Kaley v. United States , 134 S. Ct. 1090 ( 2014 )


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  • (Slip Opinion)              OCTOBER TERM, 2013                                       1
    Syllabus
    NOTE: Where it is feasible, a syllabus (headnote) will be released, as is
    being done in connection with this case, at the time the opinion is issued.
    The syllabus constitutes no part of the opinion of the Court but has been
    prepared by the Reporter of Decisions for the convenience of the reader.
    See United States v. Detroit Timber & Lumber Co., 
    200 U. S. 321
    , 337.
    SUPREME COURT OF THE UNITED STATES
    Syllabus
    KALEY ET VIR v. UNITED STATES
    CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR
    THE ELEVENTH CIRCUIT
    No. 12–464.      Argued October 16, 2013—Decided February 25, 2014
    Title 
    21 U. S. C. §853
    (e)(1) empowers courts to enter pre-trial restrain-
    ing orders to “preserve the availability of [forfeitable] property” while
    criminal proceedings are pending. Such pre-trial asset restraints are
    constitutionally permissible whenever probable cause exists to think
    that a defendant has committed an offense permitting forfeiture and
    that the assets in dispute are traceable or otherwise sufficiently re-
    lated to the crime charged. United States v. Monsanto, 
    491 U. S. 600
    .
    After a grand jury indicted petitioners, Kerri and Brian Kaley, for
    reselling stolen medical devices and laundering the proceeds, the
    Government obtained a §853(e)(1) restraining order against their as-
    sets. The Kaleys moved to vacate the order, intending to use a por-
    tion of the disputed assets for their legal fees. The District Court al-
    lowed them to challenge the assets’ traceability to the offenses in
    question but not the facts supporting the underlying indictment. The
    Eleventh Circuit affirmed.
    Held: When challenging the legality of a §853(e)(1) pre-trial asset sei-
    zure, a criminal defendant who has been indicted is not constitution-
    ally entitled to contest a grand jury’s determination of probable cause
    to believe the defendant committed the crimes charged. Pp. 5–21.
    (a) In Monsanto, this Court held that the Government may seize
    assets before trial that a defendant intends to use to pay an attorney,
    so long as probable cause exists “to believe that the property will ul-
    timately be proved forfeitable.” 
    491 U. S., at 615
    . The question
    whether indicted defendants like the Kaleys are constitutionally enti-
    tled to a judicial re-determination of the grand jury’s probable cause
    conclusion in a hearing to lift an asset restraint has a ready answer
    in the fundamental and historic commitment of the criminal justice
    system to entrust probable cause findings to a grand jury. A probable
    2                       KALEY v. UNITED STATES
    Syllabus
    cause finding sufficient to initiate a prosecution for a serious crime is
    “conclusive[e],” Gerstein v. Pugh, 
    420 U. S. 103
    , 117, n. 19, and, as a
    general matter, “a challenge to the reliability or competence of the ev-
    idence” supporting that finding “will not be heard,” United States v.
    Williams, 
    504 U. S. 36
    , 54. A grand jury’s probable cause finding
    may, on its own, effect a pre-trial restraint on a person’s liberty. Ger-
    stein, 
    420 U. S., at 117, n. 19
    . The same result follows when it works
    to restrain a defendant’s property.
    The Kaleys’ alternative rule would have strange and destructive
    consequences. Allowing a judge to decide anew what the grand jury
    has already determined could result in two inconsistent findings gov-
    erning different aspects of one criminal proceeding, with the same
    judge who found probable cause lacking presiding over a trial prem-
    ised on its existence. That legal dissonance could not but undermine
    the criminal justice system’s integrity, especially the grand jury’s
    constitutional role. Pp. 5–12.
    (b) The balancing test of Mathews v. Eldridge, 
    424 U. S. 319
    —
    which requires a court to weigh (1) the burdens that a requested pro-
    cedure would impose on the government against (2) the private inter-
    est at stake, as viewed alongside (3) “the risk of an erroneous depri-
    vation” of that interest without the procedure and “the probable
    value, if any, of [the] additional . . . procedural safeguar[d],” 
    id.,
     at
    335—if applicable here, tips against the Kaleys. Because the Gov-
    ernment’s interest in freezing potentially forfeitable assets without
    an adversarial hearing about the probable cause underlying criminal
    charges and the Kaleys’ interest in retaining counsel of their own
    choosing are both substantial, the test’s third prong is critical. It
    boils down to the “probable value, if any,” of a judicial hearing in un-
    covering mistaken grand jury probable cause findings. But when the
    legal standard is merely probable cause and the grand jury has al-
    ready made that finding, a full-dress hearing will provide little bene-
    fit. See Florida v. Harris, 568 U. S. ___, ___. A finding of probable
    cause to think that a person committed a crime “can be [made] relia-
    bly without an adversary hearing,” Gerstein, 
    420 U. S., at 120
    , and
    the value of requiring additional “formalities and safeguards” would
    “[i]n most cases . . . be too slight,” 
    id.,
     at 121–122. The experience of
    several Circuits corroborates this view. Neither the Kaleys nor their
    amici point to a single case in two decades where courts, holding
    hearings of the kind they seek, have found the absence of probable
    cause to believe that an indicted defendant committed the crime
    charged. Pp. 12–20.
    
