Whitehouse v. USDC for RI ( 1995 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 94-1776

    SHELDON WHITEHOUSE, IN HIS OFFICIAL CAPACITY
    AS UNITED STATES ATTORNEY FOR THE DISTRICT
    OF RHODE ISLAND, ET AL.,
    Plaintiffs - Appellees,

    v.

    UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF RHODE ISLAND, ET AL.,
    Defendants - Appellants.

    ____________________

    No. 94-1777

    SHELDON WHITEHOUSE, IN HIS OFFICIAL CAPACITY
    AS UNITED STATES ATTORNEY FOR THE DISTRICT
    OF RHODE ISLAND, ET AL.,
    Plaintiffs - Appellees,

    v.

    SUPREME COURT OF RHODE ISLAND, ACTING CHIEF JUSTICE
    JOSEPH R. WEISBERGER, FLORENCE K. MURRAY, DONALD F. SHEA,
    VICTORIA LEDERBERG AND DAVID D. CURTAIN,
    AS ACTING CHIEF DISCIPLINARY COUNSEL, ET AL.
    Defendants - Appellants.

    ____________________

    No. 94-1889

    SHELDON WHITEHOUSE, IN HIS OFFICIAL CAPACITY
    AS UNITED STATES ATTORNEY FOR THE DISTRICT
    OF RHODE ISLAND, ET AL.,
    Plaintiffs - Appellants,

    v.

    UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF RHODE ISLAND, ET AL.,
    Defendants - Appellees.

    ____________________












    APPEALS FROM THE UNITED STATES DISTRICT COURT


    FOR THE DISTRICT OF NEW HAMPSHIRE

    [Hon. Paul J. Barbadoro, U.S. District Judge] ___________________

    ____________________

    Before

    Torruella, Chief Judge, ___________

    Bownes, Senior Circuit Judge, ____________________

    and Cyr, Circuit Judge. _____________

    _____________________

    Warren C. Nighswander, with whom Sulloway & Hollis was on ______________________ _________________
    brief for appellants U.S. District Court for the District of
    Rhode Island, et al.
    John F. Dolan, with whom Elizabeth F. Sullivan and Rice ______________ ______________________ ____
    Dolan & Kershaw were on brief for appellants Supreme Court of _______________
    Rhode Island, et al.
    Lauren E. Jones and Jones Associates on brief for American _______________ ________________
    Civil Liberties Union, Rhode Island Affiliate, National
    Association of Criminal Defense Attorneys and Rhode Island
    Association of Criminal Defense Attorneys, amici curiae.
    S. Michael Levin, Mark W. Freel, Melissa D. Famiglietti and ________________ ______________ ______________________
    Edwards & Angell on brief for the Rhode Island Bar Association, ________________
    amicus curiae.
    Margaret E. Curran, Assistant United States Attorney, with __________________
    whom Craig N. Moore, Assistant United States Attorney, and Sara ______________ ____
    Criscitelli, U.S. Department of Justice, were on brief for ___________
    appellees.



    ____________________

    April 20, 1995
    ____________________










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    TORRUELLA, Chief Judge. The main question for decision TORRUELLA, Chief Judge ___________

    is whether a United States District Court has the power to adopt

    a local rule that requires federal prosecutors to obtain judicial

    approval before they serve a subpoena on an attorney to compel

    evidence concerning a client. The United States District Court

    for New Hampshire held that the federal district court in Rhode

    Island has the power to adopt such a rule with respect to trial

    subpoenas, but does not have the power to do so with respect to

    grand jury subpoenas. For the reasons stated herein, we conclude

    that the United States District Court for Rhode Island has the

    power to adopt the local rule in question, both with respect to

    trial and grand jury subpoenas. We therefore affirm in part and

    reverse in part.

    BACKGROUND BACKGROUND

    To fully appreciate the important interests at stake in

    this case, it is necessary briefly to review some of the recent

    history leading to this lawsuit.

    I. Attorney-Subpoenas I. Attorney-Subpoenas __________________

    Until recently, federal prosecutors rarely subpoenaed

    attorneys to compel testimony relating to their clients. This

    practice changed in the 1980s as the federal government stepped

    up its fight against organized crime and narcotics trafficking.

    Most significantly, Congress passed several new federal statutes

    which, in the eyes of federal prosecutors, make attorneys fertile

    ground for eliciting incriminating information about the targets




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    of federal investigations and prosecutions.1

    Because service of a subpoena on an attorney implicates

    the attorney-client relationship, and thus raises ethical issues

    for prosecutors, the United States Department of Justice issued

    guidelines for federal prosecutors seeking to subpoena an

    attorney. See Executive Office for the United States Attorneys, ___

    Department of Justice, United States Attorneys' Manual 9-

    ____________________

    1 See generally Federal Prosecutorial Authority in a Changing _____________ _______________________________________________
    Legal Environment: More Attention Required, H.R. Rep. No. 986, ____________________________________________
    101st Cong., 2d Sess. 31 (1990) (chronicling the increased use of
    attorney subpoenas); Roger C. Cramton, Lisa K. Udell, State _____
    Ethics Rules and Federal Prosecutors: The Controversies over the _________________________________________________________________
    Anti-Contact and Subpoena Rules, 53 U. Pitt. L. Rev. 357, 362-69 ________________________________
    (1992) (same).

    New federal laws with implications for the attorney-client
    relationship include: the Racketeer Influenced and Corrupt
    Organizations Act, 18 U.S.C. 1961-68 (1988); the Continuing
    Criminal Enterprise Act, 21 U.S.C. 848 (1988) (evidence that
    legal representation was provided by a benefactor, for
    participation in a criminal enterprise, relevant to prove
    existence of criminal enterprise); the Comprehensive Forfeiture
    Act of 1984, Pub. L. No. 98-473, 98 Stat. 2040 (codified as
    amended at 18 U.S.C. 1961-68 (1988) and 21 U.S.C. 853, 881
    (1988)) ("relation back" provision allowing government to seize
    assets intended for, or paid to, lawyer as legal fees); the Tax
    Reform Act of 1984, Pub. L. No. 98-369, 98 Stat. 494 (codified at
    26 U.S.C. 60501 (1988)) (attorneys required to report
    identities of clients who pay fees with cash payments in excess
    of $10,000); and Money Laundering Control Act of 1986, 100 Stat.
    3207-18 (codified as amended at 18 U.S.C. 1956-57 (1988))
    (criminalizing certain monetary transactions involving knowing
    use of funds derived from an illicit source).

    Prosecutors generally subpoena attorneys under these new laws
    to elicit evidence with respect to fee arrangements and client
    identity. See, e.g., In re Grand Jury Subpoena for Attorney ___ ____ _________________________________________
    Representing Criminal Defendant Reyes-Requena, 913 F.2d 1118 (5th _____________________________________________
    Cir. 1990) (benefactor payments), cert. denied, 111 S. Ct. 1581 ____________
    (1991); In re Grand Jury Subpoenas (Anderson), 906 F.2d 1485 ________________________________________
    (10th Cir. 1990) (same); In re Grand Jury Subpoena Served Upon _______________________________________
    Doe (Slotnick), 781 F.2d 238 (2d Cir. 1985) (same), cert. denied _______________ ____________
    sub nom. Roe v. United States, 475 U.S. 1108 (1986). ________ ___ _____________

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    2.161(a) (1985).2 In addition, the American Bar Association

    (the "ABA") adopted an amendment to its Model Rules of

    Professional Conduct creating an ethical prohibition against

    subpoenaing a lawyer/witness without a showing of need, an

    adversary hearing, and prior judicial approval. See Model Rules ___

    of Professional Conduct Rule 3.8(f), reprinted in 6 Laws. Man. on ____________

    Prof. Conduct (ABA/BNA) 25, 26 (Feb. 28, 1990). The instances of

    federal prosecutors subpoenaing attorneys to compel evidence

    regarding theirclients have, nevertheless, continuedto increase.3
    ____________________

    2 The guidelines require federal prosecutors to obtain the
    approval of the Assistant Attorney General in charge of the
    Criminal Division prior to issuing a subpoena on counsel. Before
    approving a subpoena to an attorney, the Assistant Attorney
    General must find that the information is necessary for an
    investigation or prosecution, unavailable from other sources, not
    protected by privilege, that the subpoena is narrowly drawn, and
    that the need for the information outweighs any potential adverse
    effects on the attorney-client relationship. Id. __

