apply in civil actions not

    involving the government, see id., these courts have, as
    ___ ___

    stated above, declined to recognize an impeachment exception

    to 2515 in civil proceedings, see id.; see also Wuliger,
    ___ ___ ___ ____ _______

    981 F.2d at 1506.

    We find this line of reasoning persuasive,37 and

    accordingly limit the impeachment exception of 2515 to

    criminal actions brought pursuant to Title III. Therefore,

    it follows that the illegal interceptions (and their

    transcriptions) at issue in this litigation cannot, pursuant

    to the criminal impeachment exception, be introduced into

    evidence for impeachment purposes in Bowers.
    ______



    ____________________

    37. In an attempt to counteract this authority, the Poulos
    defendants contend (1) that Walder and its progeny do not
    ______
    explicitly state that the impeachment exception should be
    available only in criminal cases, and (2) that the concerns
    underlying the exception (e.g., the prevention of untruthful
    testimony) are equally applicable in the civil context.
    While this argument has some force, we think, in light of (1)
    the unequivocal language of 2515, (2) the broad remedial
    purposes of Title III, and (3) the restrictions the Supreme
    Court has put on the impeachment exception, see supra note
    ___ _____
    35, that the exception we have read into 2515 must be
    strictly construed. Cf. Vest, 813 F.2d at 480-84 (declining
    ___ ____
    to read the legislative history at issue as empowering courts
    to read further excep-tions into 2515). As we have noted,
    the exception derives from a specific reference to "search
    and seizure law" and a citation to Walder, neither of which
    ______
    is directly applicable in the civil context. Thus, any
    ________
    application of the exception to civil cases would be based
    upon extrapolation. In light of the three above-stated
    factors which incline us towards a strict construction of the
    exception, we simply do not believe that such an
    extrapolation would be appropriate in this instance.

    -43-
    43















    b. Failure to Enjoin Bowers
    b. Failure to Enjoin Bowers
    ____________________________

    The second component of plaintiffs' argument has

    two parts: that, in failing to enjoin Bowers, the district
    ______

    court (1) erroneously relied upon Fourth Amendment

    "independent source" jurisprudence,38 and (2) erroneously

    overlooked the fact that Title III "flatly" bans disclosures

    and uses of illegally intercepted material.39 In our view,

    plaintiffs misconstrue the approach taken by the district

    court.

    With respect to plaintiffs' first claim, the court

    did not hold that the evidence derived from the illegal

    interceptions would be admissible in Bowers pursuant to the
    ______

    independent source rule.40 Instead, the court found that



    ____________________

    38. The independent source rule "allows admission of
    evidence that has been discovered by means wholly independent
    of any constitutional violation." Nix v. Williams, 467 U.S.
    ___ ________
    431, 443 (1984); see also United States v. Silvestri, 787
    ___ ____ ______________ _________
    F.2d 736, 739 (1st Cir. 1986), cert. denied, 487 U.S. 1233
    _____ ______
    (1988).

    39. To be more specific, the second part of plaintiffs'
    argument is that, to the extent that the court may have
    "balanced the equities" in deciding not to enjoin Bowers, it
    ______
    was in error. Cf. Burlington R.R. Co. v. Blair, 957 F.2d
    ___ ____________________ _____
    599, 601-02 (8th Cir.) (indicating that, in considering the
    propriety of injunctive relief, it is not the role of the
    courts to balance the equities between the parties where
    Congress has flatly banned the conduct sought to be
    enjoined), cert. denied, 113 S. Ct. 69 (1992).
    _____ ______

    40. We recognize that the court did make reference to the
    independent source rule in denying plaintiffs' Fed. R. Civ.
    P. 59(e) motion to amend the judgment. We discuss the
    propriety of this reference in the next section of this
    opinion. See infra at 48-50.
    ___ _____

    -44-
    44















    "the evidence presented at trial demonstrated the existence

    of information upon which the allegations in Bowers v. Allied
    ______ ______

    could be based independent of the subject tapes." Poulos II,
    ___________ __ ___ _______ _____ _________

    slip op. at 29-30 (emphasis supplied). In other words, the

    court found that evidence other than that which was on the
    _____ ____

    tapes (and "in no way attributable to the existence of the

    subject tapes," see id. at 30) could support the lawsuit.
    ___ ___

    Thus, the independent source rule, which is a means for

    admitting evidence springing from independent sources despite

    the fact that the evidence replicates tainted evidence, was

    not a basis for the district court's holding.