    677 F. 3d 1316
    , affirmed and remanded.
    KAGAN, J., delivered the opinion of the Court, in which SCALIA, KEN-
    Cite as: 571 U. S. ____ (2014)                   3
    Syllabus
    NEDY, THOMAS, GINSBURG, and ALITO, JJ., joined. ROBERTS, C. J., filed a
    dissenting opinion, in which BREYER and SOTOMAYOR, JJ., joined.
    Cite as: 571 U. S. ____ (2014)                              1
    Opinion of the Court
    NOTICE: This opinion is subject to formal revision before publication in the
    preliminary print of the United States Reports. Readers are requested to
    notify the Reporter of Decisions, Supreme Court of the United States, Wash-
    ington, D. C. 20543, of any typographical or other formal errors, in order
    that corrections may be made before the preliminary print goes to press.
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 12–464
    _________________
    KERRI L. KALEY, ET VIR, PETITIONERS v. UNITED
    STATES
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE ELEVENTH CIRCUIT
    [February 25, 2014]
    JUSTICE KAGAN delivered the opinion of the Court.
    A federal statute, 
    21 U. S. C. §853
    (e), authorizes a court
    to freeze an indicted defendant’s assets prior to trial if
    they would be subject to forfeiture upon conviction. In
    United States v. Monsanto, 
    491 U. S. 600
    , 615 (1989), we
    approved the constitutionality of such an order so long as
    it is “based on a finding of probable cause to believe that
    the property will ultimately be proved forfeitable.” And
    we held that standard to apply even when a defendant
    seeks to use the disputed property to pay for a lawyer.
    In this case, two indicted defendants wishing to hire an
    attorney challenged a pre-trial restraint on their property.
    The trial court convened a hearing to consider the sei-
    zure’s legality under Monsanto. The question presented is
    whether criminal defendants are constitutionally entitled
    at such a hearing to contest a grand jury’s prior determi-
    nation of probable cause to believe they committed the
    crimes charged. We hold that they have no right to reliti-
    gate that finding.
    2                   KALEY v. UNITED STATES
    Opinion of the Court
    I
    A
    Criminal forfeitures are imposed upon conviction to
    confiscate assets used in or gained from certain serious
    crimes. See 
    21 U. S. C. §853
    (a). Forfeitures help to en-
    sure that crime does not pay: They at once punish wrong-
    doing, deter future illegality, and “lessen the economic
    power” of criminal enterprises. Caplin & Drysdale, Char-
    tered v. United States, 
    491 U. S. 617
    , 630 (1989); see 
    id., at 634
     (“Forfeiture provisions are powerful weapons in the
    war on crime”). The Government also uses forfeited prop-
    erty to recompense victims of crime, improve conditions in
    crime-damaged communities, and support law enforce-
    ment activities like police training. See 
    id.,
     at 629–630.1
    Accordingly, “there is a strong governmental interest in
    obtaining full recovery of all forfeitable assets.” 
    Id., at 631
    .
    In line with that interest, §853(e)(1) empowers courts to
    enter pre-trial restraining orders or injunctions to “pre-
    serve the availability of [forfeitable] property” while crim-
    inal proceedings are pending. Such an order, issued
    “[u]pon application of the United States,” prevents a de-
    fendant from spending or transferring specified property,
    including to pay an attorney for legal services. Ibid. In
    Monsanto, our principal case involving this procedure, we
    held a pre-trial asset restraint constitutionally permissible
    whenever there is probable cause to believe that the property
    is forfeitable. See 491 U. S., at 615. That determination
    has two parts, reflecting the requirements for forfeit-
    ——————
    1 Between January 2012 and April 2013, for example, the Department
    of Justice returned over $1.5 billion in forfeited assets to more than
    400,000 crime victims. See Dept. of Justice, Justice Department
    Returned $1.5 Billion to Victims of Crime Since January 2012 (Apr. 26,
    2013), online at http://www.justice.gov/opa/pr/2013/April/13-crm-
    480.html (as visited Feb. 21, 2014 and available in the Clerk of the
    Court’s case file).
    Cite as: 571 U. S. ____ (2014)                   3
    Opinion of the Court
    ure under federal law: There must be probable cause to
    think (1) that the defendant has committed an offense
    permitting forfeiture, and (2) that the property at issue
    has the requisite connection to that crime. See §853(a).
    The Monsanto Court, however, declined to consider
    “whether the Due Process Clause requires a hearing” to
    establish either or both of those aspects of forfeitability.
    Id., at 615, n. 10.2
    Since Monsanto, the lower courts have generally pro-
    vided a hearing to any indicted defendant seeking to lift an
    asset restraint to pay for a lawyer. In that hearing, they
    have uniformly allowed the defendant to litigate the sec-
    ond issue stated above: whether probable cause exists to
    believe that the assets in dispute are traceable or other-
    wise sufficiently related to the crime charged in the in-
    dictment.3 But the courts have divided over extending the
    hearing to the first issue. Some have considered, while
    others have barred, a defendant’s attempt to challenge the
    probable cause underlying a criminal charge.4 This case
    raises the question whether an indicted defendant has a
    constitutional right to contest the grand jury’s prior de-
    termination of that matter.
    ——————
    2 The forfeiture statute itself requires a hearing when the Govern-
    ment seeks to restrain the assets of someone who has not yet been
    indicted. See 
    21 U. S. C. §853
    (e)(1)(B). That statutory provision is not
    at issue in this case, which involves a pair of indicted defendants.
    3 At oral argument, the Government agreed that a defendant has a
    constitutional right to a hearing on that question. See Tr. of Oral Arg.
    45. We do not opine on the matter here.
    4 Compare United States v. E-Gold, Ltd., 
    521 F. 3d 411
     (CADC 2008)
    (holding that a defendant is entitled to raise such a challenge); United
    States v. Dejanu, 
    37 Fed. Appx. 870
    , 873 (CA9 2002) (same); United
    States v. Michelle’s Lounge, 
    39 F. 3d 684
    , 700 (CA7 1994) (same);
    United States v. Monsanto, 
    924 F. 2d 1186
     (CA2 1991) (en banc) (same),
    with United States v. Jamieson, 
    427 F. 3d 394
    , 406–407 (CA6 2005)
    (prohibiting a defendant from raising such a challenge); United States
    v. Farmer, 
    274 F. 3d 800
    , 803–806 (CA4 2001) (same); United States v.
    Jones, 
    160 F. 3d 641
    , 648–649 (CA10 1998) (same).
    4                    KALEY v. UNITED STATES
    Opinion of the Court
    B
    The grand jury’s indictment in this case charges a
    scheme to steal prescription medical devices and resell
    them for profit. The indictment accused petitioner Kerri
    Kaley, a sales representative for a subsidiary of Johnson &
    Johnson, and petitioner Brian Kaley, her husband, with
    transporting stolen medical devices across state lines and
    laundering the proceeds of that activity.5 The Kaleys have
    contested those allegations throughout this litigation,
    arguing that the medical devices at issue were unwanted,
    excess hospital inventory, which they could lawfully take
    and market to others.
    Immediately after obtaining the indictment, the Gov-
    ernment sought a restraining order under §853(e)(1) to
    prevent the Kaleys from transferring any assets traceable
    to or involved in the alleged offenses. Included among
    those assets is a $500,000 certificate of deposit that the
    Kaleys intended to use for legal fees. The District Court
    entered the requested order. Later, in response to the
    Kaleys’ motion to vacate the asset restraint, the court
    denied a request for an evidentiary hearing and confirmed
    the order, except as to $63,000 that it found (based on the
    parties’ written submissions) was not connected to the
    alleged offenses.
    On interlocutory appeal, the Eleventh Circuit reversed
    and remanded for further consideration of whether some
    kind of evidentiary hearing was warranted. See 
    579 F. 3d 1246
     (2009). The District Court then concluded that it
    should hold a hearing, but only as to “whether the re-
    ——————
    5An earlier version of the indictment did not include the money laun-
    dering charge. In its superseding indictment, the Government also
    accused Jennifer Gruenstrass, another sales representative, of trans-
    porting stolen property and money laundering. Her case went to trial,
    and she was acquitted. Several other sales representatives participat-
    ing in the Kaleys’ activity entered guilty pleas (each to a charge of
    shipping stolen goods) during the Government’s investigation.
    Cite as: 571 U. S. ____ (2014)            5
    Opinion of the Court
    strained assets are traceable to or involved in the alleged
    criminal conduct.” App. to Pet. for Cert. 43, n. 5. The
    Kaleys informed the court that they no longer disputed
    that issue; they wished to show only that the “case against
    them is ‘baseless.’ ” Id., at 39; see App. 107 (“We are not
    contesting that the assets restrained were . . . traceable to
    the conduct. Our quarrel is whether that conduct consti-
    tutes a crime”). Accordingly, the District Court affirmed
    the restraining order, and the Kaleys took another appeal.
    The Eleventh Circuit this time affirmed, holding that the
    Kaleys were not entitled at a hearing on the asset freeze
    “to challenge the factual foundation supporting the grand
    jury’s probable cause determination[ ]”—that is, “the very
    validity of the underlying indictment.” 
    677 F. 3d 1316
    ,
    1317 (2012).
    We granted certiorari in light of the Circuit split on the
    question presented, 568 U. S. ___ (2013), and we now affirm
    the Eleventh Circuit.
    II
    This Court has twice considered claims, similar to the
    Kaleys’, that the Fifth Amendment’s right to due process
    and the Sixth Amendment’s right to counsel constrain the
    way the federal forfeiture statute applies to assets needed
    to retain an attorney. See Caplin & Drysdale, 
    491 U. S. 617
    ; Monsanto, 
    491 U. S. 600
    . We begin with those rul-
    ings not as mere background, but as something much
    more. On the single day the Court decided both those
    cases, it cast the die on this one too.
    In Caplin & Drysdale, we considered whether the Fifth
    and Sixth Amendments exempt from forfeiture money that
    a convicted defendant has agreed to pay his attorney. See
    491 U. S., at 623–635. We conceded a factual premise of
    the constitutional claim made in the case: Sometimes “a
    defendant will be unable to retain the attorney of his
    choice,” if he cannot use forfeitable assets. Id., at 625.
    6                 KALEY v. UNITED STATES
    Opinion of the Court
    Still, we held, the defendant’s claim was “untenable.” Id.,
    at 626. “A defendant has no Sixth Amendment right to
    spend another person’s money” for legal fees—even if that
    is the only way to hire a preferred lawyer. Ibid. Consider,
    we submitted, the example of a “robbery suspect” who
    wishes to “use funds he has stolen from a bank to retain
    an attorney to defend him if he is apprehended.” Ibid.
    That money is “not rightfully his.” Ibid. Accordingly, we
    concluded, the Government does not violate the Constitu-
    tion if, pursuant to the forfeiture statute, “it seizes the
    robbery proceeds and refuses to permit the defendant to
    use them” to pay for his lawyer. Ibid.
    And then, we confirmed in Monsanto what our “robbery
    suspect” hypothetical indicated: Even prior to conviction
    (or trial)—when the presumption of innocence still applies—
    the Government could constitutionally use §853(e) to
    freeze assets of an indicted defendant “based on a find-
    ing of probable cause to believe that the property will
    ultimately be proved forfeitable.” 491 U. S., at 615. In
    Monsanto, too, the defendant wanted to use the property
    at issue to pay a lawyer, and maintained that the Fifth
    and Sixth Amendments entitled him to do so. We dis-
    agreed.     We first noted that the Government may
    sometimes “restrain persons where there is a finding of
    probable cause to believe that the accused has committed
    a serious offense.” Id., at 615–616. Given that power, we
    could find “no constitutional infirmity in §853(e)’s authori-
    zation of a similar restraint on [the defendant’s] property”
    in order to protect “the community’s interest” in recover-
    ing “ill-gotten gains.” Id., at 616. Nor did the defendant’s
    interest in retaining a lawyer with the disputed assets
    change the equation. Relying on Caplin & Drysdale, we
    reasoned: “[I]f the Government may, post-trial, forbid the
    use of forfeited assets to pay an attorney, then surely no
    constitutional violation occurs when, after probable cause
    is adequately established, the Government obtains an
    Cite as: 571 U. S. ____ (2014)            7
    Opinion of the Court
    order barring a defendant from frustrating that end by
    dissipating his assets prior to trial.” Ibid. So again: With
    probable cause, a freeze is valid.
    The Kaleys little dispute that proposition; their argu-
    ment is instead about who should have the last word as to
    probable cause. A grand jury has already found probable
    cause to think that the Kaleys committed the offenses
    charged; that is why an indictment issued. No one doubts
    that those crimes are serious enough to trigger forfeiture.
    Similarly, no one contests that the assets in question
    derive from, or were used in committing, the offenses. See
    supra, at 5. The only question is whether the Kaleys are
    constitutionally entitled to a judicial re-determination of
    the conclusion the grand jury already reached: that proba-
    ble cause supports this criminal prosecution (or alterna-
    tively put, that the prosecution is not “baseless,” as the
    Kaleys believe, supra, at 5). And that question, we think,
    has a ready answer, because a fundamental and historic
    commitment of our criminal justice system is to entrust
    those probable cause findings to grand juries.
    This Court has often recognized the grand jury’s singu-
    lar role in finding the probable cause necessary to initiate
    a prosecution for a serious crime. See, e.g., Costello v.
    United States, 
    350 U. S. 359
    , 362 (1956). “[A]n indictment
    ‘fair upon its face,’ and returned by a ‘properly constituted
    grand jury,’ ” we have explained, “conclusively determines
    the existence of probable cause” to believe the defendant
    perpetrated the offense alleged. Gerstein v. Pugh, 
    420 U. S. 103
    , 117, n. 19 (1975) (quoting Ex parte United
    States, 
    287 U. S. 241
    , 250 (1932)). And “conclusively” has
    meant, case in and case out, just that. We have found no
    “authority for looking into and revising the judgment of
    the grand jury upon the evidence, for the purpose of de-
    termining whether or not the finding was founded upon
    sufficient proof.” Costello, 
    350 U. S., at
    362–363 (quoting
    United States v. Reed, 
    27 F. Cas. 727
    , 738 (No. 16,134) (CC
    8                    KALEY v. UNITED STATES
    Opinion of the Court
    NDNY 1852) (Nelson, J.)). To the contrary, “the whole
    history of the grand jury institution” demonstrates that “a
    challenge to the reliability or competence of the evidence”
    supporting a grand jury’s finding of probable cause “will
    not be heard.” United States v. Williams, 
    504 U. S. 36
    , 54
    (1992) (quoting Costello, 
    350 U. S., at 364
    , and Bank of
    Nova Scotia v. United States, 
    487 U. S. 250
    , 261 (1988)).
    The grand jury gets to say—without any review, oversight,
    or second-guessing—whether probable cause exists to
    think that a person committed a crime.
    And that inviolable grand jury finding, we have decided,
    may do more than commence a criminal proceeding (with
    all the economic, reputational, and personal harm that
    entails); the determination may also serve the purpose of
    immediately depriving the accused of her freedom. If the
    person charged is not yet in custody, an indictment trig-
    gers “issuance of an arrest warrant without further in-
    quiry” into the case’s strength. Gerstein, 
    420 U. S., at 117, n. 19
    ; see Kalina v. Fletcher, 
    522 U. S. 118
    , 129 (1997).
    Alternatively, if the person was arrested without a war-
    rant, an indictment eliminates her Fourth Amendment
    right to a prompt judicial assessment of probable cause to
    support any detention. See Gerstein, 
    420 U. S., at 114, 117, n. 19
    . In either situation, this Court—relying on the
    grand jury’s “historical role of protecting individuals from
    unjust persecution”—has “let [that body’s] judgment sub-
    stitute for that of a neutral and detached magistrate.”
    