    3 In the first year that the Department of Justice Guidelines
    were in effect, July 18, 1985 to July 31, 1986, the Department
    approved 411 attorney subpoenas, an average of 33 per month. In
    the period from March 1987 through October 1987, the Department
    rejected only ten requests for attorney subpoenas, slightly more
    than one per month. Max D. Stern & David Hoffman, Privileged __________
    Informers: The Attorney Subpoena Problem and a Proposal for _________________________________________________________________
    Reform, U. Pa. L. Rev. 1783, 1818 n.176 (1988) (citing Justice ______
    Department statistics). In addition, according to Department of
    Justice statistics, from October 1, 1987 through September 30,
    1988, the Department received 363 requests from federal
    prosecutors to subpoena 523 attorneys, of which 278 subpoenas
    were for grand jury proceedings and 85 for trial. From October
    1, 1988 through September 30, 1989, the Department received 410
    requests from federal prosecutors to subpoena 649 attorneys, of
    which 321 subpoenas were for grand jury proceedings and 89 for
    trial. Exercise of Federal Prosecutorial Authority in a Changing _________________________________________________________
    Legal Environment, 1990: Hearing Before the Subcomm. on _________________________________________________________________
    Government Information, Justice and Agriculture, of the House _________________________________________________________________
    Comm. on Government Operations, 101st Cong., 2d Sess. 408 (1990) ______________________________
    (Appendix 2), cited in Andrea F. McKenna, A Prosecutor's _________ _______________
    Reconsideration of Rule 3.10, 53 U. Pitt. L. Rev. 489, 491 n.5 _____________________________
    (1992). See also United States v. Klubock, 832 F.2d 649, 658 ________ _____________ _______

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    II. The Present Litigation II. The Present Litigation ______________________

    In January 1984, the Rhode Island Supreme Court

    established the Committee to Study the Rules of Professional

    Conduct (the "Rules Committee") to study and provide

    recommendations regarding whether Rhode Island should adopt the

    ABA's Model Rules of Professional Conduct. In February 1987, the

    Rules Committee published a list of proposed rules and solicited

    comment from all members of the Rhode Island Bar. The Rhode

    Island Supreme Court later held a public hearing and received

    additional comments on the proposed rules. On November 1, 1988,

    the Rhode Island Supreme Court adopted the proposed Rules of

    Professional Conduct as an amendment to Rhode Island Supreme

    Court Rule 47. Among the rules adopted was Rule 3.8(f), which

    provides:

    Rule 3.8. Special Responsibilities of a Rule 3.8. Special Responsibilities of a
    Prosecutor. The prosecutor in a criminal Prosecutor.
    case shall:

    * * *

    (f) not, without prior judicial
    approval, subpoena a lawyer for the
    purpose of compelling the lawyer to
    provide evidence concerning a person who
    is or was represented by the lawyer when
    such evidence was obtained as a result of
    the attorney-client relationship.

    On April 20, 1989, the United States District Court for Rhode

    Island issued an order incorporating the Rhode Island Rules of
    ____________________

    (1st Cir. 1986) (noting that, in the District of Massachusetts
    alone, from 50 to 100 attorney subpoenas per year were served by
    federal prosecutors from 1983 to 1986), vacated, 832 F.2d 664 _______
    (1st Cir. 1987) (en banc by an equally divided court).


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    Professional Conduct, including Rule 3.8(f), into its local rules

    (federal rule hereinafter referred to as "Local Rule 3.8(f)").4

    On August 2, 1991, the United States Attorney for Rhode

    Island petitioned the Rhode Island Supreme Court requesting that

    the court amend the state rule to waive its application to

    federal prosecutors practicing before Rhode Island's federal

    courts. The state court invited briefs from the United States

    Attorney and interested members of the Rhode Island Bar and,

    after a hearing, denied the petition to amend. The United States

    Attorney then wrote to the United States District Court for Rhode

    Island requesting that it exempt federal prosecutors from Local

    Rule 3.8(f). When the district court denied that request, the

    United States Attorney petitioned this court for a writ of

    mandamus requiring the district court to exempt federal

    prosecutors from the local rule. We dismissed the petition,

    stating that "the proper method for mounting a facial challenge

    to the validity of [Local] Rule 3.8(f) . . . is through an action

    for declaratory and/or injunctive relief filed in the district

    ____________________

    4 Several states, in addition to Rhode Island, adopted
    variations of the ABA's Model Rule. See, e.g., Mass. Sup. Jud. ___ ____
    Ct. Rule 3:08, PF 15 (adopted by United States District Court for
    Massachusetts), Tenn. Ct. C.P.R. & DR 7-103(C); N.H. R.P.C. 4.5;
    Va. Sup. Ct. R. 3A:12(a) (adopted as procedural rather than
    ethical rule); and Pa. Rule of Prof. Conduct 3:10. New York,
    Illinois and the District of Columbia considered and rejected the
    rule. See 6 Laws. Man. on Prof. Conduct (ABA/BNA) 28, 29, 53, ___
    55, 172, 175. Pennsylvania's rule, which pertained only to grand
    jury subpoenas, was struck down by the United States Court of
    Appeals for the Third Circuit as beyond the court's rule-making
    power. Baylson v. Disciplinary Board of the Supreme Court of _______ _____________________________________________
    Pennsylvania, 975 F.2d 102 (3d Cir. 1992), cert. denied, 113 S. ____________ ____________
    Ct. 1578 (1993).

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    court."

    The United States Attorney, and two of his assistants

    (the "plaintiffs"), then commenced the instant action against the

    United States District Court for Rhode Island and its sitting

    judges (collectively, the "federal defendants"), the Rhode Island

    Supreme Court and its sitting justices, and Rhode Island's Chief

    Disciplinary Counsel (collectively, the "state defendants"),

    seeking declaratory and injunctive relief to prevent the

    defendants from enforcing the state or federal versions of Rule

    3.8(f) against federal prosecutors practicing in Rhode Island's

    federal courts.5

    Upon cross motions for summary judgment, the district

    court struck down Local Rule 3.8(f) as applied to grand jury

    subpoenas but upheld the rule as applied to trial subpoenas. The

    district court 1) granted plaintiffs' motion for summary judgment

    in part, holding Local Rule 3.8(f) invalid as applied to grand

    jury subpoenas because it exceeds the federal district court's

    limited rule-making power; 2) held that the state version of Rule

    3.8(f) cannot be applied to federal prosecutors at the grand jury

    stage without violating the Supremacy Clause of the United States

    Constitution; and 3) granted the federal defendants' motion for

    summary judgment in part, holding Local Rule 3.8(f) as applied to

    trial subpoenas within the district court's rule-making

    authority. Almond v. U.S. Dist. Court for Dist. of R.I., 852 F. ______ ___________________________________
    ____________________

    5 The case was originally brought in the United States District
    Court for Rhode Island, and subsequently transferred to the
    United States District Court for New Hampshire.

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    Supp. 78 (D.N.H. 1994). These cross-appeals followed.




















































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    STANDARD OF REVIEW STANDARD OF REVIEW

    The material facts are undisputed. We review de novo __ ____

    the district court's rulings of law made in connection with a

    summary judgment motion. See LeBlanc v. Great Am. Ins. Co., 6 ___ _______ ___________________

    F.3d 836, 841 (1st Cir. 1993), cert. denied, __ U.S. __, 114 S. ____________

    Ct. 1398, 128 L.Ed.2d 72 (1994).

    DISCUSSION DISCUSSION

    We addressed the nearly identical issues presented in

    this case previously in United States v. Klubock, 832 F.2d 649, _____________ _______

    653-54 (1st Cir. 1986) ("Klubock I"), vacated, 832 F.2d 664 (1st _________ _______

    Cir. 1987) (en banc by an equally divided court) ("Klubock II"). __________

    In Klubock I, we held that the United States District Court for _________

    Massachusetts has the power to adopt an ethical rule ("PF 15")

    similar to the Rhode Island rule at issue in this case. The

    original panel opinion in Klubock I was withdrawn, however, when _________

    we accepted a petition for rehearing en banc. Upon rehearing en __ ____ __

    banc, the full court split three-to-three, therefore affirming, ____

    by an equally divided court, the district court decision

    upholding the ethical rule in question. United States v. ______________

    Klubock, 832 F.2d 664 (1st Cir. 1987), aff'g by equally divided _______ _________________________

    court, 639 F. Supp. 117 (D.Mass. 1986).6 Neither Klubock I nor _____ _________

    Klubock II are controlling precedent, although the reasoning of __________

    both decisions remains of potential persuasive authority. See ___

    Trans World Airlines v. Hardison, 432 U.S. 63, 73 n.8 (1977). ____________________ ________
    ____________________

    6 For a discussion of how PF 15 has fared in Massachusetts, see ___
    generally David Hoffman et al., Attorney Subpoenas and _________ _________________________
    Massachusetts Rule PF 15, 95 Mass. L. Rev. (Summer 1989). ________________________

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    See also Charles A. Wright, The Law of Federal Courts 758 (4th ________ __________________________

    ed. 1983).

    In Klubock I, we recognized the ethical and legal __________

    implications of prosecutors subpoenaing attorneys for the purpose

    of compelling evidence concerning their clients. We noted that

    the serving of a grand jury subpoena on an attorney to compel

    evidence concerning a client may: 1) chill the relationship

    between lawyer and client; 2) create an immediate conflict of

    interest for the attorney/witness; 3) divert the attorney's time

    and resources away from his client; 4) discourage attorneys from

    providing representation in controversial criminal cases; and 5)

    force attorneys to withdraw as counsel because of ethical rules

    prohibiting an attorney from testifying against his client.7 We

    also noted the potential for abusive use of the attorney-

    subpoena. Klubock I, 832 F.2d at 653-54. See also In re Grand _________ ________ ___________

    Jury Matters (Hodes and Gordon), 593 F. Supp. 103, 106 (D.N.H.) ________________________________

    (quashing subpoenas and characterizing actions of U.S. Attorney

    in serving subpoenas on counsel as "without doubt harassing"),

    aff'd, 751 F.2d 13 (1st Cir. 1984). Other courts have _____

    acknowledged similar concerns. See, e.g., In re Special Grand ___ ____ ____________________

    Jury No. 81-1, 676 F.2d 1005, 1009 (4th Cir. 1982) (issuance of _____________

    ____________________

    7 See, e.g., Model Code of Professional Responsibility DR 5- ___ ____
    101(B), DR 5-102 (1980); Model Rules of Professional Conduct Rule
    3.7(a) (1987) (prohibiting lawyer from acting as both advocate
    and witness whenever "the lawyer is likely to be a necessary
    witness"). See also United States v. Diozzi, 807 F.2d 10, 12-13 ________ _____________ ______
    (1st Cir. 1986) ("[A]ttorneys [can]not serve the dual roles of
    defense counsel and sworn government witnesses in the same
    trial.").

