Yeager v. United States , 129 S. Ct. 2360 ( 2009 )


Menu:
  • (Slip Opinion)              OCTOBER TERM, 2008                                       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
    YEAGER v. UNITED STATES
    CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR
    THE FIFTH CIRCUIT
    No. 08–67. Argued March 23, 2009—Decided June 18, 2009
    A federal indictment charged petitioner Yeager with securities and wire
    fraud for allegedly misleading the public about the virtues of a fiber
    optic telecommunications system offered by his employer, a subsidi
    ary of Enron Corp., and with insider trading for selling his Enron
    stock while in possession of material, nonpublic information about
    the new system’s performance and value to Enron. The indictment
    also charged petitioner with money laundering for conducting various
    transactions with the proceeds of his stock sales. The jury acquitted
    Yeager on the fraud counts but failed to reach a verdict on the in
    sider-trading and money-laundering counts. After the Government
    recharged him with some of the insider-trading and money
    laundering counts, Yeager moved to dismiss the charges on the
    ground that the jury, by acquitting him on the fraud counts, had nec
    essarily decided that he did not possess material, nonpublic informa
    tion about the project’s performance and value, and that the issue
    preclusion component of the Double Jeopardy Clause therefore
    barred a second trial for insider trading and money laundering. The
    District Court denied the motion, and the Fifth Circuit affirmed, rea
    soning that the fact that the jury hung on the insider-trading and
    money-laundering counts—as opposed to acquitting petitioner—cast
    doubt on whether it had necessarily decided that petitioner did not
    possess material, nonpublic information. This inconsistency between
    the acquittals and the hung counts, the Fifth Circuit concluded,
    meant that the Government could prosecute petitioner anew for in
    sider trading and money laundering.
    Held: An apparent inconsistency between a jury’s verdict of acquittal on
    some counts and its failure to return a verdict on other counts does
    not affect the acquittals’ preclusive force under the Double Jeopardy
    2                      YEAGER v. UNITED STATES
    Syllabus
    Clause. Pp. 6–15.
    (a) This case is controlled by the reasoning in Ashe v. Swenson, 
    397 U.S. 436
    , where the Court squarely held that the Double Jeopardy
    Clause precludes the Government from relitigating any issue that
    was necessarily decided by a jury’s acquittal in a prior trial. For
    double jeopardy purposes, the jury’s inability to reach a verdict on
    Yeager’s insider-trading and money-laundering counts was a non
    event that should be given no weight in the issue-preclusion analysis.
    To identify what a jury necessarily determined at trial, courts should
    scrutinize the jury’s decisions, not its failures to decide. A jury’s ver
    dict of acquittal represents the community’s collective judgment re
    garding all the evidence and arguments presented to it. Even if the
    verdict is “based upon an egregiously erroneous foundation,” Fong
    Foo v. United States, 
    369 U.S. 141
    , 143, its finality is unassailable,
    see, e.g., Arizona v. Washington, 
    434 U.S. 497
    , 503. Thus, if the pos
    session of insider information was a critical issue of ultimate fact in
    all of the charges against Yeager, a jury verdict that necessarily de
    cided that issue in his favor protects him from prosecution for any
    charge for which that is an essential element. Pp. 6–12.
    (b) Neither Richardson v. United States, 
    468 U.S. 317
    , nor United
    States v. Powell, 
    469 U.S. 57
    , supports the Government’s argument
    that it can retry Yeager for insider trading or money laundering.
    Richardson’s conclusion that a jury’s “failure . . . to reach a verdict is
    not an event which terminates jeopardy,” 468 U. S., at 325, did not
    open the door to using a hung count to ignore the preclusive effect of
    a jury’s acquittal, but was simply a rejection of the argument—
    similar to the Government’s today—that a mistrial is an event of sig
    nificance. Also rejected is the contention that an acquittal can never
    preclude retrial on a hung count because it would impute irrational
    ity to the jury in violation of Powell’s rule that issue preclusion is
    “predicated on the assumption that the jury acted rationally,” 469
    U. S., at 68. The Court’s refusal in Powell and in Dunn v. United
    States, 
    284 U.S. 390
    , to impugn the legitimacy of jury verdicts that,
    on their face, were logically inconsistent shows, a fortiori, that a po
    tentially inconsistent hung count could not command a different re
    sult. Pp. 12–14.
    (c) The Government has argued that, even if hung counts cannot
    enter the issue-preclusion analysis, Yeager has failed to show that
    the jury’s acquittals necessarily resolved in his favor an issue of ulti
    mate fact that must be proved to convict him of insider trading and
    money laundering. Having granted certiorari on the assumption that
    the Fifth Circuit ruled correctly that the acquittals meant the jury
    found that Yeager did not have insider information that contradicted
    what was presented to the public, this Court declines to engage in a
    Cite as: 557 U. S. ____ (2009)                   3
    Syllabus
    fact-intensive analysis of the voluminous record that is unnecessary
    to resolve the narrow legal question at issue. If the Court of Appeals
    chooses, it may revisit its factual analysis in light of the Govern
    ment’s arguments before this Court. Pp. 14–15.