    Ibid.
     The grand jury, all on its own, may effect a pre-trial
    restraint on a person’s liberty by finding probable cause to
    support a criminal charge.6
    ——————
    6 The grand jury’s unreviewed finding similarly may play a significant
    role in determining a defendant’s eligibility for release before trial
    under the Bail Reform Act of 1984, 
    18 U. S. C. §3141
     et seq. That
    statute creates a rebuttable presumption that a defendant is ineligible
    for bail if “there is probable cause to believe” she committed certain
    serious crimes. §§3142(e)(2)–(3), (f). The Courts of Appeal have uni-
    Cite as: 571 U. S. ____ (2014)                    9
    Opinion of the Court
    The same result follows when, as here, an infringement
    on the defendant’s property depends on a showing of prob-
    able cause that she committed a crime. If judicial review
    of the grand jury’s probable cause determination is not
    warranted (as we have so often held) to put a defendant on
    trial or place her in custody, then neither is it needed to
    freeze her property. The grand jury that is good enough—
    reliable enough, protective enough—to inflict those other
    grave consequences through its probable cause findings
    must be adequate to impose this one too. Indeed,
    Monsanto already noted the absence of any reason to hold
    property seizures to different rules: As described earlier,
    the Court partly based its adoption of the probable cause
    standard on the incongruity of subjecting an asset freeze
    to any stricter requirements than apply to an arrest or
    ensuing detention. See supra, at 6; 491 U. S., at 615 (“[I]t
    ——————
    formly held that presumption to operate whenever an indictment
    charges those offenses. Relying on our instruction that an indictment
    returned by a proper grand jury “conclusively determines the existence
    of probable cause,” the courts have denied defendants’ calls for any
    judicial reconsideration of that issue. United States v. Contreras, 
    776 F. 2d 51
    , 54 (CA2 1985) (quoting Gerstein v. Pugh, 
    420 U. S. 103
    , 117,
    n. 19 (1975)); see, e.g., United States v. Suppa, 
    799 F. 2d 115
    , 117–119
    (CA3 1986); United States v. Vargas, 
    804 F. 2d 157
    , 162–163 (CA1
    1986) (per curiam); United States v. Hurtado, 
    779 F. 2d 1467
    , 1477–
    1479 (CA11 1985).
    The dissent, while conceding this point, notes that courts may con-
    sider the “weight of the evidence” in deciding whether a defendant has
    rebutted the presumption. See post, at 9–10, and n. 3 (opinion of
    ROBERTS, C. J.). And so they may, along with a host of other factors
    relating to the defendant’s dangerousness or risk of flight. See
    §3142(g). But that is because the Bail Reform Act so allows—not
    because (as argued here) the Constitution compels the inquiry. And
    even that provision of the statute cuts against the dissent’s position,
    because it enables courts to consider only an evidentiary issue different
    from the probable cause determination. When it comes to whether
    probable cause supports a charge—i.e., the issue here—courts making
    bail determinations are stuck, as all agree, with the grand jury’s
    finding.
    10                   KALEY v. UNITED STATES
    Opinion of the Court
    would be odd to conclude that the Government may not
    restrain property” on the showing often sufficient to “re-
    strain persons”). By similar token, the probable cause
    standard, once selected, should work no differently for the
    single purpose of freezing assets than for all others.7 So
    the longstanding, unvarying rule of criminal procedure we
    have just described applies here as well: The grand jury’s
    determination is conclusive.
    And indeed, the alternative rule the Kaleys seek would
    have strange and destructive consequences. The Kaleys
    here demand a do-over, except with a different referee.
    They wish a judge to decide anew the exact question the
    grand jury has already answered—whether there is prob-
    able cause to think the Kaleys committed the crimes
    charged. But suppose the judge performed that task and
    came to the opposite conclusion. Two inconsistent findings
    would then govern different aspects of one criminal pro-
    ceeding: Probable cause would exist to bring the Kaleys to
    trial (and, if otherwise appropriate, hold them in prison),
    but not to restrain their property. And assuming the
    prosecutor continued to press the charges,8 the same judge
    who found probable cause lacking would preside over a
    ——————
    7Contrary to the dissent’s characterization, see post, at 11–12, noth-
    ing in our reasoning depends on viewing one consequence of a probable
    cause determination (say, detention) as “greater” than another (say, the
    asset freeze here). (We suspect that would vary from case to case, with
    some defendants seeing the loss of liberty as the more significant
    deprivation and others the loss of a chosen lawyer.) We simply see no
    reason to treat a grand jury’s probable cause determination as conclu-
    sive for all other purposes (including, in some circumstances, locking up
    the defendant), but not for the one at issue here.
    8A prosecutor, of course, might drop the case because of the court’s
    ruling, especially if he thought that decision would bring into play an
    ethical standard barring any charge “that the prosecutor knows is not
    supported by probable cause.” ABA Model Rule of Professional Conduct
    3.8(a) (2013). But then the court would have effectively done what we
    have long held it cannot: overrule the grand jury on whether to bring a
    defendant to trial. See supra, at 7–8.
    Cite as: 571 U. S. ____ (2014)                   11
    Opinion of the Court
    trial premised on its presence. That legal dissonance, if
    sustainable at all, could not but undermine the criminal
    justice system’s integrity—and especially the grand jury’s
    integral, constitutionally prescribed role. For in this new
    world, every prosecution involving a pre-trial asset freeze
    would potentially pit the judge against the grand jury as
    to the case’s foundational issue.9
    The Kaleys counter (as does the dissent, post, at 7) that
    apparently inconsistent findings are not really so, because
    the prosecutor could have presented scantier evidence to
    the judge than he previously offered the grand jury. Sup-
    pose, for example, that at the judicial hearing the prosecu-
    tor put on only “one witness instead of all five”; then, the
    Kaleys maintain, the judge’s decision of no probable cause
    would mean only that “the Government did not satisfy its
    burden[ ] on that one day in time.” Tr. of Oral Arg. 12, 18;
    see Reply Brief 11–12. But we do not think that hypothet-
    ical solves the problem. As an initial matter, it does not
    foreclose a different fact pattern: A judge could hear the
    exact same evidence as the grand jury, yet respond to it
    differently, thus rendering what even the Kaleys must
    concede is a contradictory finding. And when the Kaleys’
    hypothetical is true, just what does it show? Consider that
    the prosecutor in their example has left home some of the
    witnesses he took to the grand jury—presumably because,
    as we later discuss, he does not yet wish to reveal their
    identities or likely testimony. See infra, at 14–15. The
    ——————
    9 The dissent argues that the same is true when a judge hears evi-
    dence on whether frozen assets are traceable to a crime, because that
    allegation also appears in the indictment. See post, at 6–7; supra, at 3,
    and n. 3. But the tracing of assets is a technical matter far removed
    from the grand jury’s core competence and traditional function—to
    determine whether there is probable cause to think the defendant
    committed a crime. And a judge’s finding that assets are not traceable
    to the crime charged in no way casts doubt on the prosecution itself. So
    that determination does not similarly undermine the grand jury or
    create internal contradictions within the criminal justice system.
    12                    KALEY v. UNITED STATES
    Opinion of the Court
    judge’s ruling of no probable cause therefore would not
    mean that the grand jury was wrong: As the Kaleys con-
    cede, the grand jury could have heard more than enough
    evidence to find probable cause that they committed the
    crimes charged. The Kaleys would win at the later hear-
    ing despite, not because of, the case’s true merits. And we
    would then see still less reason for a judge to topple the
    grand jury’s (better supported) finding of probable cause.10
    Our reasoning so far is straightforward. We held in
    Monsanto that the probable cause standard governs the
    pre-trial seizure of forfeitable assets, even when they are
    needed to hire a lawyer. And we have repeatedly affirmed
    a corollary of that standard: A defendant has no right to
    judicial review of a grand jury's determination of probable
    cause to think a defendant committed a crime. In combi-
    nation, those settled propositions signal defeat for the
    Kaleys because, in contesting the seizure of their property,
    they seek only to relitigate such a grand jury finding.
    III
    The Kaleys would have us undertake a different analy-
    sis, which they contend would lead to a different conclu-
    sion. They urge us to apply the balancing test of Mathews
    v. Eldridge, 
    424 U. S. 319
     (1976), to assess whether they
    have received a constitutionally sufficient opportunity to
    challenge the seizure of their assets. See Brief for Peti-
    tioners 32–64. Under that three-pronged test (reordered
    ——————
    10 The dissent claims as well that the hearing the Kaleys seek “would
    not be mere relitigation” of the grand jury’s decision because they could
    now “tell their side of the story.” Post, at 8. But the same could be said
    of an adversarial hearing on an indictment’s validity, which everyone
    agrees is impermissible because it “look[s] into and revise[s]” the grand
    jury’s judgment. See 
    ibid.
     (quoting Costello v. United States, 
    350 U. S. 359
    , 362 (1956)). The lesson of our precedents, as described above, is
    that a grand jury’s finding is “conclusive”—and thus precludes subse-
    quent proceedings on the same matter—even though not arising from
    adversarial testing. See supra, at 7–8; see also infra, at 17–18.
    Cite as: 571 U. S. ____ (2014)           13
    Opinion of the Court
    here for expositional purposes), a court must weigh (1) the
    burdens that a requested procedure would impose on the
    Government against (2) the private interest at stake, as
    viewed alongside (3) “the risk of an erroneous deprivation”
    of that interest without the procedure and “the probable
    value, if any, of [the] additional . . . procedural safe-
    guard[ ].” Mathews, 
    424 U. S., at 335
    . Stressing the
    importance of their interest in retaining chosen counsel,
    the Kaleys argue that the Mathews balance tilts hard
    in their favor. It thus overrides—or so the Kaleys claim—
    all we have previously held about the finality of grand
    jury findings, entitling them to an evidentiary hearing be-
    fore a judge to contest the probable cause underlying the
    indictment.
    The Government battles with the Kaleys over whether
    Mathews has any application to this case. This Court
    devised the test, the Government notes, in an administra-
    tive setting—to decide whether a Social Security recipient
    was entitled to a hearing before her benefits were termi-
    nated. And although the Court has since employed the
    approach in other contexts, the Government reads Medina
    v. California, 
    505 U. S. 437
     (1992), as foreclosing its use
    here. In that case, we held that “the Mathews balancing
    test does not provide the appropriate framework for as-
    sessing the validity of state procedural rules which . . . are
    part of the criminal process,” reasoning that because the
    “Bill of Rights speaks in explicit terms to many aspects of
    criminal procedure,” the Due Process Clause “has limited
    operation” in the field. 
    Id., at 443
    . That settles that,
    asserts the Government. See Brief for United States 18.
    But the Kaleys argue that Medina addressed a State’s
    procedural rule and relied on federalism principles not
    implicated here. Further, they claim that Medina con-
    cerned a criminal proceeding proper, not a collateral ac-
    tion seizing property. See Reply Brief 1–5. As to that sort
    of action, the Kaleys contend, Mathews should govern.
    14               KALEY v. UNITED STATES
    Opinion of the Court
    We decline to address those arguments, or to define the
    respective reach of Mathews and Medina, because we need
    not do so. Even if Mathews applied here—even if, that is,
    its balancing inquiry were capable of trumping this
    Court’s repeated admonitions that the grand jury’s word is
    conclusive—the Kaleys still would not be entitled to the
    hearing they seek. That is because the Mathews test tips
    against them, and so only reinforces what we have already
    said. As we will explain, the problem for the Kaleys comes
    from Mathews’ prescribed inquiry into the requested
    procedure’s usefulness in correcting erroneous depriva-
    tions of their private interest. In light of Monsanto’s
    holding that a seizure of the Kaleys’ property is erroneous
    only if unsupported by probable cause, the added proce-
    dure demanded here is not sufficiently likely to make any
    difference.
    To begin the Mathews analysis, the Government has a
    substantial interest in freezing potentially forfeitable
    assets without an evidentiary hearing about the probable
    cause underlying criminal charges. At the least, such an
    adversarial proceeding—think of it as a pre-trial mini-trial
    (or maybe a pre-trial not-so-mini-trial)—could consume
    significant prosecutorial time and resources. The hearing
    presumably would rehearse the case’s merits, including
    the Government’s theory and supporting evidence. And
    the Government also might have to litigate a range of
    ancillary questions relating to the conduct of the hearing
    itself (for example, could the Kaleys subpoena witnesses or
    exclude certain evidence?).
    Still more seriously, requiring a proceeding of that kind
    could undermine the Government’s ability either to obtain
    a conviction or to preserve forfeitable property. To ensure
    a favorable result at the hearing, the Government could
    choose to disclose all its witnesses and other evidence.
    But that would give the defendant knowledge of the Gov-
    ernment’s case and strategy well before the rules of crimi-
    Cite as: 571 U. S. ____ (2014)                    15
    Opinion of the Court
    nal procedure—or principles of due process, see, e.g.,
    Brady v. Maryland, 
    373 U. S. 83
     (1963)—would otherwise
    require. See Fed. Rules Crim. Proc. 26.2(a), 16(a)(2);
    Weatherford v. Bursey, 
    429 U. S. 545
    , 559–561 (1977)
    (“There is no general constitutional right to discovery in a
    criminal case”). And sometimes (particularly in organized
    crime and drug trafficking prosecutions, in which forfeit-
    ure questions often arise), that sneak preview might not
    just aid the defendant’s preparations but also facilitate
    witness tampering or jeopardize witness safety. Alterna-
    tively, to ensure the success of its prosecution, the Gov-
    ernment could hold back some of its evidence at the hear-
    ing or give up on the pre-trial seizure entirely. But if the
    Government took that tack, it would diminish the likeli-
    hood of ultimately recovering stolen assets to which the
    public is entitled.11 So any defense counsel worth his
    salt—whatever the merits of his case—would put the
    prosecutor to a choice: “Protect your forfeiture by provid-
    ing discovery” or “protect your conviction by surrendering
    the assets.”12 It is small wonder that the Government
    ——————
    11 The  dissent says not to worry—the Government can obtain the
    assets after conviction by using 
    21 U. S. C. §853
    (c)’s “relation-back”
    provision. See post, at 15. That provision is intended to aid the Gov-
    ernment in recovering funds transferred to a third party—here, the
    Kaleys’ lawyer—subsequent to the crime. But forfeiture applies only to
    specific assets, so in the likely event that the third party has spent the
    money, the Government must resort to a State’s equitable remedies—
    which may or may not even be available—to force him to disgorge an
    equivalent amount. See Tr. of Oral Arg. 48–49. And indeed, if the
    Government could easily recover such monies, then few lawyers would
    agree to represent defendants like the Kaleys, and the dissent’s pro-
    posed holding would be for naught.
    12 Compare Cassella, Criminal Forfeiture Procedure, 
    32 Am. J. Crim. L. 55
    , 63 (2004) (explaining that “defendants tend to demand the
    hearing . . . to afford defense counsel an early opportunity to discover
    the nature of the Government’s criminal case and to cross-examine
    some of the Government’s witnesses”) with May, Attorney Fees and
    Government Forfeiture, 34 Champion 20, 23 (Apr. 2010) (advising that
    16                    KALEY v. UNITED STATES
    Opinion of the Court
    wants to avoid that lose-lose dilemma.
    For their part, however, defendants like the Kaleys have
    a vital interest at stake: the constitutional right to retain
    counsel of their own choosing. See Wheat v. United States,
    