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    subpoena may cause client to distrust attorney and terminate

    relationship), rev'd on other grounds, 697 F.2d 112 (4th Cir. ________________________

    1982) (en banc).8

    The central question on appeal in this case is whether

    the United States District Court for Rhode Island has the power

    to adopt a local rule that requires a federal prosecutor, at

    either the grand jury or trial stage, to obtain judicial approval

    before serving a subpoena on counsel to compel evidence

    concerning a client. We conclude that the federal district court

    has the power to adopt such a rule.

    I. The District Court's Rule-Making Authority I. The District Court's Rule-Making Authority __________________________________________

    The authority of the United States District Courts to

    adopt or promulgate rules emanates from three sources. First,

    Congress has vested the Supreme Court with the authority to
    ____________________

    8 In United States v. Perry, 857 F.2d 1346, 1347 (9th Cir. _____________ _____
    1988), the Ninth Circuit noted that the government's increasing
    use of grand jury subpoenas on a target's counsel

    has been almost universally criticized by
    courts, commentators and the defense bar
    because it is viewed as a tool of
    prosecutorial abuse and as an unethical
    tactical device US Attorneys employ to go
    on a "fishing expedition" with legal
    counsel without first pursuing
    alternative avenues to get the
    information. Many feel, and with some
    justification, that whatever benefit the
    government derives from this practice
    comes at the direct expense of the
    attorney-client relationship. Among the
    perceived costs, for example, are the
    potential loss of a client's choice of
    counsel should the latter be compelled to
    testify at the trial and the chilling
    effect upon the client's trust in his
    counsel's loyalty.

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    prescribe rules of practice and procedure for the federal courts.

    28 U.S.C. 2072(a). Pursuant to that authority, the Supreme

    Court has adopted Federal Rule of Criminal Procedure 57 ("Rule

    57"), which provides that each district court may from time to

    time make or amend rules governing its practice, provided the

    rules are consistent with the Federal Rules of Criminal

    Procedure.9 See also Fed. R. Civ. P. 83 (civil analogue). _________

    Second, Congress has vested federal district and circuit courts

    with the independent authority to prescribe local rules of

    practice consistent with Acts of Congress and the rules of

    practice and procedure promulgated by the Supreme Court. 28

    U.S.C. 2071(a).10 Finally, the Supreme Court has long
    ____________________

    9 Rule 57 of the Federal Rules of Criminal Procedure provides in
    pertinent part:

    Each district court by action of a
    majority of the judges thereof may from
    time to time, after giving appropriate
    public notice and an opportunity to
    comment, make and amend rules governing
    its practice not inconsistent with these
    rules. . . . In all cases not provided
    for by rule, the district judges and
    magistrate judges may regulate their
    practice in any manner not inconsistent
    with these rules or those of the district
    in which they act.

    10 28 U.S.C. 2071(a) states:

    The Supreme Court and all courts
    established by Act of Congress may from
    time to time prescribe rules for the __________________________
    conduct of their business. Such rules ___________________________
    shall be consistent with Acts of Congress
    and rules of practice and procedure
    prescribed by the Supreme Court.

    (emphasis added).

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    recognized that district courts have certain inherent rule-making

    powers arising from the nature of the judicial process. See ___

    Chambers v. NASCO, Inc., 501 U.S. 32, 43 (1991); Link v. Wabash ________ ___________ ____ ______

    Railroad Co., 370 U.S. 626 (1962); United States v. Hudson, 11 _____________ _____________ ______

    U.S. (7 Cranch) 32, 34, 3 L.Ed. 259 (1812) ("Certain implied

    powers must necessarily result to our Courts of justice from the

    nature of their institution.").

    Consistent with these principles, the Supreme Court has

    upheld the authority of district courts to promulgate local rules

    unless 1) the rule conflicts with an Act of Congress; 2) the rule

    conflicts with the Federal Rules of Criminal Procedure; 3) the

    rule is constitutionally infirm; or 4) the subject matter

    governed by the rule is not within the power of the district

    court to regulate. See Frazier v. Heebe, 482 U.S. 641, 654 ___ _______ _____

    (1986) (Rehnquist, C.J., dissenting) (citing Colgrove v. Battin, ________ ______

    413 U.S. 149, 159-60, 162-64 (1973); Miner v. Atlass, 363 U.S. _____ ______

    641, 651-52 (1960); Story v. Livingston, 13 Pet. 359, 368 _____ __________

    (1839)). In addition, the Supreme Court has struck down a local

    rule which it deemed "unnecessary and irrational." Id. at 646 __

    (majority opinion). It follows that Local Rules are

    presumptively valid unless they contravene one of the five

    principles mentioned above.

    Plaintiffs argue that Local Rule 3.8(f) is invalid, as

    applied to grand jury subpoenas, because it regulates a subject

    matter which is beyond the rule-making authority of the district

    court. In addition, plaintiffs contend that the Rule is invalid,


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    both as applied to grand jury and trial subpoenas, because it

    conflicts with Rules 17 and 57 of the Federal Rules of Criminal

    Procedure. We begin by addressing Local Rule 3.8(f) as it

    applies to grand jury subpoenas.

    Other than our two opinions in Klubock, the Third _______

    Circuit is the only federal appeals court to address whether a

    federal district court has the power to adopt a local ethical

    rule providing for pre-service, judicial screening of attorney-

    subpoenas. In Baylson v. Disciplinary Board of the Supreme Court _______ _______________________________________

    of Pennsylvania, 975 F.2d 102 (3d Cir. 1992), cert. denied, 113 _______________ _____________

    S. Ct. 1578 (1993), the Third Circuit struck down a local rule

    similar to the one in this case on the grounds that it conflicted

    with both Rules 17 and 57 of the Federal Rules of Criminal

    Procedure. The court did not address the question, however, of

    whether the local rule regulates a subject matter beyond the

    district court's rule-making authority. It is upon this latter

    ground that the district court in this case struck down Local

    Rule 3.8(f) as applied to grand jury subpoenas. We address this

    issue first.

    II. Power of District Court to Regulate Grand Jury Subpoenas II. Power of District Court to Regulate Grand Jury Subpoenas ________________________________________________________

    A federal court has the "inherent power . . . to

    control admission to its bar and to discipline attorneys who

    appear before it." Chambers, 501 U.S. at 43 (citing Ex parte ________ ________

    Burr, 9 Wheat. 529, 531 (1824)). See also Culebras Enterprises ____ ________ ____________________

    Corp. v. Rivera-R os, 846 F.2d 94, 97 (1st Cir. 1988) ("[i]t is _____ ___________

    well settled in this circuit that the district court has the duty


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    and responsibility to supervise the conduct of attorneys who

    appear before it") (citations omitted); United States v. Claros, _____________ ______

    17 F.3d 1041, 1046-47 (7th Cir. 1994); Eash v. Riggins Trucking ____ ________________

    Inc., 757 F.2d 557, 569 (3d Cir. 1985). The Supreme Court has ____

    implied that the power to regulate the conduct of attorneys

    derives also from statutory authority. See Frazier, 482 U.S. at ___ _______

    645 (district court has "discretion to adopt local rules that are

    necessary to carry out the conduct of its business [and this

    authority] includes the regulation of admissions to its own bar")

    (citing 28 U.S.C. 1654, 2071; Fed. R. Civ. P. 83). See also _________

    Greer's Refuse Serv., Inc. v. Browning-Ferris Indus., 843 F.2d ___________________________ ______________________

    443, 446 (11th Cir. 1988) ("federal courts have clear statutory

    authority to promulgate rules governing the admission and conduct

    of the attorneys who practice before them").

    Whether considered statutory or inherent in derivation,

    we have little difficulty concluding that the greater power of

    disbarring attorneys for unethical behavior necessarily includes

    the lesser power of erecting reasonable prophylactic rules to

    regulate perceived abuses by attorneys appearing before the

    court. Cf. Chambers, 501 U.S. at 45 (power to dismiss lawsuit __ ________

    for conduct abusing judicial process includes the "less severe

    sanction" of imposing attorney's fees). The question remains,

    however, whether, considering the special role assigned the grand

    jury in our justice system, Local Rule 3.8(f) regulates a subject

    matter beyond the district court's rule-making authority.