    With regard to plaintiffs' second claim, we believe

    it sufficient to state that the court's injunction does not

    contravene the purposes of Title III.41 Contrary to

    plaintiffs' assertions, Title III does not "flatly" ban all
    ___

    disclosures and uses of illegally intercepted communications.

    Instead, as we have explained, it generally bans such
    _________

    disclosures and uses while, either explicitly or implicitly,



    ____________________

    41. We are aware that plaintiffs' argument ties in with
    their general concern, expressed throughout their brief, that
    allowing Bowers to proceed will undermine the purposes of
    ______
    Title III and the Maine act. If, however, there is
    independent evidence upon which the allegations of Bowers are
    ______
    premised, and if, as we shall explicitly urge it to do, see
    ___
    infra at 48-50, the district court takes pains to ensure that
    _____
    the contents of the illegally intercepted conversations, and
    any evidence derived therefrom, are not used or disclosed in
    the course of that litigation (other than in the course of
    making admissibility determinations), we do not believe that
    plaintiffs' concern will come to fruition.

    -45-
    45















    allowing for certain exceptions (i.e., an impeachment

    exception in criminal cases, see supra at 40-41, and an
    ___ _____

    "adjudication" exception, see supra at 37-39, in all cases).
    ___ _____

    In our view, the court's injunction is consistent with this

    statutory nuance.

    Accordingly, we reject plaintiffs' assertion that

    the court's failure to enjoin Bowers was infected by legal
    ______

    error.





    c. Erroneous Exclusive Reliance on Section 2515
    c. Erroneous Exclusive Reliance on Section 2515
    ________________________________________________

    The final facet of plaintiffs' argument, that the

    court erroneously thought itself restricted to the relief

    provided for in 18 U.S.C. 2515, see supra note 32, when it
    ___ _____

    declined to enjoin Bowers, does not require extended
    ______

    discussion. While, as we shall discuss below, the court did

    reveal a somewhat cramped view of the scope of its equitable

    powers in denying plaintiffs' Fed. R. Civ. P. 59(e) motion to

    amend judgment, see infra at 48-49, the record clearly
    ___ _____

    reveals that no such restrictive view impaired its treatment

    of plaintiffs' initial request for injunctive relief. In

    fact, contrary to plaintiffs' contention, the court's

    injunction order explicitly states that the decision not to

    enjoin Bowers was based upon the evidence, and not upon a
    ______

    perceived lack of legal power to order the remedy requested.



    -46-
    46















    See Poulos II, slip op. at 30 ("The Court is satisfied that
    ___ _________

    the injunctive relief sought is beyond the scope warranted by
    __

    the evidence presented at trial.") (emphasis supplied).
    ___ ________ _________ __ _____

    Accordingly, we find this claim of legal error to be without

    merit.

    2. Motion to Amend Judgment
    2. Motion to Amend Judgment
    ____________________________

    Plaintiffs next argue that the district court erred

    in denying their Fed. R. Civ. P. 59(e) motion to amend

    judgment. In this motion, plaintiffs averred that they were

    seeking, inter alia, to "clarify" the court's previous
    _____ ____

    injunction order. In reality, however, as the district court

    noted, plaintiffs' motion actually sought (1) "additional

    relief" not requested at trial or in the amended complaint,

    and (2) evidentiary rulings in Bowers. Because the court
    ______

    acted well within its discretion in denying this relief, we

    cannot agree with plaintiffs that the court erred in denying

    their motion. Because, however, we do agree with plaintiffs

    that the court's denial order evinced a misunderstanding of

    (1) the scope of its powers, and (2) the requirements of

    Title III, we do pause, albeit briefly, to add a few caveats.
    _______

    The decision to grant or deny a Rule 59 motion is

    committed to the wide discretion of the district court and

    must be respected absent abuse. E.g., Fernandez v. Leonard,
    ____ _________ _______

    963 F.2d 459, 468 (1st Cir. 1992). Of course, this

    discretion attaches to a court's decision on whether to allow



    -47-
    47















    a party to argue new material or a new theory under Rule 59.