    486 U. S. 153
    , 159 (1988) (describing the scope of, and
    various limits on, that right). This Court has recently
    described that right, separate and apart from the guaran-
    tee to effective representation, as “the root meaning” of the
    Sixth Amendment. United States v. Gonzalez-Lopez, 
    548 U. S. 140
    , 147–148 (2006); cf. Powell v. Alabama, 
    287 U. S. 45
    , 53 (1932) (“It is hardly necessary to say that, the right
    to counsel being conceded, a defendant should be afforded
    a fair opportunity to secure counsel of his own choice”).13
    Indeed, we have held that the wrongful deprivation of
    choice of counsel is “structural error,” immune from review
    for harmlessness, because it “pervades the entire trial.”
    Gonzalez-Lopez, 
    548 U. S., at 150
    . Different lawyers do all
    kinds of things differently, sometimes “affect[ing] whether
    and on what terms the defendant . . . plea bargains, or
    decides instead to go to trial”—and if the latter, possibly
    affecting whether she gets convicted or what sentence she
    receives. 
    Ibid.
     So for defendants like the Kaleys, having
    ——————
    “[e]ven if defense counsel cannot prevail on the facts or the law, he may
    be able to prevail anyway” because “[s]ometimes the government will
    decide to give up its restraint on a piece of property rather than engage
    in litigation that will result in early discovery”).
    13 Still, a restraint on assets could not deprive the Kaleys of represen-
    tation sufficient to ensure fair proceedings. The Sixth Amendment
    would require the appointment of effective counsel if the Kaleys were
    unable to hire a lawyer. See Strickland v. Washington, 
    466 U. S. 668
    (1984); Gideon v. Wainwright, 
    372 U. S. 335
     (1963). The vast majority
    of criminal defendants proceed with appointed counsel. And the Court
    has never thought, as the dissent suggests today, that doing so risks
    the “fundamental fairness of the actual trial.” Post, at 12; see post, at
    17–18. If it does, the right way to start correcting the problem is not by
    adopting the dissent’s position, but by ensuring that the right to effec-
    tive counsel is fully vindicated.
    Cite as: 571 U. S. ____ (2014)           17
    Opinion of the Court
    the ability to retain the “counsel [they] believe[ ] to be
    best”—and who might in fact be superior to any existing
    alternatives—matters profoundly. Id., at 146.
    And yet Monsanto held, crucially for the last part of our
    Mathews analysis, that an asset freeze depriving a defend-
    ant of that interest is erroneous only when unsupported
    by a finding of probable cause. Recall that Monsanto
    considered a case just like this one, where the defendant
    wanted to use his property to pay his preferred lawyer.
    He urged the Court to hold that the Government could
    seize assets needed for that purpose only after conviction.
    But we instead decided that the Government could act
    “after probable cause [that the assets are forfeitable] is
    adequately established.” 491 U. S., at 616. And that
    means in a case like this one—where the assets’ connec-
    tion to the allegedly illegal conduct is not in dispute, see
    supra, at 5—that a pre-trial seizure is wrongful only when
    there is no probable cause to believe the defendants com-
    mitted the crimes charged. Or to put the same point
    differently, such a freeze is erroneous—notwithstanding
    the weighty burden it imposes on the defendants’ ability to
    hire a chosen lawyer—only when the grand jury should
    never have issued the indictment.
    The Mathews test’s remaining prong—critical when the
    governmental and private interests both have weight—
    thus boils down to the “probable value, if any,” of a judicial
    hearing in uncovering mistaken grand jury findings of
    probable cause. 
    424 U. S., at 335
    . The Kaleys (and the
    dissent) contend that such proceedings will serve an im-
    portant remedial function because grand juries hear only a
    “one-sided presentation[ ]” of evidence. Brief for Petition-
    ers 57; see post, at 16. And that argument rests on a
    generally sound premise: that the adversarial process
    leads to better, more accurate decision-making. But in
    this context—when the legal standard is merely probable
    cause and the grand jury has already made that finding—
    18                KALEY v. UNITED STATES
    Opinion of the Court
    both our precedents and other courts’ experience indicate
    that a full-dress hearing will provide little benefit.
    This Court has repeatedly declined to require the use of
    adversarial procedures to make probable cause determina-
    tions. Probable cause, we have often told litigants, is not a
    high bar: It requires only the “kind of ‘fair probability’ on
    which ‘reasonable and prudent [people,] not legal techni-
    cians, act.’ ” Florida v. Harris, 568 U. S. __, __ (2013) (slip
    op., at 5) (quoting Illinois v. Gates, 
    462 U. S. 213
    , 231, 238
    (1983)); see Gerstein, 
    420 U. S., at 121
     (contrasting proba-
    ble cause to reasonable-doubt and preponderance stand-
    ards). That is why a grand jury’s finding of probable cause
    to think that a person committed a crime “can be [made]
    reliably without an adversary hearing,” 
    id., at 120
    ; it is
    and “has always been thought sufficient to hear only the
    prosecutor’s side,” United States v. Williams, 
    504 U. S. 36
    ,
    51 (1992). So, for example, we have held the “confronta-
    tion and cross-examination” of witnesses unnecessary in a
    grand jury proceeding. Gerstein, 
    420 U. S., at
    121–122.
    Similarly, we have declined to require the presentation of
    exculpatory evidence, see Williams, 
    504 U. S., at 51
    , and
    we have allowed the introduction of hearsay alone, see
    Costello, 
    350 U. S., at
    362–364. On each occasion, we
    relied on the same reasoning, stemming from our recogni-
    tion that probable cause served only a gateway function:
    Given the relatively undemanding “nature of the determi-
    nation,” the value of requiring any additional “formalities
    and safeguards” would “[i]n most cases . . . be too slight.”
    Gerstein, 
    420 U. S., at
    121–122.
    We can come out no differently here. The probable
    cause determinations the Kaleys contest are simply those
    underlying the charges in the indictment. No doubt the
    Kaleys could seek to poke holes in the evidence the Gov-
    ernment offered the grand jury to support those allega-
    tions. No doubt, too, the Kaleys could present evidence of
    their own, which might cast the Government’s in a differ-
    Cite as: 571 U. S. ____ (2014)           19
    Opinion of the Court
    ent light. (Presumably, the Kaleys would try in those two
    ways to show that they did not steal, but instead lawfully
    obtained the medical devices they later resold. See supra,
    at 4.) Our criminal justice system of course relies on such
    contestation at trial when the question becomes whether a
    defendant is guilty beyond peradventure. But as we have
    held before, an adversarial process is far less useful to the
    threshold finding of probable cause, which determines
    only whether adequate grounds exist to proceed to trial
    and reach that question. The probable cause decision, by
    its nature, is hard to undermine, and still harder to re-
    verse. So the likelihood that a judge holding an eviden-
    tiary hearing will repudiate the grand jury’s decision
    strikes us, once more, as “too slight” to support a constitu-
    tional requirement. Gerstein, 
    420 U. S., at 122
    .
    The evidence from other courts corroborates that view,
    over and over and over again. In the past two decades, the
    courts in several Circuits have routinely held the kind of
    hearing the Kaleys seek. See supra, at 3, and n. 4. Yet
    neither the Kaleys nor their amici (mostly lawyers’ associ-
    ations) have found a single case in which a judge found an
    absence of probable cause to believe that an indicted de-
    fendant committed the crime charged. One amicus cites
    25 reported cases involving pre-trial hearings on asset
    freezes. See Brief for New York Council of Defense Law-
    yers 4, n. 2. In 24 of those, the defendant lost outright.
    The last involved a not-yet-indicted defendant (so no
    grand jury finding); there, the District Court’s ruling for
    him was reversed on appeal. See Tr. of Oral Arg. 15, 36.
    To be sure, a kind of selection bias might affect those
    statistics: Perhaps a prosecutor with a very weak case
    would choose to abandon an asset freeze rather than face a
    difficult hearing. See id., at 16, 37. But the Kaleys and
    their amici have also failed to offer any anecdotes of that
    kind; and we suspect that the far more common reason a
    prosecutor relinquishes a freeze is just to avoid premature
    20                   KALEY v. UNITED STATES
    Opinion of the Court
    discovery. See supra, at 14–15. So experience, as far as
    anyone has discerned it, cuts against the Kaleys: It con-
    firms that even under Mathews, they have no right to
    revisit the grand jury’s finding.14
    IV
    When we decided Monsanto, we effectively resolved this
    case too. If the question in a pre-trial forfeiture case is
    whether there is probable cause to think the defendant
    committed the crime alleged, then the answer is: whatever
    the grand jury decides. And even if we test that proposi-
    tion by applying Mathews, we arrive at the same place: In
    considering such findings of probable cause, we have never
    thought the value of enhanced evidentiary procedures
    worth their costs. Congress of course may strike its own
    balance and give defendants like the Kaleys the kind of
    hearing they want. Indeed, Congress could disapprove of
    Monsanto itself and hold pre-trial seizures of property to a
    higher standard than probable cause. But the Due Pro-
    ——————
    14 As against all this—all we have formerly held and all other courts
    have actually found—the dissent cites nothing: not a single decision of
    ours suggesting, nor a single decision of a lower court demonstrating,
    that formal, adversarial procedures are at all likely to correct any
    grand jury errors. The dissent argues only that a hearing will have
    “probable value” for the Kaleys because “the deprivation of [their]
    right” to chosen counsel, once accomplished, is “effectively permanent.”
    Post, at 16. But that argument confuses two different parts of the
    Mathews inquiry. The dissent’s point well underscores the importance
    of the Kaleys’ interest: As we have readily acknowledged, if the grand
    jury made a mistake, the Kaleys have suffered a serious injury, which
    cannot later be corrected. See supra, at 16–17. (We note, though, that
    the dissent, in asserting that injury’s uniqueness, understates the
    losses that always attend a mistaken indictment, which no ultimate
    verdict can erase.) But the dissent’s argument about what is at stake
    for the Kaleys says nothing about the crucial, last prong of Mathews,
    which asks whether and to what extent the adversarial procedures they
    request will in fact correct any grand jury errors. That part of the
    analysis is what requires our decision, and the dissent’s view that the
    Government overreached in this particular case cannot overcome it.
    Cite as: 571 U. S. ____ (2014)          21
    Opinion of the Court
    cess Clause, even when combined with a defendant’s Sixth
    Amendment interests, does not command those results.
    Accordingly, the Kaleys cannot challenge the grand jury’s
    conclusion that probable cause supports the charges
    against them. The grand jury gets the final word.
    We therefore affirm the judgment of the Eleventh Cir-
    cuit and remand the case for further proceedings con-
    sistent with this opinion.
    It is so ordered.
    Cite as: 571 U. S. ____ (2014)            1
    ROBERTS, C. J., dissenting
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 12–464
    _________________
    KERRI L. KALEY, ET VIR, PETITIONERS v. UNITED
    STATES
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE ELEVENTH CIRCUIT
    [February 25, 2014]
    CHIEF JUSTICE ROBERTS, with whom JUSTICE BREYER
    and JUSTICE SOTOMAYOR join, dissenting.
    An individual facing serious criminal charges brought
    by the United States has little but the Constitution and
    his attorney standing between him and prison. He might
    readily give all he owns to defend himself.
    We have held, however, that the Government may
    effectively remove a defendant’s primary weapon of
    defense—the attorney he selects and trusts—by freezing
    assets he needs to pay his lawyer. That ruling is not at
    issue. But today the Court goes further, holding that a
    defendant may be hobbled in this way without an oppor-
    tunity to challenge the Government’s decision to freeze
    those needed assets. I cannot subscribe to that holding
    and respectfully dissent.
    I
    The facts of this case are important. They highlight the
    significance to a defendant of being able to hire his counsel
    of choice, and the potential for unfairness inherent in
    giving the prosecutor the discretion to take that right
    away. Kerri Kaley worked as a sales representative for a
    Johnson & Johnson subsidiary, selling prescription medi-
    cal devices. Kaley and other sales representatives occa-
    sionally obtained outmoded or surplus devices from staff
    2                 KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    members at the medical facilities they served, when, for
    example, those devices were no longer needed because
    they had been superseded by newer models. Kaley sold
    the unwanted devices to a Florida company, dividing the
    proceeds among the sales representatives.
    Kaley learned in January 2005 that a federal grand jury
    was investigating those activities as a conspiracy to sell
    stolen prescription medical devices. Kaley and her hus-
    band (who allegedly helped ship the products to Florida)
    retained counsel, who immediately set to work preparing
    their defense against any impending charges. Counsel
    regularly discussed the investigation with the Kaleys,
    helped review documents demanded by the grand jury,
    and met with prosecutors in an attempt to ward off an
    indictment. Nonetheless preparing for the worst, the
    Kaleys applied for a $500,000 equity line of credit on their
    home to pay estimated legal fees associated with a trial.
    They used that money to purchase a $500,000 certificate of
    deposit, which they set aside until it would be needed to
    pay their attorneys for the trial.
    In February 2007, the grand jury returned a seven-
    count indictment charging the Kaleys and another sales
    representative, Jennifer Gruenstrass, with violations of
    federal law. The indictment alleged that a “money judg-
    ment” of over $2 million and the $500,000 certificate of
    deposit were subject to forfeiture under 
    18 U. S. C. §981
    (a)(1)(C) because those assets constituted “proceeds”
    of the alleged crimes. Armed with this indictment, the
    prosecution obtained an ex parte order pursuant to 
    21 U. S. C. §853
    (e), thereby freezing all of the Kaleys’ assets
    listed in the indictment, including the certificate of deposit
    set aside for legal fees. The Government did not seek to
    freeze any of Gruenstrass’s assets.
    The Kaleys moved to vacate the order, requesting a
    hearing at which they could argue that there was no prob-
    able cause to believe their assets were forfeitable, because
    Cite as: 571 U. S. ____ (2014)             3
    ROBERTS, C. J., dissenting
    their alleged conduct was not criminal. They argued they
    were entitled to such a hearing because the restraining
    order targeted funds they needed and had set aside to
    retain for trial the same counsel who had been preparing
    their defense for two years. And they contended that the
    prosecution was baseless because the Government could
    not identify anyone who claimed ownership of the medical
    devices alleged to have been “stolen.” During a telephone
    conference with a Magistrate Judge on the motion, the
    prosecution conceded that it had been able to trace only
    $140,000 in allegedly criminal proceeds to the Kaleys,
    which led the Magistrate Judge to question the lawfulness
    of restraining the listed assets.
    Just two business days after that conference, the Gov-
    ernment obtained a superseding indictment that added a
    count of conspiracy to commit money laundering under 
    18 U. S. C. §1956
    (h). Adding that charge enabled the Gov-
    ernment to proceed under a much broader forfeiture provi-
    sion than the one in the original indictment. While the
    civil forfeiture provision in §981(a)(1)(C) authorized forfeit-
    ure of property that “constitutes or is derived from pro-
    ceeds traceable to” a qualifying criminal violation, the
    criminal forfeiture provision now invoked by the Govern-
    ment—§982(a)(1)—authorizes forfeiture of property “in-
    volved in” a qualifying offense, or “any property traceable
    to such property.” The superseding indictment alleged
    that a sum of more than $2 million, the certificate of de-
    posit reserved to pay legal expenses, and now the Kaleys’
    home were subject to forfeiture. And again, the Govern-
    ment sought an order freezing substantially all those
    assets.
    The Kaleys objected, repeating the arguments they had
    previously raised, and also contending that the prosecu-
    tors were being vindictive in adding the money laundering
    charge and seeking broader forfeiture. The District Court
    nonetheless entered the broader order requested by the
    4                 KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    Government, and the restraint on the Kaleys’ assets re-
    mains in place.
    While the Kaleys’ appeal from that denial was pending,
    the Government proceeded to trial separately against
    their codefendant Gruenstrass. As the Government had
    not sought to freeze Gruenstrass’s assets, she was repre-
    sented by her chosen counsel. Her counsel argued that the
    Government was pitching a fraud without a victim, be-
    cause no Government witness took the stand to claim
    ownership of the allegedly stolen devices. The jury acquit-
    ted Gruenstrass on all charges in less than three hours—a
    good omen for the Kaleys and their counsel as they pre-
    pared for their own trial.
    II
    The issues at stake here implicate fundamental consti-
    tutional principles. The Sixth Amendment provides that
    “[i]n all criminal prosecutions, the accused shall enjoy the
    right . . . to have the Assistance of Counsel for his de-
    fence.” In many ways, this is the most precious right a
    defendant has, because it is his attorney who will fight for
    the other rights the defendant enjoys. United States v.
    Cronic, 
    466 U. S. 648
    , 653–654 (1984). And more than 80
    years ago, we found it “hardly necessary to say that, the
    right to counsel being conceded, a defendant should be
    afforded a fair opportunity to secure counsel of his own
    choice.” Powell v. Alabama, 
    287 U. S. 45
    , 53 (1932).
    Indeed, we recently called the “right to select counsel of
    one’s choice . . . . the root meaning of the constitutional
    guarantee” of the Sixth Amendment. United States v.
    Gonzalez-Lopez, 
    548 U. S. 140
    , 147–148 (2006). The
    Amendment requires “that a particular guarantee of fair-
    ness be provided—to wit, that the accused be defended
    by the counsel he believes to be best.” 
    Id., at 146
    . An
    individual’s right to counsel of choice is violated “whenever
    the defendant’s choice is wrongfully denied,” and such
    Cite as: 571 U. S. ____ (2014)                    5
    ROBERTS, C. J., dissenting
    error “pervades the entire trial.” 
    Id., at 150
    . A violation of
    this right is therefore a “structural error,” ibid.; that
    is, one of the very few kinds of errors that “undermine
    the fairness of a criminal proceeding as a whole.” United
    States v. Davila, 569 U. S. ___, ___ (2013) (slip op., at 12).
    It is of course true that the right to counsel of choice is
    (like most rights) not absolute. A defendant has no right
    to choose counsel he cannot afford, counsel who is not
    a member of the bar, or counsel with an impermissible
    conflict of interest. Wheat v. United States, 
    486 U. S. 153
    ,
    159 (1988). And a district court need not always shuffle
    its calendar to accommodate a defendant’s preferred coun-
    sel if it has legitimate reasons not to do so. Morris v.
    Slappy, 
    461 U. S. 1
    , 11–12 (1983). But none of those
    limitations is imposed at the unreviewable discretion of a
    prosecutor—the party who wants the defendant to lose at
    trial.
    This Court has held that the prosecution may freeze
    assets a defendant needs to retain his counsel of choice
    upon “a finding of probable cause to believe that the assets
    are forfeitable.” United States v. Monsanto, 
    491 U. S. 600
    ,
    615 (1989). The Kaleys do not challenge that holding
    here. But the Court in Monsanto acknowledged and re-
    served the crucial question whether a defendant had the
    right to be heard before the Government could take such
    action. 
    Id., at 615, n. 10
    .1
    There was good reason for that caution. The possibility
    that a prosecutor could elect to hamstring his target by
    preventing him from paying his counsel of choice raises
    substantial concerns about the fairness of the entire pro-
    ceeding. “A fair trial in a fair tribunal is a basic require-
    ——————
    1 Because the District Court in Monsanto had imposed the restraining
    order after an “extensive, 4-day hearing on the question of probable
    cause,” it was “pointless” for this Court to decide whether a hearing was
    required to “adequately establish[ ]” probable cause. 491 U. S., at 615,
    n. 10, 616.
    6                KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    ment of due process.” In re Murchison, 
    349 U. S. 133
    , 136
    (1955). Issues concerning the denial of counsel of choice
    implicate the overall fairness of the trial because they
    “bear[ ] directly on the ‘framework within which the trial
    proceeds.’ ” Gonzalez-Lopez, 
    supra, at 150
     (quoting Arizona
    v. Fulminante, 
    499 U. S. 279
    , 310 (1991)).
    III
    Notwithstanding the substantial constitutional issues at
    stake, the majority believes that syllogistic-type reasoning
    effectively resolves this case. Ante, at 12. The majority’s
    reasoning goes like this: First, to freeze assets prior to
    trial, the Government must show probable cause to believe
    that a defendant has committed an offense giving rise to
    forfeiture. Second, grand jury determinations of probable
    cause are nonreviewable. Therefore, the Kaleys cannot
    “relitigate [the] grand jury finding” of probable cause to
    avoid a pretrial restraint of assets they need to retain
    their counsel of choice. 
    Ibid.
     I do not view the matter as
    nearly so “straightforward,” and neither did the multiple
    Courts of Appeals since Monsanto that have granted
    defendants the type of hearing the Kaleys request. See
    ante, at 3, n. 4.
    To begin with, the majority’s conclusion is wrong on its
    own terms. To freeze assets prior to trial, the Government
    must show probable cause to believe both that (1) a de-
    fendant has committed an offense giving rise to forfeiture
    and (2) the targeted assets have the requisite connection
    to the alleged criminal conduct. 
    21 U. S. C. §853
    (e)(1)(A).
    The Solicitor General concedes—and all Courts of Appeals
    to have considered the issue have held—that “defendants
    are entitled to show that the assets that are restrained are
    not actually the proceeds of the charged criminal offense,”
    Tr. of Oral Arg. 45; that is, that the second prong of the
    required showing is not satisfied. But by listing prop-
    erty in the indictment and alleging that it is subject to
    Cite as: 571 U. S. ____ (2014)                     7
    ROBERTS, C. J., dissenting
    forfeiture—as required to restrain assets before trial under
    §853(e)(1)(A)—the grand jury found probable cause to
    believe those assets were linked to the charged offenses,
    just as it found probable cause to believe the Kaleys com-
    mitted the underlying crimes. App. 60–61 (separate in-
    dictment section alleging criminal forfeiture, including of
    the certificate of deposit); see United States v. Jones, 
    160 F. 3d 641
    , 645 (CA10 1998); United States v. Monsanto,
    