    A. The Special Role of the Grand Jury A. The Special Role of the Grand Jury __________________________________


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    The grand jury occupies a unique place in our justice

    system. It is not assigned by the Constitution to any of the

    three branches of government, and therefore acts independently of

    each. The Supreme Court has explained: "[T]he whole theory of

    the [grand jury's] function is that it belongs to no branch of

    the institutional government, serving as a kind of buffer or

    referee between the Government and the people." United States v. _____________

    Williams, __ U.S. __, 112 S. Ct. 1735, 1742 (1992). The grand ________

    jury's "specialness" is manifested in five ways pertinent to this

    case: 1) its independence from the court's supervision; 2) its

    broad investigative powers; 3) the presumption of validity

    accorded its subpoenas; 4) the secrecy of its proceedings; and 5)

    its general freedom from procedural detours and delays. See id. ___ __

    (citations omitted); United States v. R. Enterprises, 498 U.S. _____________ ______________

    292, 298-301 (1991) (citations omitted).

    Plaintiffs maintain that Local Rule 3.8(f)

    impermissibly interferes with these five special attributes of

    the grand jury. They contend that Local Rule 3.8(f), therefore,

    regulates a subject matter beyond the district court's rule-

    making authority because it "directly contravenes the central

    principles underlying the essential role and function of the

    grand jury in the federal criminal justice system." The district

    court agreed, holding that "the district court cannot enforce

    Local Rule 3.8(f) because it assumes a power that the court does

    not have -- the power to fundamentally alter the historic

    relationship between the grand jury and its constituting court."


    -17-












    Almond, 852 F. Supp. at 86 (citing Williams, 112 S. Ct. at 1744). ______ ________



    We disagree with the district court for three reasons.

    First, Local Rule 3.8(f) is a prophylactic rule aimed at, and

    principally affecting, prosecutors, not the grand jury. As such, ___________

    the Rule regulates the conduct of attorneys appearing before the

    court -- a power well within the limits of a federal district

    court's rule-making authority -- and not the grand jury per se. ___ __

    Second, we think the district court's reliance on Williams is ________

    misplaced. Finally, any incidental effect the Rule has on the

    grand jury is minimal, and outweighed by the important interests

    served by the rule.

    B. Effect of Local Rule on Grand Jury Functions B. Effect of Local Rule on Grand Jury Functions ____________________________________________

    Local Rule 3.8(f) does not impede the grand jury's

    independence because it does not affect subpoenas sought by the

    grand jury acting independently. The plain language of the Rule

    demonstrates that it applies to "[t]he prosecutor in a criminal

    case." As we pointed out in Klubock I, concerning a virtually _________

    identical ethical rule:

    PF 15 is not aimed at grand jury action. __________
    It deals solely with prosecutorial
    conduct in the prosecutor's capacity as a
    member of the bar. If, in fact, a grand
    jury acting independently of any
    prosecutorial influence issues a subpoena
    against an attorney/witness, the
    attorney/witness must honor it, or move
    to quash the subpoena in an appropriate
    manner. Such independent action by a
    grand jury has no relevance to PF 15
    because none of the ethical concerns
    previously mentioned are implicated.


    -18-












    Klubock I, 832 F.2d at 658. The distinction is critical because, _________

    although the potential damage to the attorney-client relationship

    exists regardless of who seeks the subpoena, the attorney-to-

    attorney ethical concerns that the Rule was designed to mitigate _______

    are not implicated when the grand jury, acting independently,

    seeks to subpoena counsel.11 The Rule, as written, acts only

    as a prophylactic aimed at perceived deleterious action by one

    litigating attorney against opposing counsel.

    Nor does the Rule affect the grand jury's broad

    investigative powers -- often described as the grand jury's

    "right to every man's evidence." Branzburg v. Hayes, 408 U.S. _________ _____

    665, 688 (1972). First and foremost, the Rule makes no change in

    substantive law. It merely authorizes district courts to reject

    a prosecutor's attorney-subpoena application for the traditional

    reasons justifying the quashing of a subpoena -- that is, the

    subpoena request would be denied if the evidence sought is

    protected by a constitutional, common-law, or statutory

    privilege, or, the court determines that compliance with the

    subpoena would be "unreasonable or oppressive." See id. ___ __

    (citations omitted); In re Grand Jury Matters, 751 F.2d at 17-18 ________________________



    ____________________

    11 We have noted that, although they are issued under the
    district court's name and for the grand jury, "[t]hese subpoenas
    are 'in fact almost universally instrumentalities of the United
    States Attorney's office or some other department of the
    executive branch.'" In re Grand Jury Matters, 751 F.2d at 16 __________________________
    (quoting In re Grand Jury Proceedings (Schofield), 486 F.2d 85, _________________________________________
    90 (3d Cir. 1973)). See also In re Grand Jury Subpoena: Subpoena ________ ___________________________________
    Duces Tecum, 829 F.2d 1291, 1296-97 (4th Cir. 1987). ___________

    -19-












    (Fed. R. Crim. P. 17(c)).12 Local Rule 3.8(f) does not keep

    any evidence from reaching the grand jury which would not

    potentially have been kept from it anyway. Therefore, it does

    not disturb the grand jury's broad investigative powers.13

    In effect, Local Rule 3.8(f) merely changes the timing

    with respect to motions to quash in recognition of the fact that

    service itself of an attorney-subpoena seeking to compel evidence

    concerning a client may cause irreparable damage to the attorney-

    client relationship. See Klubock I, 832 F.2d at 653 ("The ___ _________

    serving of a subpoena under such circumstances will immediately

    drive a chilling wedge between the attorney/witness and his

    client."). From the moment that the subpoena is served on

    counsel, until the issue of its validity is resolved, the client

    resides in a state of suspended animation, not knowing whether

    his attorney will testify against him and perhaps be required to

    withdraw his representation. The uncertainty is heightened by
    ____________________

    12 To the extent that the Comment to Local Rule 3.8(f), see
    Appendix A, suggests a broader basis for rejecting a subpoena
    application, we point out that the Comment cannot substantively
    change the text of the Rule. Indeed, the Rhode Island Rules of
    Professional Conduct provide that the "Comments do not add
    obligations to the Rules but provide guidance for practicing in
    compliance with the Rules." The Rhode Island Supreme Court Rules
    also provide that "the Comments are intended for interpretation,
    but the text of each Rule is authoritative." Rhode Island
    Supreme Court Rule 47. Moreover, federal district courts cannot
    effect substantive changes in the law through local rulemaking.
    We presume that district court judges will apply Local Rule
    3.8(f) consistently with both its text and applicable law.
    Plaintiffs' speculative arguments with respect to how particular
    judges might apply the Comment to the Rule are, at this point,
    irrelevant.

    13 For similar reasons, Local Rule 3.8(f) does not affect the
    presumed validity of grand jury subpoenas.

    -20-












    the fact that the common law of attorney-client privilege is

    still evolving to address the concerns implicated by new federal

    laws relating to client identity and fee arrangements. Compare _______

    United States v. Gertner, 1995 WL 32020 (D.Mass.) (in case of _____________ _______

    first impression in this circuit, holding that identification of

    attorney's client, as required by 26 U.S.C. 6050I, is protected

    from disclosure by attorney-client privilege) with United States ____ _____________

    v. Goldberger & Dubin, P.C., 935 F.2d 501, 505 (2d Cir. 1991) _________________________

    (holding that the information is not protected by attorney-client

    privilege). In addition, service of a subpoena opens a second

    front which counsel must defend with her time and resources, thus

    diverting both from the client. That the defense counsel's

    adversary can bring about these consequences raises manifest _________

    ethical concerns, properly addressed by a rule directed at

    regulating the attorney-to-attorney relationship.

    We also reject plaintiffs' argument that Local Rule

    3.8(f) contravenes the historic "secrecy" of grand jury

    investigations. Nothing in the text of the Rule prohibits the

    filing of attorney-subpoena applications to the court under seal

    or in camera. Nor does the Rule prohibit the court from holding __________

    an ex parte, in camera hearing. District courts routinely use in __ _____ _________ __

    camera procedures to maintain grand jury secrecy in the context ______

    of post-service motions to quash. See R. Enterprises, Inc., 498 ___ ____________________

    U.S. at 302. Moreover, because the grounds upon which a district

    court may reject an attorney-subpoena application mirror those

    for quashing a subpoena, the prosecutor will be required to


    -21-












    divulge no more information with respect to the grand jury's

    investigation than it would in responding to a motion to quash.14

    Finally, there is nothing in the text of Local Rule

    3.8(f) which would subject the grand jury to unusual procedural

    delays or detours. As noted, the Rule only affects subpoenas

    sought by prosecutors for use at the grand jury proceeding. It

    is not applicable to subpoenas sought by a grand jury acting

    independently. It therefore will not usually have any delaying

    effect on the grand jury's investigation. Furthermore, any

    procedural delay or detour which does result would be minimal --

    presumably no greater than that caused by a traditional motion to

    quash a subpoena issued at the grand jury stage. As explained

    below, we think any minimal delay is outweighed by the benefits

    of the Rule.

    We made many of these points in Klubock I. In striking _________

    down the ethical rule in this case, however, the district court

    reasoned that the Supreme Court's recent decision in Williams, ________

    112 S. Ct. 1735, negates any persuasive authority Klubock I has __________

    with respect to grand jury subpoenas.