    See Appeal of Sun Pipe Line Co., 831 F.2d 22, 25 (1st Cir.
    ___ ____________________________

    1987), cert. denied, 486 U.S. 1055 (1988); but see FDIC v.
    _____ ______ ___ ___ ____

    Meyer, 781 F.2d 1260, 1268 (7th Cir. 1986) (motion to alter
    _____

    or amend judgment "cannot be used to raise arguments which
    ______

    could, and should, have been made before the judgment

    issued") (emphasis supplied).

    Here, plaintiffs' Rule 59 motion sought relief not

    requested in their amended complaint. For example,

    plaintiffs asked the court to order, inter alia, (1) that
    _____ ____

    defendants "turn over for seal or destruction every illegal

    tape and transcript, and any record of any sort containing

    any contents of illegal interceptions"; (2) that the Poulos

    defendants and Daniel Lilley and his law firm42 be enjoined

    from further participation in Bowers; (3) that the
    ______

    aforementioned attorneys be prohibited from communicating

    with whatever attorney/s might replace them as counsel in

    Bowers; (4) that the disclosure and/or use of depositions
    ______

    taken by Poulos be enjoined; and (5) that defendants with

    exposure to the intercepted recordings be prohibited from

    testifying in Bowers. In their complaint, however,
    ______

    plaintiffs requested no such relief as an alternative to the

    enjoining of Bowers. Accordingly, insofar as the court
    ______



    ____________________

    42. Mr. Lilley has represented the CAR defendants throughout
    this litigation.

    -48-
    48















    denied plaintiffs' motion because the motion sought

    "additional relief", we cannot say that it abused its

    discretion.43

    Nevertheless, we are concerned about certain dicta

    contained in the district court's order. In the course of

    denying plaintiffs' Rule 59 motion, the court indicated (1)

    that 18 U.S.C. 2515, see supra note 32, and (2) the
    ___ _____

    independent source rule, see supra note 38, would constrain
    ___ _____

    its rulings in Bowers. We think that the court erred in so
    ______

    indicating. First, we wish to emphasize that, as always, the

    court has broad discretion, through discovery orders,

    evidentiary rulings, and the like, in deciding how it will

    manage that trial. See, e.g., Serrano-Perez v. FMC Corp.,
    ___ ____ _____________ _________

    985 F.2d 625, 628 (1st Cir. 1993) (district court has broad

    discretion in managing litigation). However, in Bowers, this
    ______

    discretion must be tempered by the court's obligation,

    flowing from the protections set forth in Title III and the

    Maine act, to ensure that the illegally intercepted material,

    and any evidence derived therefrom, not be disclosed or used

    in that proceeding (other than for the purposes we have

    already approved, see supra section III.B.1.a. of this
    ___ _____

    opinion). In our view, this discretion and concomitant

    obligation will require the court to consider the possibility


    ____________________

    43. Similarly, we cannot say that the court abused its
    discretion in deferring the making of evidentiary rulings in
    Bowers.
    ______

    -49-
    49















    of rulings that go beyond 2515, which is directed solely at

    evidence. For example, in order to guard against the future

    use of the intercepted material, as the term use is generally

    understood, we believe that the court should consider matters

    such as (1) the disqualification of counsel, and (2) the

    prohibition of any communication between any disqualified

    counsel and replacement counsel.

    This leads to our second point. In making its

    rulings, the court should be aware that, as a general rule,

    Fourth Amendment doctrines like the independent source rule

    do not apply in private civil actions implicating Title III.