    924 F. 2d 1186
    , 1197 (CA2 1991) (en banc); Dept. of Jus-
    tice, Asset Forfeiture Policy Manual 128 (2013) (“That the
    indictment alleges that property is subject to forfeiture
    indicates that the grand jury has made a probable cause
    determination.”). Neither the Government nor the major-
    ity gives any reason why the District Court may reconsider
    the grand jury’s probable cause finding as to traceability—
    and in fact constitutionally must, if asked—but may not do
    so as to the underlying charged offenses.2
    In any event, the hearing the Kaleys seek would not be
    mere relitigation of the grand jury proceedings. At that
    hearing, the District Court would consider the merits of
    the prosecution to determine whether there is probable
    cause to believe the Kaleys’ assets are forfeitable, not to
    determine whether the Kaleys may be tried at all. If the
    judge agrees with the Kaleys, he will merely hold that the
    Government has not met its burden at that hearing to
    justify freezing the assets the Kaleys need to pay their
    attorneys. The Government may proceed with the prose-
    ——————
    2 The majority’s only response is to characterize the grand jury’s
    finding of traceability as merely a “technical matter.” Ante, at 11, n. 9.
    But the indictment draws no distinction between the grand jury’s
    finding of probable cause to believe that the Kaleys committed a crime
    and its finding of probable cause to believe that certain assets are
    traceable to that crime. Both showings must be made to justify a
    pretrial asset restraint under Monsanto, and there is nothing in that
    case or the indictment that justifies treating one grand jury finding
    differently than the other.
    8                KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    cution, but the Kaleys will have their chosen counsel at
    their side.
    Even though the probable cause standard applies at
    both the indictment stage and the pretrial asset restraint
    hearing, the judge’s determination will be based on differ-
    ent evidence than that previously presented to the grand
    jury. For its part, the Government may choose to put on
    more or less evidence at the hearing than it did before
    the grand jury. And of course the Kaleys would have the
    opportunity to tell their side of the story—something the
    grand jury never hears. See United States v. Williams,
    