    C. United States v. Williams C. United States v. Williams _________________________
    ____________________

    14 Plaintiffs argue that the secrecy of grand jury proceedings
    will be compromised because the Comment to Rule 3.8(f) states
    that judicial approval should be granted or denied after an
    "adversarial hearing." As we have noted, the Comment to the Rule
    is merely a non-binding guideline. Supra n.12. District court _____
    judges will determine, based on their experience and professional
    judgment, the best way to comply with the Rule and maintain grand
    jury secrecy. In some cases an in camera adversarial hearing __________
    might be appropriate and in others it might not. This, of
    course, is the kind of decision district court judges routinely
    make in the exercise of their discretion.

    -22-












    Williams held that a district court does not have the ________

    power to dismiss an otherwise valid indictment because the

    government failed to disclose substantial exculpatory evidence to

    the grand jury. In doing so, the Court announced the following

    principles, upon which the district court relied in striking down

    Local Rule 3.8(f) as applied to grand jury subpoenas.

    These authorities suggest that any
    power federal courts may have to fashion,
    on their own initiative, rules of grand
    jury procedure is a very limited one, not
    remotely comparable to the power they
    maintain over their own proceedings. It __
    certainly would not permit judicial _________________________________________
    reshaping of the grand jury institution, _________________________________________
    substantially altering the traditional _________________________________________
    relationships between the prosecutor, the _________________________________________
    constituting court, and the grand jury _________________________________________
    itself. ______

    Williams, 112 S. Ct. at 1744 (citations omitted) (emphasis ________

    added). Citing the history of the grand jury, both in England

    and the United States, the Williams Court explained that the ________

    grand jury sits in order to asses whether there is an adequate

    basis for bringing a criminal charge, rather than to determine

    guilt or innocence. Therefore, "requiring the prosecutor to

    present exculpatory evidence as well as inculpatory evidence

    would alter the grand jury's historical role, transforming it __________________________________________________________

    from an accusatory to an adjudicatory body." Id. (emphasis ______________________________________________ __

    added).

    It can hardly be said that Local Rule 3.8(f) would

    "alter the grand jury's historic role" in such a fundamental

    fashion. It certainly does not transform the grand jury from an

    accusatory to an adjudicatory body. Indeed, it has no effect

    -23-












    whatsoever on the grand jury's accusatory role. Nor does it

    alter the traditional relationships between prosecutor, court,

    and grand jury. As we have noted, regulation of attorney conduct

    is a traditional role for the court -- one for which it is

    particularly well positioned and suited, and one which has never

    been considered within the purview of the grand jury. Moreover,

    the Rule has no effect on the evidence ultimately presented by

    the government. It merely allows the court to determine, before

    an attorney-subpoena is served, and the damage to the attorney-

    client relationship caused, whether grounds exist which would

    render the subpoena subject to an order to quash. Unlike the

    situation in Williams, Local Rule 3.8(f) does not affect the ________

    traditional equation upon which the grand jury deliberates to

    assess whether there is an adequate basis for bringing criminal

    charges.

    We think Williams is clearly distinguishable on the ________

    above grounds alone. We note in addition, however, that Williams ________

    involved the use of a federal court's "supervisory power" to

    dismiss an indictment, while this case involves a district _______

    court's power merely to regulate the conduct of attorneys

    appearing before it. The supervisory power derives from the need

    for courts "to implement a remedy for violation of recognized

    rights, to preserve judicial integrity by ensuring that a

    conviction rests on appropriate considerations validly before the

    jury, and . . . to deter illegal conduct." United States v. _____________

    Hastings, 461 U.S. 499, 505 (1982) (citations omitted). In ________


    -24-












    contrast, the power of a court to regulate the conduct of

    attorneys appearing before it derives not from a need to remedy

    or deter violations of defendants' rights, but from the

    professional relationship between the court and attorneys

    appearing before it. See Theard v. United States, 354 U.S. 278, ___ ______ _____________

    281 (1957) ("The court's control over a lawyer's professional

    life derives from his relation to the responsibilities of a

    court."); Goldfarb v. Virginia State Bar, 421 U.S. 773, 792 ________ ___________________

    (1975) ("The interests of the States in regulating lawyers is

    especially great since lawyers are essential to the primary

    governmental function of administering justice, and have

    historically been 'officers of the courts.'"). Thus, the source

    and purpose of the two powers distinguishes them.

    The nature and extent of the power exercised also

    differ. When a federal court uses its supervisory power to

    dismiss an indictment it directly encroaches upon the fundamental

    role of the grand jury. That power is appropriately reserved,

    therefore, for extremely limited circumstances. See Bank of Nova ___ ____________

    Scotia v. U.S., 487 U.S. 250, 263 (1988) ("District Court had no ______ ____

    authority to dismiss the indictment on the basis of prosecutorial

    misconduct absent a finding that petitioners were prejudiced by

    such misconduct"). In contrast, the power of a court to regulate

    the conduct of attorneys appearing before it is traditionally

    invoked only to impose a sanction, monetary or otherwise, on the

    offending party, or to recommend disciplinary proceedings. See, ___

    e.g., United States v. Claros, 17 F.3d 1041, 1046-47 (7th Cir. ____ _____________ ______


    -25-












    1994); Harlan v. Lewis, 982 F.2d 1255, 1259-60 (8th Cir. 1993); ______ _____

    Zambrano v. City of Tustin, 885 F.2d 1473, 1477-80 (9th Cir. ________ _______________

    1989). It stands to reason that the more severe the sanction,

    the more extensive the source of power needed to impose it, and

    the more closely that power must be circumscribed. It follows

    that the converse is also true. See Chambers, 501 U.S. at 45. ___ ________

    For these reasons, we conclude that Williams is not ________

    dispositive of the distinct issues in this case. Nor do we think






































    -26-












    that it vitiates the persuasive authority of our reasoning in

    Klubock I. _________

    D. The Benefits of Local Rule 3.8(f) D. The Benefits of Local Rule 3.8(f) _________________________________

    In many ways, the attorney-client relationship is the

    heart of our adversarial system of justice. This is particularly

    true in criminal cases. See generally Monroe H. Freedman, ______________

    Understanding Lawyers' Ethics 16 ("the lawyer is the client's ______________________________

    'champion against a hostile world' -- the client's zealous

    advocate against the government itself"). Clients rely

    extensively on their attorneys' judgment, advice, and

    professional competence. Moreover, as legal rules and

    obligations become more complex, clients are forced to rely

    increasingly on their attorneys, thus elevating the importance of

    the attorney-client relationship.

    The relationship between attorney and client is often

    an ongoing one, built upon years of professional and social

    interaction. On other occasions it arises out of a single

    incident. Sometimes the client and attorney have never met

    before. Although the dynamics of these relationships differ, the

    fundamental responsibilities of attorney to client are the same.

    Attorneys must diligently and competently represent their

    clients' interests, keep their clients' confidences, and not

    place themselves in situations where their interests conflict

    with those of their clients.15 To fulfill their
    ____________________

    15 See, e.g., Model Rules of Professional Conduct Rule 1.1 ("A ___ ____
    lawyer shall provide competent representation[, which] requires
    the legal knowledge, skill, thoroughness and preparation

    -27-












    responsibilities, attorneys need information from their clients.

    It is necessary to the very foundation of our adversarial system

    of justice that clients feel secure in divulging to their

    attorneys the facts in their possession, including those that

    clients think might be incriminating. See generally 1 McCormack ______________ _________

    on Evidence 87, at 316-17 (4th ed. 1992) (describing the ____________

    importance of attorney loyalty to the client); Stern & Hoffman,

    supra, at 1826-27 (stressing the need for open communication _____

    between attorney and client).

    A body of substantive law and ethical rules has evolved

    over the years with the purpose of creating an atmosphere in

    which free and unfettered communication between attorney and

    client is, to the greatest extent, encouraged. See supra n.15. ___ _____

    We are concerned with the systemic nature of the attorney-client

    relationship because of the dynamic inherent in that relationship

    -- the client generally knows the facts and the lawyer generally

    knows the law. While the law cannot "legislate" a trusting and

    open attorney-client relationship, it can encourage it, or, at

    least, seek to mitigate those situations which might discourage

    ____________________

    reasonably necessary for the representation."); Rule 1.3 ("A
    lawyer shall act with reasonable diligence and promptness in
    representing a client."); Rule 1.4(a) (duty to "keep a client
    reasonably informed about the status of a matter"); Rule 1.6
    (general rule of confidentiality); Rule 1.7 (general rule
    regarding conflicts of interest); Rule 1.8(b) ("A lawyer shall
    not use confidences to the client's disadvantage"); Rule 1.9(b)
    (same for former client). Many of these ethical rules codify
    similar requirements contained in contract and agency law. See ___
    Stephen Gillers, What We Talked About When We Talked About _______________________________________________
    Ethics: A Critical View of the Model Rules, 46 Ohio St. L.J. 243, __________________________________________
    247-48 (1985) (collecting cases).

    -28-












    it.

    This was precisely the rationale underlying the Supreme

    Court's decision in Hickman v. Taylor, 329 U.S. 495, 511 (1947), _______ ______

    in which the Court held that attorney work product is privileged.