    As the Supreme Court has stated:

    The purpose of the Fourth Amendment
    is to prevent unreasonable governmental
    intrusions into the privacy of one's
    person, house, papers, or effects. The
    wrong condemned is the unjustified
    governmental invasion of these areas of
    an individual's private life. That wrong
    . . . is fully accomplished by the
    original search without probable cause.

    United States v. Calandra, 414 U.S. 338, 354 (1974) (allowing
    _____________ ________

    a grand jury witness to be asked questions based on evidence

    obtained in violation of Fourth Amendment, because such

    questions "work no new Fourth Amendment wrong").

    Title III, on the other hand, generally proscribes,

    inter alia, the disclosure and/or use of illegally
    _____ ____

    intercepted material. In other words, it prohibits more than
    ____

    just the initial wrongful invasion. See Gelbard, 408 U.S. at
    ___ _______



    -50-
    50















    51-52. Thus, under Title III, the disclosure and/or use of

    information obtained through a wrongful invasion amounts to a

    separate injury prohibited by statute, and makes a person

    subjected to such a disclosure and/or use "a victim, once

    again, of a federal crime." Id. at 52 (ruling that grand
    ___

    jury witness may not be asked questions based on evidence
    ___

    obtained by illegal wiretapping).

    In sum, the court did not abuse its considerable

    discretion in denying plaintiffs' Rule 59 motion. However,

    in making discovery, evidentiary, or other rulings in Bowers,
    ______

    the court should not (1) assume that it is limited to the

    relief set forth in 2515, or (2) assume the applicability

    of judicially developed Fourth Amendment jurisprudence.

    3. Statutory Damages
    3. Statutory Damages
    _____________________

    Plaintiffs' third argument is that the court erred

    in determining that the statutory damages provided for in 18

    U.S.C. 2520(c), see supra note 5, are legal, rather than
    ___ _____

    equitable, in nature. Defendants respond that plaintiffs did


    not preserve this argument for appellate review. We agree

    with defendants that this issue is not properly preserved.

    As noted earlier, see supra note 21, plaintiffs'
    ___ _____

    original complaint sought declaratory and injunctive relief;

    actual, statutory, and punitive damages; and attorneys' fees.

    As the trial date approached, however, plaintiffs apparently

    determined that they did not wish to have a jury hear any



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    51















    portion of this case. Accordingly, they amended their

    complaint so as to drop all but their statutory damages

    claims. Then, in their final pretrial memorandum, plaintiffs

    stated: "If the Court should decide that statutory damages

    are a legal remedy so as to support the Defendants' jury

    demand, then the Allied Plaintiffs will dismiss their claim

    for statutory damages." Subsequently, the court ruled that

    statutory damages are legal in nature. Thus, plaintiffs

    further amended their complaint so as to omit their prayer

    for statutory damages.

    Plaintiffs now seek to resurrect their statutory

    damages claim. This they cannot do. If plaintiffs wished to

    preserve this issue, they should have presented their case

    for statutory damages to a jury. Cf., e.g., Foley v. City of
    ___ ____ _____ _______

    Lowell, 948 F.2d 10, 22 (1st Cir. 1991) ("``It is black letter
    ______

    law that it is a party's first obligation to seek any relief

    that might fairly have been thought available in the district

    court before seeking it on appeal.'") (quoting Beaulieu v.
    ________

    IRS, 865 F.2d 1351, 1352 (1st Cir. 1989)). If they were
    ___

    displeased with the results of the jury's deliberations,

    plaintiffs next could have asked the court to set the jury's

    determination aside. If they still were not satisfied,

    plaintiffs then could have appealed the court's decision to

    commit the statutory damages question to the jury in the

    first instance.



    -52-
    52















    Plaintiffs' approach to this issue, if endorsed,

    would undermine the efficient administration of justice. Had

    plaintiffs presented their claim for statutory damages to a

    jury, and had they received the award they sought (either

    from the jury itself or from the court after a successful

    Rule 50 motion for judgment as a matter of law), the need for

    an appeal on this point would have been obviated. Moreover,

    even if plaintiffs had not received the relief they were

    seeking, the issues underlying the propriety of a statutory

    damage award would have been fully litigated at the same time

    as the other issues animating this litigation. Thus, we

    would have been in a position, on a developed record, either

    to resolve the question ourselves or to remand for what would

    undoubtedly be a less involved process than the one

    plaintiffs now seek.