    504 U. S. 36
    , 51–52 (1992). Here, much of what the
    Kaleys want to present comes from Gruenstrass’s trial—
    evidence that the grand jury obviously could not have
    considered. So even if the judge determined that probable
    cause to justify the pretrial asset restraint had not been
    adequately established, that determination would not in
    any way amount to “looking into and revising the judg-
    ment of the grand jury upon the evidence, for the purpose
    of determining whether or not the finding was founded
    upon sufficient proof.” Ante, at 7 (quoting Costello v.
    United States, 
    350 U. S. 359
    , 362–363 (1956) (internal
    quotation marks omitted)). The judge’s decision based
    on the evidence presented at the hearing would have no
    necessary legal or logical consequence for the underlying
    prosecution because it would be based on different evi-
    dence and used for a different purpose.
    The majority warns that allowing a judge to consider
    the underlying merits of the prosecution for purposes of
    determining whether a defendant’s assets may be re-
    strained pretrial could create “legal dissonance” with the
    grand jury’s indictment, which “could not but undermine
    the criminal justice system’s integrity.” Ante, at 10–11.
    But as explained, such a judicial finding based on different
    evidence with both sides present would not contradict the
    grand jury’s probable cause finding based on what was
    Cite as: 571 U. S. ____ (2014)                   9
    ROBERTS, C. J., dissenting
    before it. That finding would still suffice to accomplish its
    purpose—to call for a trial on the merits of the charges.
    Rather than creating “dissonance,” the traditional roles of
    the principal actors in our justice system would remain
    respected: The grand jury decides whether a defendant
    should be required to stand trial, the judge decides pre-
    trial matters and how the trial should proceed, and the
    jury decides whether the defendant is guilty of the crime.
    Indeed, in the bail context—the pretrial determination
    that is perhaps the closest analogue to the pretrial re-
    straint of assets at issue here—we allow judicial inquiries
    into the underlying merits of the indicted charges, without
    concern about intruding into the province of the grand
    jury. An indictment charging sufficiently serious crimes
    gives rise to a rebuttable presumption that a defend-
    ant is not eligible for pretrial release. See 
    18 U. S. C. §§3142
    (e)(3) and (f). Such a defendant is nonetheless
    entitled to an evidentiary hearing at which he may contest
    (among other things) “the weight of the evidence against”
    him, §3142(g)(2). Yet no one would say that the district
    court encroached on the grand jury’s role if the court de-
    termined that it would not authorize pretrial detention
    because of the weakness of the prosecution’s case. See,
    e.g., United States v. Hurtado, 
    779 F. 2d 1467
    , 1479–1480
    (CA11 1985) (recognizing that in considering the “weight
    of the evidence” to decide whether the presumption is
    rebutted, “it may well be necessary to open up the issue of
    probable cause since that too is a question of evidentiary
    weight”). That makes sense, because the district court has
    considered the underlying merits of the charges based on
    different information and for a different purpose than the
    grand jury did. Such a defendant would be granted pre-
    trial release, but would still have to show up for trial.3
    ——————
    3 The majority cites cases in which courts have correctly rejected re-
    quests for a judicial redetermination of the grand jury’s probable cause
    10                    KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    In any event, few things could do more to “undermine
    the criminal justice system’s integrity,” ante, at 11, than to
    allow the Government to initiate a prosecution and then,
    at its option, disarm its presumptively innocent opponent
    by depriving him of his counsel of choice—without even an
    opportunity to be heard. That is the result of the Court’s
    decision in this case, and it is fundamentally at odds with
    our constitutional tradition and basic notions of fair play.
    IV
    The majority is no more persuasive in applying the due
    process balancing test set forth in Mathews v. Eldridge,
    