    The Court emphasized the need for the attorney-client

    relationship to be "free from unnecessary intrusion by opposing

    parties and their counsel" and noted that introducing attorney

    work product into evidence would lead to "[i]nefficiency,

    unfairness and sharp practices . . . in the giving of legal

    advice and in the preparation of cases for trial." The Court

    concluded: "The effect on the legal profession would be

    demoralizing. And the interests of the causes of justice would

    be poorly served." Id. __

    Local Rule 3.8(f) effectively enables the district

    court judge to resolve issues with respect to the attorney-

    subpoena prior to service, in a manner similar to that in a

    motion to quash hearing, therefore avoiding, in appropriate

    cases, the detrimental effects to the attorney-client

    relationship caused by service of a prosecutorial subpoena upon

    the attorney. We think that Local Rule 3.8(f) serves similar

    interests as those noted in Hickman,16 and that its _______

    prophylactic nature is consistent with the Supreme Court's

    recognition that the district court's supervision over the grand

    ____________________

    16 In contrast to Hickman, of course, the Rule in this case does _______
    not create new substantive law with respect to the attorney-
    client privilege. Rather, it merely seeks to avoid unnecessary
    harm to the attorney-client relationship.

    -29-












    jury's subpoena power may be "properly exercised . . . to prevent __________

    the wrong before it occurs." United States v. Calandra, 414 U.S. __________________________ _____________ ________

    338 (1974) (emphasis added).

    We also think the district court is in a much better

    position than this court to evaluate the need for an ethical rule

    regulating the practice of its officers, at both the grand jury ________________________________________

    and trial stages.17 As Justice Frankfurter explained in

    upholding the power of district courts to promulgate and enforce

    rules concerning disbarment of attorneys:

    [T]he state judicatures and the federal
    judiciary, have autonomous control over
    the conduct of their officers, among whom
    . . . lawyers are included. The court's ___________
    control over a lawyer's professional life _________________________________________
    derives from his relation to the _________________________________________
    responsibilities of a court. . . . _______________________________
    'Membership in the bar is a privilege
    burdened with conditions. The appellant
    was received into that ancient fellowship
    for something more than private gain. He
    became an officer of the court, and, like
    the court itself, an instrument or agency
    to advance the ends of justice.'

    Theard, 354 U.S. at 281 (emphasis added) (quoting People ex rel. ______ ______________

    Karlin v. Cilkin, 162 N.E. 487, 489 (N.Y. 1928) (Cardozo, J.)) ______ ______

    (other citations omitted). The judges of the federal district

    court in Rhode Island are in a position to observe the subpoena

    practices of attorneys appearing before them. Those judges with

    more than a few years on the bench have witnessed the increased
    ____________________

    17 We note that the parties are "before the court" once a
    subpoena is issued under the court's seal. See Matter of Certain ___ _________________
    Complaints under Investigation, 783 F.2d 1488, 1495 (11th Cir. _______________________________
    1986) (noting that when a subpoena bearing the court's seal is
    issued by its clerk, it becomes "an instrument of the court's
    process"), cert. denied, 477 U.S. 904 (1986). ____________

    -30-












    use of the attorney subpoena as an investigative tool and have

    been called upon to rule on motions to quash. Considering their

    acknowledged authority to regulate the conduct of attorneys

    appearing before them, and to preserve judicial integrity, we

    think their determination that Local Rule 3.8(f) was necessary to

    regulate the increased use of the attorney subpoena by federal

    prosecutors deserves considerable weight.18

    Based on the foregoing considerations, we conclude that

    the minimal effect Local Rule 3.8(f) might have on the grand

    ____________________

    18 Plaintiffs argue that the Rule is unnecessary because Justice
    Department Guidelines place strict controls on federal
    prosecutors seeking to subpoena counsel and, therefore,
    adequately protect the attorney-client relationship. Supra. The _____
    question in this case, however, is not whether there are other
    ways to protect the attorney-client privilege; the question is
    whether the district court has the power to adopt this Rule. We _____ ____
    also note that the judges of the federal district court in Rhode
    Island presumably did not take such a sanguine view of the
    Justice Department's ability to police its own. If so, they
    would not be alone in this view. After discovering that no
    disciplinary action had been taken by the Department of Justice
    against ten prosecutors found by federal courts to have engaged
    in misconduct, for example, a Congressional Committee recently
    observed:

    [R]epeated findings of no misconduct, and
    the Department's failure to explain its
    disagreements with findings of misconduct
    by the Courts raises serious questions
    regarding what the Department considers
    "prosecutorial misconduct . . . within
    the meaning of either the Model Code of ______________
    Professional Responsibility or the _____________________________
    Standards of Conduct in the Department of
    Justice."

    H.R. Rep. No. 986, 101st Cong., 2d Sess. 23 (1990). See also ________
    U.S. v. Hastings, 461 U.S. 499, 522 (1983) (Brennan, J., ____ ________
    concurring in part and dissenting in part) (describing the
    "futility of relying on Department of Justice disciplinary
    proceedings").

    -31-












    jury's traditional functions is outweighed by the important,

    systemic concerns addressed by Local Rule 3.8(f). We therefore

    conclude that Local Rule 3.8(f) regulates a subject matter within

    the district courts' rule-making authority. We turn now to the

    question of whether the Rule is inconsistent with the Federal

    Rules of Criminal Procedure.










































    -32-












    III. Federal Rules of Criminal Procedure III. Federal Rules of Criminal Procedure ___________________________________

    In Baylson, the Third Circuit struck down a virtually _______

    identical local rule ("Local Rule 3:10") on the grounds that it

    was inconsistent with both Rules 17 and 57 of the Federal Rules

    of Criminal Procedure and, therefore, beyond the district court's

    rule-making authority. The district court in this case rejected

    the Baylson court's reasoning and conclusion with respect to _______

    Rules 17 and 57. For much the same reasons, we do as well.

    A. Rule 1719 A. Rule 17 _______

    The Baylson court offered the following reasons for its _______

    conclusion that Local Rule 3:10 is inconsistent with Rule 17.

    First, the court noted that neither Rule 17 nor any provision in

    the federal rules or an Act of Congress "allows for judicial ______

    intervention before a subpoena is served." Second, the court

    stated that the local rule "impermissibly extends the ministerial

    role granted the district courts in subpoena practice." Finally, _______

    while conceding that "there may not be a literal conflict

    between" the two rules, the court reasoned that the two were

    inconsistent "because nothing in Rule 17 grants to the district

    court what Rule 3.10 purports to by means of a local rule: the

    power to screen grand jury subpoenas prior to service." Id. at _____ __

    108 (emphasis added in each quotation).

    We reject Baylson's reasoning with respect to Rule 17. _______

    It simply does not follow analytically or jurisprudentially that

    a local rule is "inconsistent" with a criminal rule of procedure
    ____________________

    19 The full text of Rule 17 is reprinted at Appendix B.

    -33-












    merely because neither the federal rules nor an Act of Congress

    explicitly grant district courts the power to promulgate the

    specific local rule. As noted, district courts have the general

    power to adopt local rules pursuant to Federal Rule of Criminal

    Procedure 57, 28 U.S.C. 2071(a), and their inherent rule-making

    authority. It might be argued that neither Rule 57, 2071(a),

    nor the court's inherent rule-making power provide the necessary

    authority for a district court to regulate this particular _________

    subject matter, but this inquiry is entirely separate from

    whether the ethical rule is inconsistent with Rule 17. By ____________

    premising its consistency analysis on whether a federal rule or

    statute provides the specific authority to adopt the local rule,

    Baylson turned the proper inquiry on its head -- evaluating the _______

    Rule as if local rules are presumptively invalid. This

    presumption is wholly unsupported. See, e.g., Colgrove v. ___ ____ ________

    Battin, 413 U.S. 149 (1973); Link, 370 U.S. 626 (1962).20 ______ ____
    ____________________

    20 The district court rejected the Baylson court's analysis with _______
    respect to Rule 17 for similar reasons.

    By focusing on whether Rule 17 "allows"
    a district court to intervene in the
    subpoena process prior to service, the
    Third Circuit essentially held that local
    rules cannot authorize pre-service
    judicial review where Rule 17 does not
    itself authorize this practice. In other
    words, the court held that Rule 17's
    silence with respect to pre-service
    judicial review rendered local rules
    authorizing this practice inconsistent
    with the federal rule. I reject the
    interpretive premise because it too
    narrowly circumscribes the district
    courts' rulemaking power.


    -34-












    The proper method for determining whether a local rule

    is inconsistent with a federal rule of procedure is to inquire,

    first, whether the two rules are textually inconsistent and,

    second, whether the local rule subverts the overall purpose of

    the federal rule. See Hawes v. Club Ecuestre Comandante, 535 ___ _____ _________________________

    F.2d 140, 144 (1st Cir. 1976).