    In sum, when plaintiffs amended their complaint so

    as to drop their claim for statutory damages, they

    irrevocably waived their right thereto. Accordingly, we need

    not reach the question of whether the court erred when it

    determined, prior to plaintiffs' final amendment, that

    statutory damages under 2520(c) are legal in nature.

    4. Disclosure and Use Violations by the CAR Defendants
    4. Disclosure and Use Violations by the CAR Defendants
    _______________________________________________________

    Finally, in one-half of one page of their fifty-one

    page brief, plaintiffs contend that the district court

    committed legal error in ruling that the CAR defendants did



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    not violate the disclosure and use provisions of Title III

    and the Maine act. The CAR defendants, utilizing just over


    three-quarters of one page of their forty-eight page brief,

    counter that any disclosures and uses on their part took

    place within the confines of the attorney-client

    relationship, and that such fact absolves them from liability

    under the relevant statutory provisions. Plaintiffs, again

    using less than one-half of one page of their forty-eight

    page reply brief, characterize this argument as

    "incomprehensible" and restate their position that the CAR

    defendants committed disclosure and use violations. Neither

    side, at any point, makes reference to any case law,

    statutory authority, or legislative history.

    The issue here adverted to is an interesting one on

    which no federal appeals court has yet spoken: namely, do 18

    U.S.C. 2511(c) and (d) (and, correspondingly, 15 M.R.S.A.

    710(3)(A) and (B)), see supra note 3, which by their terms
    ___ _____

    prohibit the "disclos[ure] . . . to any other person" and the

    "use" of illegally intercepted material, make it a crime to

    disclose and use such material during the course of attorney

    consultations?44 Certainly, reasonable arguments might be


    ____________________

    44. At least one federal judge, recognizing the inherent
    tension between the wording of the statute and the need for
    effective trial preparation, has held that the disclosure of
    the contents of intercepted recordings to counsel, for the
    ___ ___
    purpose of preparing a defense, is not a crime. See McQuade
    _______ __ _________ _ _______ ___ _______
    v. Michael Gassner Mech. & Elec. Contractors, Inc., 587 F.
    _________________________________________________
    Supp. 1183, 1188-89 (D. Conn. 1984) (Cabranes, J.); see also
    ___ ____

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    54















    made on both sides of this question of first impression.

    And, in accordance with our usual practice, we do not wish to

    decide it without the benefit of such argumentation and a

    developed record. Accordingly, we deem the issue to have

    been waived in this instance. See Innamorati, 996 F.2d at
    ___ __________

    468.

    IV.
    IV.
    ___

    CONCLUSION
    CONCLUSION
    __________

    For the reasons herein stated, we affirm the

    district court in all respects. Affirmed. No costs.
    Affirmed. No costs.
    ________ ________


























    ____________________

    Sound Unlimited, Inc. v. Video Shack Inc., 661 F. Supp. 1482,
    _____________________ ________________
    1488 (N.D. Ill. 1987) (alluding to but not deciding issue);
    cf. supra at 37-39 (disclosures and uses for purposes of
    ___ _____
    adjudication not banned by Title III).


    -55-
    55







Document Info

Docket Number: 93-1366

Filed Date: 12/14/1993

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (38)

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Whitmore Ex Rel. Simmons v. Arkansas , 110 S. Ct. 1717 ( 1990 )

Francesco G. Campiti v. Michael A. Walonis , 58 A.L.R. Fed. 579 ( 1979 )

Sound Video Unlimited, Inc. v. Video Shack Inc. , 661 F. Supp. 1482 ( 1987 )

United States v. Abel A. Mariano, Jr., United States of ... , 983 F.2d 1150 ( 1993 )

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Janet A. Beaulieu v. United States of America, Internal ... , 865 F.2d 1351 ( 1989 )

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United States v. Alvaro Julio Echavarria-Olarte , 904 F.2d 1391 ( 1990 )

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