    424 U. S. 319
     (1976).4 As an initial matter, the majority
    ——————
    finding for purposes of determining whether the rebuttable presumption
    of pretrial detention is triggered. See ante, at 8–9, n. 6. But those
    cases do not question the judge’s authority to consider the underlying
    merits of the Government’s case (including what the grand jury has
    alleged in the indictment) for purposes of determining whether that
    presumption has been rebutted. E.g., United States v. Dominguez, 
    783 F. 2d 702
    , 706 (CA7 1986) (“evidence probative of guilt is admitted at
    a detention hearing only to support or challenge the weight of the gov-
    ernment’s case against the defendant”); see also United States v. Jones,
    
    583 F. Supp. 2d 513
    , 517 (SDNY 2008) (releasing a defendant pretrial
    after determining that “the weight of the evidence now overcomes the
    presumption of detention”). The majority notes that this inquiry in the
    bail context is authorized by statute, but that does not alter the crucial
    point: Where the prosecutor seeks to use the indictment to impose
    another significant pretrial consequence on a defendant, judges are
    allowed to inquire into the underlying merits of the prosecution (includ-
    ing the very same matters the grand jury has considered) as part of the
    inquiry into whether that consequence is justified, and that has not
    resulted in “dissonance” or the undermining of the grand jury’s role.
    4 Under our due process precedents, it is clear that the Mathews test
    applies in this case, rather than the inquiry set forth in Medina v.
    California, 
    505 U. S. 437
     (1992). We held in Medina that Mathews is
    inapplicable when “assessing the validity of state procedural rules” that
    “are part of the criminal process.” 
    Id., at 443
    . We have therefore
    applied Medina rather than Mathews only when considering such due
    process challenges, including, for example, the allocation of burdens of
    proof or what type of evidence may be admitted. See, e.g., 
    id.,
     at 443–
    Cite as: 571 U. S. ____ (2014)                  11
    ROBERTS, C. J., dissenting
    gives short shrift to the Kaleys’ interests at stake. “The
    presumption of innocence, although not articulated in the
    Constitution, is a basic component of a fair trial under our
    system of criminal justice.” Estelle v. Williams, 
    425 U. S. 501
    , 503 (1976). Whatever serious crimes the grand jury
    alleges the Kaleys committed, they are presumptively
    innocent of those charges until final judgment. Their right
    to vindicate that presumption by choosing the advocate
    they believe will best defend them is, as explained, at the
    very core of the Sixth Amendment.
    I suspect that, for the Kaleys, that right could hardly be
    more precious than it is now. In addition to potentially
    losing the property the Government has already frozen—
    including their home—the Kaleys face maximum prison
    terms of five years (
    18 U. S. C. §371
    ), ten years (§2314),
    and 20 years (§1956(h)) for the charges in the superseding
    indictment. The indictment means they must stand trial
    on those charges. But the Kaleys plainly have an urgent
    interest in having their chosen counsel—who has worked
    with them since the grand jury’s investigation began, two
    years before the indictment—mount their best possible
    defense at trial.
    The majority alludes to our cases recognizing that in-
    dictments may result in the temporary deprivation of a
    defendant’s liberty without judicial review, and suggests
    that indictments therefore must also be “good enough” to
    deprive a defendant of property without judicial review.
    Ante, at 9–10. Even if this greater-includes-the-lesser
    ——————
    446 (burden of proving incompetence to stand trial); Patterson v. New
    York, 
    432 U. S. 197
    , 202 (1977) (burden of proving affirmative defense);
    Dowling v. United States, 
    493 U. S. 342
    , 352 (1990) (admissibility of
    testimony about a prior crime of which the defendant was acquitted).
    This case is not about such questions, but about the collateral issue of
    the pretrial deprivation of property a defendant needs to exercise his
    right to counsel of choice. Mathews therefore provides the relevant
    inquiry.
    12               KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    reasoning might be valid in other contexts, it is not when
    the property at issue is needed to hire chosen counsel. In
    the context of a prosecution for serious crimes, it is far
    from clear which interest is greater—the interest in tem-
    porary liberty pending trial, or the interest in using one’s
    available means to avoid imprisonment for many years
    after trial. Retaining one’s counsel of choice ensures the
    fundamental fairness of the actual trial, and thus may be
    far more valuable to a criminal defendant than pretrial
    release.
    As for the Government’s side, the Court echoes the
    Government’s concerns that a hearing would place de-
    mands on its resources and interfere with its desire to
    keep its trial strategy close to the vest. These concerns
    are somewhat curious in light of the majority’s emphasis
    on how easy it is to make a probable cause showing. And
    they are even more surprising in light of the extensive
    discovery obligations already imposed on the Government
    by Federal Rule of Criminal Procedure 16 and Brady v.
    Maryland, 
    373 U. S. 83
     (1963). The emphasis the Gov-
    ernment places on pretrial secrecy evokes an outdated
    conception of the criminal trial as “a poker game in which
    players enjoy an absolute right always to conceal their
    cards until played.” Williams v. Florida, 
    399 U. S. 78
    , 82
    (1970).
    Moreover, recall that the Government concedes that due
    process guarantees defendants a hearing to contest the
    traceability of the restrained assets to the charged con-
    duct. If a defendant requests such a hearing, the Gov-
    ernment will likely be required to reveal something about
    its case to demonstrate that the assets have the requisite
    connection to the charged offenses.
    In any event, these concerns are exaggerated. What the
    Government would be required to show in a pretrial re-
    straint hearing is similar to pretrial showings prosecutors
    make in other contexts on a daily basis. As mentioned
    Cite as: 571 U. S. ____ (2014)           13
    ROBERTS, C. J., dissenting
    above, when the Government seeks an order detaining a
    defendant pending trial, it routinely makes an extensive
    evidentiary showing—voluntarily disclosing much of its
    evidence and trial strategy—in support of that relief. See
    Brief for California Attorneys for Criminal Justice as
    Amicus Curiae 11–18. The Government makes similar
    showings in the context of other pretrial motions, such
    as motions to admit hearsay evidence under the co-
    conspirator exception, or to discover attorney-client com-
    munications made in furtherance of a future crime. 
    Id.,
     at
    19–28.
    In those contexts, as in this one, the decision how much
    to “show its hand” rests fully within the Government’s
    discretion. If it has a strong case and believes that pretrial
    restraint is necessary to preserve the assets for forfeit-
    ure, the Government may choose to make a strong evi-
    dentiary showing and have little concern about doing so.
    In a closer case, where the Government is more concerned
    about tipping its hand, it may elect to forgo a pretrial
    restraint of those assets the defendant needs to pay his
    counsel. I see no great burden on the Government in
    allowing it to strike this balance as it sees fit when consid-
    ering a pretrial asset restraint that would deprive a de-
    fendant of his right to counsel of choice. In the end, it is a
    bit much to argue that the Government has discretion to
    deprive a defendant—without a hearing—of the counsel he
    has chosen to present his defense, simply to avoid the
    mere possibility of a premature peek at some aspect of
    what the Government intends to do at trial.
    The majority also significantly underestimates the
    amount of control judges can exercise in these types of
    hearings. The Circuits that allow such hearings have
    afforded judges a great deal of flexibility in structuring
    them. Judges need not apply the Federal Rules of Evi-
    dence during the hearings, and they can take many steps,
    including in camera proceedings, to ensure that witness
    14               KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    safety and grand jury secrecy are fully preserved. See
    Monsanto, 
    924 F. 2d, at 1198
    ; United States v. E-Gold,
    Ltd., 
    521 F. 3d 411
    , 418–419 (CADC 2008).
    Moreover, experience in the Second Circuit, where
    defendants have for more than 20 years been afforded the
    type of hearing the Kaleys seek, indicates that such hear-
    ings do not occur so often as to raise substantial concerns
    about taxing the resources of the Government and lower
    courts. See Brief for New York Council of Defense Law-
    yers as Amicus Curiae 4–9. As the majority notes, only 25
    reported cases appear to have addressed such hearings.
    Id., at 4. This relative rarity is unsurprising. To even be
    entitled to the hearing, defendants must first show a
    genuine need to use the assets to retain counsel of choice.
    See United States v. Bonventre, 
    720 F. 3d 126
    , 131 (CA2
    2013). And defendants too have an incentive not to tip
    their hands as to trial strategy—perhaps to an even greater
    extent than the Government, given that defendants bear
    comparatively few discovery obligations at a criminal
    trial. In light of the low bar of the probable cause stand-
    ard, many defendants likely conclude that the possible
    benefits of the hearing are not worth the candle.
    For those hearings that do occur, they are by all appear-
    ances ably controlled by district judges to keep them man-
    ageable and to limit the potential for excess or abuse. See
    Brief for New York Council of Defense Lawyers as Amicus
    Curiae 6–8. In addition, where such hearings are allowed,
    prosecutors and defense counsel often reach agreements
    concerning the scope and conditions of any protective
    order that accommodate the interests of both sides. See
    