    We agree with the district court that the two rules are

    not textually inconsistent. There is simply nothing in Rule 17

    which prohibits pre-service involvement in the subpoena process

    by the district court judge.21 Plaintiffs do not seriously

    contest this point but argue, instead, that Local Rule 3.8(f)

    contravenes the "underlying policy of Rule 17" to maintain the

    historic limits on the court's involvement in the grand jury

    subpoena process. Plaintiffs maintain that Rule 17 purposefully

    confines the court's role in the subpoena process to

    "administrative functions, sanctioning refusals to comply with

    subpoenas, and quashing or modifying document subpoenas."

    Therefore, the argument goes, Rule 17's failure to address pre-

    ____________________

    Almond, 852 F. Supp. at 84. ______

    21 As the district court noted, Local Rule 3.8(f) is concerned
    only with the service of subpoenas on attorneys, not the issuance _______
    of subpoenas. This is not merely a difference in semantics.
    Local Rule 3.8(f) is a prophylactic rule designed to address
    certain perceived ethical concerns implicated by the increasing
    practice of federal prosecutors subpoenaing opposing counsel to
    compel testimony regarding a target client. These ethical
    concerns simply are not implicated by the issuance of a subpoena
    because, until the attorney is served with the subpoena, the
    client has no reason to distrust or feel uncertain about his
    attorney's allegiance. See Klubock I, 832 F.2d 649 (noting the ___ _________
    same with respect to PF 15).

    -35-












    service judicial intervention in the subpoena process indicates

    an intention that there should be none.

    The Supreme Court has indicated that silence in the

    federal rules should not be interpreted as a prohibition on local

    rule-making authority. In Colgrove, for example, the Court held ________

    that a local rule authorizing six-person juries for civil cases

    did not conflict with former Federal Rule of Civil Procedure 48,

    which provided that "[t]the parties may stipulate that the jury

    shall consist of any number less than twelve." The Court

    concluded that the two rules were not inconsistent because Rule

    48 "'deals only with a stipulation by "[t]he parties." It does _____________

    not purport to prevent court rules which provide for civil juries ___________

    of reduced size.'" Colgrove, 413 U.S. at 164 (quoting Cooley v. ________ ______

    Strickland Transportation Co., 459 F.2d 779, 784 (5th Cir. _______________________________

    1972)). See also United States v. Spock, 416 F.2d 165, 180 (1st ________ _____________ _____

    Cir. 1969).22 The mere fact that Rule 17 sets forth certain

    ways in which the district court is involved in the subpoena

    process does not, by negative implication, therefore establish

    that the purpose of the rule is to circumscribe judicial _______

    intervention in the subpoena process to only those functions

    ____________________

    22 Similarly, in Link, the Court held that the former version of ____
    Federal Rule of Criminal Procedure 41(b) -- which provided that
    "a defendant may move for dismissal of an action" for failure to
    prosecute -- did not, by negative implication, prohibit the court
    from dismissing an action sua sponte for failure to prosecute. ___________
    The Court reasoned that "[n]either the permissive language of the __________
    Rule -- which merely authorizes a motion by the defendant -- nor
    its policy" indicate that the Rule was intended to "abrogate" the
    inherent power of federal courts to dismiss sua sponte for __________
    failure to prosecute. Link, 370 U.S. at 630-32 (emphasis added). ____

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    specified in the Rule.23

    Moreover, the Supreme Court has long recognized that

    rules regulating the conduct of attorneys practicing before them

    are within the local rule-making authority of the district

    courts. See, e.g., Theard, 354 U.S. at 281-83 (inherent power of ___ ____ ______

    district courts to promulgate and enforce rules concerning

    disbarment of attorneys). Local Rule 3.8(f) is a prophylactic

    ethical rule regulating the conduct of attorneys appearing before

    the court. Therefore, as in Link, a strong indication of intent ____

    to abrogate is required.

    There is nothing in the text of Rule 17 to suggest it

    was intended to abrogate the power of a federal court to regulate

    the conduct of attorneys appearing before it. Nor have

    plaintiffs identified any historical evidence with respect to

    Rule 17 indicating that it was intended to abrogate this power.

    The Supreme Court's decision in Miner v. Atlass, 363 U.S. 641 _____ ______

    (1960), is instructive in this regard. Miner held that a local _____

    rule authorizing discovery-deposition practice in admiralty cases

    was beyond the rule-making authority of the admiralty court. The

    Court has since explained that the decision in Miner was based on _____

    the fact that the Supreme Court itself had previously omitted the

    precise discovery procedure from among the Civil Rules adopted as

    part of the Admiralty Rules. See Colgrove, 413 U.S. at 163-64 ___ ________

    ____________________

    23 As the district court noted, although there is no procedure
    in Rule 17 for quashing a testimonial subpoena, courts have, on
    their own authority, extended the Rule's procedures regarding the
    quashing of document subpoenas to cover testimonial subpoenas.

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    n.23. The Court explained: "Miner held that this omission 'must _____

    be taken as an advertent declination of the opportunity to

    institute the discovery-deposition procedure of Civil Rule 26(a)

    throughout courts of admiralty.'" Id. (quoting Miner, 363 U.S. __ _____

    at 647). The court therefore held that the local rule was not

    consistent with the General Admiralty Rules. Miner, 363 U.S. at _____

    647. See also Link, 370 U.S. at 631-32 (stating that "[i]t would ________ ____

    require a much clearer expression of purpose than Rule 41(b)

    provides for us to assume it was intended to abrogate" the

    inherent power of a court to dismiss sua sponte for failure to __________

    prosecute).

    Although there is a history of grand jury independence

    from its constituting court, see supra, plaintiffs have directed ___ _____

    us to no historical evidence -- on a par with that, for example,

    in Miner -- relating to the promulgation of Rule 17 to suggest _____

    that it was intended to codify this policy. The lack of

    historical evidence is particularly significant because Rule 17

    was adopted in 1944, well prior to the line of Supreme Court

    cases setting the parameters of grand jury independence. See ___

    generally United States v. Williams, 112 S. Ct. 1735 (1992); _________ _____________ ________

    United States v. Dionisio, 410 U.S. 1 (1973); United States v. ______________ ________ _____________

    Calandra, 414 U.S. 338 (1974); Branzburg v. Hayes, 408 U.S. 665 ________ _________ _____

    (1972). Furthermore, in most instances, there is simply no

    reason for judicial involvement in the subpoena process prior to

    service. Thus, the Rule's silence with respect to the issue does

    not necessarily imply anything other than silence. We therefore


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    conclude that Local Rule 3.8(f) is not inconsistent with the text

    or purpose of Rule 17.24

    B. Rule 57 B. Rule 57 _______

    Baylson also held, relying on the Comment to Rule 57, _______

    that the local rule is invalid because it "goes beyond the

    'matters of detail' contemplated by [Rule] 57." Baylson, 975 _______

    F.2d at 108. We reject the Baylson court's reliance on the _______

    Comment to the Rule, rather than the text.25 It is true that

    in ascertaining the meaning of the federal rules of procedure,

    "the construction given to them by the [Advisory] Committee is of

    weight." Mississippi Pub. Corp. v. Murphree, 326 U.S. 438, 444- ______________________ ________

    45 (1946). But the Comment cannot change the unambiguous

    language of a duly adopted federal rule. Thus, we agree with the

    district court that "the commentary to Rule 57 cannot limit the

    district courts' rulemaking power in ways not prescribed by the

    Rule's text." Moreover, Baylson's conclusion that district _______

    ____________________

    24 We also reject plaintiffs' argument that Local Rule 3.8(f) is
    inconsistent with grand jury secrecy requirements contained in
    Federal Rule of Criminal Procedure 6(e). We agree with the
    district court that "the same secrecy issues arise in the context
    of post-service motions to quash, and district courts have
    routinely used in camera procedures to ensure that Rule 6(e) is _________
    not violated." Almond, 852 F. Supp. at 83-84 n.6 (citing United ______ ______
    States v. R. Enterprises, Inc., 498 U.S. 292, 302 (1991)). See ______ _____________________ ___
    supra at p. 20 (discussing the secrecy issue). _____

    25 The Advisory Committee's comment to Rule 57 provides that
    the purpose of the rule is to leave the individual courts free to
    regulate some "matters of detail", either by local rule or usage.
    The comment goes on to state that among such matters are "the
    mode of impanelling a jury, the manner and order of interposing
    challenges to jurors, the manner of selecting the foreman of a
    trial jury, the matter of sealed verdicts, the order of counsel's
    arguments to the jury, and other similar details."

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    courts' rule-making authority is limited to "matters of detail"

    is in direct conflict with the Supreme Court's decisions in

    Colgrove, 413 U.S. at 164 (upholding local rule providing for ________

    six-person juries) and Theard 54 U.S. at 281-83 (upholding rule ______

    concerning disbarment of attorneys), neither of which involved

    "matters of detail." Along this line, we have canvassed the

    Supreme Court's decisions with respect to district courts' local

    rule-making authority and found no cases that rely on the Comment

    to Rule 57. Finally, we point out that Rule 57, which was

    adopted in 1944, was rewritten in 1985 and now provides for

    "appropriate public notice and an opportunity to comment," and

    for review of local rules by the judicial council of the circuit.

    We think these additions indicate that, at least by 1985, it was

    clear that district courts' rule-making authority was not limited

    to mere "matters of detail."