    id.,
     at 8–9. When the right at stake is as fundamental as
    hiring one’s counsel of choice—the “root meaning” of the
    Sixth Amendment, Gonzalez-Lopez, 
    548 U. S., at
    147–
    148—the Government’s interest in saving the time and
    expense of a limited number of such proceedings is not
    particularly compelling.
    Cite as: 571 U. S. ____ (2014)                    15
    ROBERTS, C. J., dissenting
    The Government does have legitimate interests that are
    served by forfeiture of allegedly tainted assets. Caplin &
    Drysdale, Chartered v. United States, 
    491 U. S. 617
    , 629
    (1989). And imposing a pretrial restraint on such assets
    does increase the likelihood that they will be available if
    the defendant is convicted.5 But that interest is protected
    in other ways that mitigate the concern that defendants
    will successfully divert forfeitable assets from the Gov-
    ernment’s reach if afforded a hearing. The relation-back
    provision in 
    21 U. S. C. §853
    (c) provides that title to for-
    feitable assets, once adjudged forfeitable, vests in the
    Government as of the time the offense was committed.
    Section 853(c) then provides that the Government may
    seek a “special verdict of forfeiture” as to any forfeited
    property that was subsequently transferred to a third
    party. The Government protests that recovery of such
    assets will often be complicated and subject to the vagar-
    ies of state law. Tr. of Oral Arg. 49–50. But such com-
    plaints of administrative inconvenience carry little weight
    in this particular context, when the Government knows
    exactly where the money has gone: to an attorney who is,
    after all, an officer of the court, and on notice that the
    Government claims title to the assets.
    And we are not talking about all of a defendant’s assets
    that are subject to forfeiture—only those that the defend-
    ant can show are necessary to secure his counsel of choice.
    ——————
    5 The Government and the majority place particular emphasis on the
    use of forfeited assets to provide restitution to victims of crime. See
    Brief for United States 41–42, and n. 14; ante, at 2, n. 1. It is worth
    noting in this respect that in prosecuting the other sales representa-
    tives that participated with the Kaleys in the allegedly fraudulent
    conduct, the Government’s position as to who exactly is the “victim” has
    shifted frequently. See Brief for Petitioners 9–11 (hospitals); 
    id., at 18
    ,
    21–23 (their employers); Tr. of Oral Arg. 43–44 (hospitals). As one
    prosecutor forthrightly acknowledged at the sentencing hearing of an
    alleged co-conspirator, “we can’t make restitution.” Brief for Petition-
    ers 11.
    16               KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    Here, for example, the Kaleys have identified as needed to
    pay counsel only a discrete portion of the assets the Gov-
    ernment seeks. The statistics cited by the Court on the
    total amount of assets recovered by the Government and
    provided as restitution for victims, ante, at 2, n. 1, are
    completely beside the point.
    The majority ultimately concludes that a pretrial hear-
    ing of the sort the Kaleys seek would be a waste of time.
    Ante, at 17–20. No. It takes little imagination to see that
    seizures based entirely on ex parte proceedings create a
    heightened risk of error. Common sense tells us that
    secret decisions based on only one side of the story will
    prove inaccurate more often than those made after hear-
    ing from both sides. We have thus consistently recognized
    that the “fundamental instrument for judicial judgment” is
    “an adversary proceeding in which both parties may par-
    ticipate.” Carroll v. President and Comm’rs of Princess
    Anne, 
    393 U. S. 175
    , 183 (1968). In the present context,
    some defendants (like the Kaleys) may be able to show
    that the theory of prosecution is legally defective through
    an argument that almost certainly was not presented to
    the grand jury. And as discussed above, supra, at 13–15,
    prosecutors in some cases elect not to freeze needed assets,
    or they negotiate tailored protective orders to serve the
    interests of both sides—something they would be unlikely
    to do if the hearings were rote exercises.
    Given the risk of an erroneous restraint of assets needed
    to retain chosen counsel, the “probable value” of the “addi-
    tional safeguard” a pretrial hearing would provide is
    significant. That is because the right to counsel of choice
    is inherently transient, and the deprivation of that right
    effectively permanent. In our cases suggesting that little
    would be gained by requiring an adversary hearing on
    probable cause or imposing stricter evidentiary require-
    ments in grand jury proceedings, we have noted that the
    grand jury is not where the ultimate question of “the guilt
    Cite as: 571 U. S. ____ (2014)           17
    ROBERTS, C. J., dissenting
    or innocence of the accused is adjudicated.” United States
    v. Calandra, 
    414 U. S. 338
    , 343 (1974); see United States
    v. Williams, 
    504 U. S. 36
    , 51 (1992) (explaining that the
    grand jury hears only from the prosecutor because “ ‘the
    finding of an indictment is only in the nature of an en-
    quiry or accusation, which is afterwards to be tried and
    determined’ ” (quoting 4 W. Blackstone, Commentaries 300
    (1769)). If the grand jury considers incomplete or incom-
    petent evidence in deciding to return an indictment, the
    defendant still has the full trial on the merits, with all its
    “formalities and safeguards,” Gerstein v. Pugh, 
    420 U. S. 103
    , 122 (1975), to prove his innocence.
    Here, by contrast, the Government seeks to use the
    grand jury’s probable cause determination to strip the
    Kaleys of their counsel of choice. The Kaleys can take no
    comfort that they will be able to vindicate that right in a
    future adversarial proceeding. Once trial begins with
    someone other than chosen counsel, the right is lost, and it
    cannot be restored based on what happens at trial. “The
    fundamental requirement of due process is the opportunity
    to be heard ‘at a meaningful time and in a meaningful
    manner.’ ” Mathews, 
    424 U. S., at 333
     (quoting Armstrong
    v. Manzo, 
    380 U. S. 545
    , 552 (1965)). If the Kaleys are to
    have any opportunity to meaningfully challenge that
    deprivation, they must have it before the trial begins.
    *   *     *
    The issues presented here implicate some of the most
    fundamental precepts underlying the American criminal
    justice system. A person accused by the United States of
    committing a crime is presumed innocent until proven
    guilty beyond a reasonable doubt. But he faces a foe of
    powerful might and vast resources, intent on seeing him
    behind bars. That individual has the right to choose the
    advocate he believes will most ably defend his liberty at
    trial.
    18                KALEY v. UNITED STATES
    ROBERTS, C. J., dissenting
    The trial is governed by rules designed to ensure that,
    whatever the ultimate verdict, we can be confident to the
    extent possible that justice was done, within the bounds of
    the Constitution. That confidence is grounded in our
    belief in the adversary system. “The very premise of our
    adversary system of criminal justice is that partisan advo-
    cacy on both sides of a case will best promote the ultimate
    objective that the guilty be convicted and the innocent go
    free.” Herring v. New York, 
    422 U. S. 853
    , 862 (1975).
    Today’s decision erodes that confidence by permitting
    the Government to deprive a criminal defendant of his right
    to counsel of choice, without so much as a chance to be
    heard on why such a significant pretrial deprivation is
    unwarranted.
    The majority wraps up its analysis by blandly noting
    that Congress is of course free to extend broader protec-
    tion to criminal defendants. Ante, at 20. Not very likely.
    In this area it is to the courts that those charged with
    crime must turn.
    Federal prosecutors, when they rise in court, represent
    the people of the United States. But so do defense lawyers—
    one at a time. In my view, the Court’s opinion pays
    insufficient respect to the importance of an independent
    bar as a check on prosecutorial abuse and government
    overreaching. Granting the Government the power to take
    away a defendant’s chosen advocate strikes at the heart of
    that significant role. I would not do it, and so respectfully
    dissent.
    

Document Info

Docket Number: 12–464.

Citation Numbers: 188 L. Ed. 2d 46, 134 S. Ct. 1090, 2014 U.S. LEXIS 1634, 82 U.S.L.W. 4110, 571 U.S. 320

Judges: Kagan

Filed Date: 2/25/2014

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (35)

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United States v. Juan Vargas , 804 F.2d 157 ( 1986 )

United States v. Victor Contreras , 776 F.2d 51 ( 1985 )

United States v. Antonio Dominguez and Roberto Rodriguez , 783 F.2d 702 ( 1986 )

Costello v. United States , 76 S. Ct. 406 ( 1956 )

Patterson v. New York , 97 S. Ct. 2319 ( 1977 )

Bank of Nova Scotia v. United States , 108 S. Ct. 2369 ( 1988 )

Medina v. California , 112 S. Ct. 2572 ( 1992 )

United States v. Gonzalez-Lopez , 126 S. Ct. 2557 ( 2006 )

United States v. Frank Suppa , 799 F.2d 115 ( 1986 )

United States v. William Haskell Farmer , 274 F.3d 800 ( 2001 )

United States v. Detroit Timber & Lumber Co. , 26 S. Ct. 282 ( 1906 )

Ex Parte United States , 53 S. Ct. 129 ( 1932 )

Mathews v. Eldridge , 96 S. Ct. 893 ( 1976 )

Carroll v. President & Commissioners of Princess Anne , 89 S. Ct. 347 ( 1968 )

View All Authorities »

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