    For the foregoing reasons, we conclude that Local Rule

    3.8(f), as applied to grand jury subpoenas, is a legitimate

    exercise of the rule-making authority of the United States

    District Court for Rhode Island. Accordingly, the district

    court's decision to the contrary is reversed.

    IV. Trial Subpoenas IV. Trial Subpoenas _______________

    The district court held that the United States District

    Court for Rhode Island has the power to adopt and enforce Local

    Rule 3.8(f), as applied to trial subpoenas. We agree. The

    analysis supporting our conclusion that Local Rule 3.8(f) is a

    valid exercise of the district court's rule-making authority, as


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    applied to grand jury subpoenas, applies with even more force

    with respect to trial subpoenas. The Supreme Court has

    recognized that the power of federal district courts to adopt

    rules regarding trials is broader than with respect to its power

    over the grand jury. Williams, 112 S. Ct. at 1744. Moreover, ________

    because we conclude that Local Rule 3.8(f), as applied to grand

    jury subpoenas, is not inconsistent with either Rule 17 or Rule

    57 of the Federal Rules of Criminal Procedure 17, it follows that

    it is not inconsistent with these Rules as applied to trial

    subpoenas.26 Plaintiffs have presented us with no persuasive

    authority to the contrary. The district court's decision

    granting summary judgment for the federal defendants is,

    therefore, affirmed.

    V. Issues Involving the State Version of Rule 3.8(f) V. Issues Involving the State Version of Rule 3.8(f) _________________________________________________

    Our decision that Local Rule 3.8(f) is a valid exercise

    of the federal district court's rule-making authority moots the

    issues raised by the state defendants with respect to the state

    version of Rule 3.8(f). We will briefly explain why.

    The district court held that, because the federal

    version of Rule 3.8(f) is invalid as applied to grand jury

    subpoenas, enforcing the state version of Rule 3.8(f) against

    federal prosecutors practicing in federal court would violate the

    ____________________

    26 As the district court noted, because "Rule 17 does not
    differentiate between grand jury and trial subpoenas, but instead
    sets out the basic mechanics governing all types of subpoenas,"
    the analysis with respect to Rule 17 "applies with equal force to
    both applications of Local Rule 3.8(f)." Almond, 852 F. Supp. at ______
    91.

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    Supremacy Clause of the United States Constitution. The district

    court's Supremacy Clause analysis was premised on its holding

    that the federal version of the Rule is invalid. Because we

    conclude here that Local Rule 3.8(f) is a valid exercise of the

    federal district court's rule-making authority, it is the federal

    version of the Rule that will be enforced against federal

    prosecutors practicing in Rhode Island federal court. The

    Supremacy Clause is relevant only to state interference with

    federal laws. See Hillsborough County v. Automated Medical ___ ____________________ __________________

    Laboratories, Inc., 471 U.S. 707 (1985). There is, therefore, no __________________

    conflict with the Supremacy Clause, and the decision of the

    district court to the contrary is necessarily reversed.

    Similarly, the state defendants' contention that the

    district court lacked subject matter jurisdiction to review the

    validity of the state version of Rule 3.8(f) by virtue of the

    "Rooker-Feldman" doctrine is mooted by our decision upholding the ______ _______

    federal version of Rule 3.8(f). See Rooker v. Fidelity Trust ___ ______ _______________

    Company, 263 U.S. 444; District of Columbia Court of Appeals v. _______ ______________________________________

    Feldman, 460 U.S. 488 (1983). That is, we have no occasion to _______

    address the state version of the Rule.

    CONCLUSION CONCLUSION

    For the reasons stated herein, we conclude that the

    United States District Court for Rhode Island has the rule-making

    authority to adopt and enforce Local Rule 3.8(f), as applied to

    both grand jury and trial subpoenas. The decision of the

    district court is affirmed in part and reversed in part. ________________ ________________


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    Appendix A __________

    Rule 3.8. Special Responsibilities of a Prosecutor. The Rule 3.8. Special Responsibilities of a Prosecutor.
    prosecutor in a criminal case shall:

    * * *

    (f) not, without prior judicial approval,
    subpoena a lawyer for the purpose of
    compelling the lawyer to provide evidence
    concerning a person who is or was represented
    by the lawyer when such evidence was obtained
    as a result of the attorney-client
    relationship.

    COMMENT

    * * *

    The prohibition in paragraph (f) was added
    because of the increasing incidence of grand
    jury and trial subpoenas directed toward
    attorneys. It is the belief of the committee
    that the requirements of prior judicial
    approval, which should be granted or denied
    after the opportunity for an adversarial
    proceeding, will serve as an appropriate
    safeguard to this practice and its threat to
    the confidentiality and integrity of the
    attorney-client relationship. The committee
    believes that a court called upon for
    judicial approval should be guided by
    appropriate standards. See e.g., United ___ ____ ______
    States v. Klubock, 832 F.2d 664 (1st Cir. ______ _______
    1987) (en banc). Accordingly, prior judicial
    approval should be withheld unless (1) the
    information sought is not protected from
    disclosure by an applicable privilege, (2)
    the evidence sought is essential to the
    successful completion of an ongoing
    investigation or prosecution and is not
    merely peripheral, cumulative, or
    speculative, (3) the subpoena lists the
    information sought with particularity, is
    directed at information regarding a limited
    subject matter in a reasonably limited period
    of time, and gives reasonable and timely
    notice, (4) the purpose of the subpoena is
    not to harass the attorney or his or her
    client, and (5) the prosecutor has
    unsuccessfully made all reasonable attempts
    to obtain the information sought from non-

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    attorney sources and there is no other
    feasible alternative to obtain the
    information.

    See Report to the House Delegates, ABA Criminal Justice Section, ___ _____________________________
    February 1988.















































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    Appendix B __________

    Rule 17. Subpoena Rule 17. Subpoena

    (a) For Attendance of Witnesses; Form; Issuance. A subpoena (a) For Attendance of Witnesses; Form; Issuance.
    shall be issued by the clerk under the seal of the court. It
    shall state the name of the court and the title, if any, of the
    proceeding, and shall command each person to whom it is directed
    to attend and give testimony at the time and place specified
    therein. The clerk shall issue a subpoena, signed and sealed but
    otherwise in blank to a party requesting it, who shall fill in
    the blanks before it is served. A subpoena shall be issued by a
    United States magistrate judge in a proceeding before that
    magistrate judge, but it need not be under the seal of the court.

    (b) Defendants Unable to Pay. The court shall order at any (b) Defendants Unable to Pay.
    time that a subpoena be issued for service on a named witness
    upon an ex parte application of a defendant upon a satisfactory __ _____
    showing that the defendant is financially unable to pay the fees
    of the witness and that the presence of the witness is necessary
    to an adequate defense. If the court orders the subpoena to be
    issued the costs incurred by the process and the fees of the
    witness so subpoenaed shall be paid in the same manner in which
    similar costs and fees are paid in case of a witness subpoenaed
    in behalf of the government.

    (c) For Production of Documentary Evidence and of Objects. A (c) For Production of Documentary Evidence and of Objects.
    subpoena may also command the person to whom it is directed to
    produce the books, papers, documents or other objects designated
    therein. The court on motion made promptly may quash or modify
    the subpoena if compliance would be unreasonable or
    oppressive. The court may direct that books, papers, documents
    or objects designated in the subpoena be produced before the
    court at a time prior to the trial or prior to the time when they
    are to be offered in evidence and may upon their production
    permit the books, papers, documents or objects or portions
    thereof to be inspected by the parties and their attorneys.

    (d) Service. A subpoena may be served by the marshal, by a (d) Service.
    deputy marshal or by any other person who is not a party and who
    is not less than 18 years of age. Service of a subpoena shall be
    made by delivering a copy thereof to the person named and by
    tendering to that person the fee for 1 day's attendance and the
    mileage allowed by law. Fees and mileage need not be tendered to
    the witness upon service of a subpoena issued in behalf of the
    United States or an officer or agency thereof.







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    (e) Place of Service. (e) Place of Service.

    (1) In United States. A subpoena requiring the attendance of (1) In United States.
    a witness at a hearing or trial may be served at any place within
    the United States.

    (2) Abroad. A subpoena directed to a witness in a foreign (2) Abroad.
    country shall issue under the circumstances and in the manner and
    be served as provided in Title 28, USC 1783.

    (f) For Taking Deposition; Place of Examination. (f) For Taking Deposition; Place of Examination.

    (1) Issuance. An order to take a deposition authorizes the (1) Issuance.
    issuance by the clerk of the court for the district in which the
    deposition is to be taken of subpoenas for the persons named or
    described therein.

    (2) Place. The witness whose deposition is to be taken may (2) Place.
    be required by subpoena to attend at any place designated by the
    trial court, taking into account the convenience of the witness
    and the parties.

    (g) Contempt. Failure by any person without adequate excuse to (g) Contempt.
    obey a subpoena served upon that person may be deemed a contempt
    of the court from which the subpoena issued or of the court for
    the district in which it issued if it was issued by a United
    States magistrate judge.

    (h) Information Not Subject to Subpoena. Statements made by (h) Information Not Subject to Subpoena.
    witnesses or prospective witnesses may not be subpoenaed from the
    government or the defendant under this rule, but shall be subject
    to production only in accordance with the provisions of Rule
    26.2.




















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