    
    521 F.3d 367
    , reversed and remanded.
    STEVENS, J., delivered the opinion of the Court, in which ROBERTS,
    C. J., and SOUTER, GINSBURG, and BREYER, JJ., joined, and in which
    KENNEDY, J., joined as to Parts I–III and V. KENNEDY, J., filed an opin
    ion concurring in part and concurring in the judgment. SCALIA, J., filed
    a dissenting opinion, in which THOMAS and ALITO, JJ., joined. ALITO, J.,
    filed a dissenting opinion, in which SCALIA and THOMAS, JJ., joined.
    Cite as: 557 U. S. ____ (2009)                              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. 08–67
    _________________
    F. SCOTT YEAGER, PETITIONER v. UNITED STATES
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 18, 2009]
    JUSTICE STEVENS delivered the opinion of the Court.
    In Dunn v. United States, 
    284 U.S. 390
    , 393 (1932), the
    Court, speaking through Justice Holmes, held that a
    logical inconsistency between a guilty verdict and a verdict
    of acquittal does not impugn the validity of either verdict.
    The question presented in this case is whether an appar
    ent inconsistency between a jury’s verdict of acquittal on
    some counts and its failure to return a verdict on other
    counts affects the preclusive force of the acquittals under
    the Double Jeopardy Clause of the Fifth Amendment. We
    hold that it does not.
    I
    In 1997, Enron Corporation (Enron) acquired a tele
    communications business that it expanded and ultimately
    renamed Enron Broadband Services (EBS). Petitioner F.
    Scott Yeager served as Senior Vice President of Strategic
    Development for EBS from October 1, 1998, until his
    employment was terminated a few months before Enron
    filed for bankruptcy on December 2, 2001. During his
    tenure, petitioner played an active role in EBS’s attempt
    to develop a nationwide fiber-optic telecommunications
    system called the Enron Intelligent Network (EIN).
    2                   YEAGER v. UNITED STATES
    Opinion of the Court
    In the summer of 1999, Enron announced that EBS
    would become a “ ‘core’ ” Enron business and a major part
    of its overall strategy. App. 11. Thereafter, Enron issued
    press releases touting the advanced capabilities of EIN
    and claiming that the project was “ ‘lit,’ ” or operational.
    Id., at 10. On January 20, 2000, at the company’s annual
    equity analyst conference, petitioner and others allegedly
    made false and misleading statements about the value
    and performance of the EIN project. On January 21, 2000,
    the price of Enron stock rose from $54 to $67. The next
    day it reached $72. At that point petitioner sold more
    than 100,000 shares of Enron stock that he had received
    as part of his compensation. During the next several
    months petitioner sold an additional 600,000 shares. All
    told, petitioner’s stock sales generated more than $54
    million in proceeds and $19 million in personal profit. As
    for the EIN project, its value turned out to be illusory.
    The “intelligent” network showcased to the public in the
    press releases and at the analyst conference was riddled
    with technological problems and never fully developed.
    On November 5, 2004, a grand jury returned a “Fifth
    Superseding Indictment” charging petitioner with 126
    counts of five federal offenses: (1) conspiracy to commit
    securities and wire fraud; (2) securities fraud; (3) wire
    fraud; (4) insider trading; and (5) money laundering.1 The
    Government’s theory of prosecution was that petitioner—
    acting in concert with other Enron executives—
    purposefully deceived the public about the EIN project in
    order to inflate the value of Enron’s stock and, ultimately,
    to enrich himself.2 Id., at 6.
    ——————
    1 See 
    18 U.S. C
    . §371 (conspiracy to commit fraud against the United
    States); 
    15 U.S. C
    . §78j(b) (1994 ed.), §78ff (2000 ed.), and 17 CFR
    §240.10b–5 (2004) (securities fraud); 
    18 U.S. C
    . §1343 (2000 ed.) (wire
    fraud); 
    15 U.S. C
    . §78j(b) (1994 ed.), §78ff (2000 ed.), and 17 CFR
    §240.10b–5–1 (insider trading); 
    18 U.S. C
    . §1957 (money laundering).
    2 While petitioner was charged with 126 counts, the indictment in
    Cite as: 557 U. S. ____ (2009)                 3
    Opinion of the Court
    Count 1 of the indictment described in some detail the
    alleged conspiracy to commit securities fraud and wire
    fraud and included as overt acts the substantive offenses
    charged in counts 2 through 6. Count 2, the securities
    fraud count, alleged that petitioner made false and mis
    leading statements at the January 20, 2000, analyst con
    ference or that he failed to state facts necessary to prevent
    statements made by others from being misleading. Counts
    3 through 6 alleged that petitioner and others committed
    four acts of wire fraud when they issued four EBS-related
    press releases in 2000. Counts 27 through 46, the insider
    trading counts, alleged that petitioner made 20 separate
    sales of Enron stock “while in the possession of material
    non-public information regarding the technological capa
    bilities, value, revenue and business performance of
    [EBS].” Id., at 31. And counts 67 through 165, the money
    laundering counts, described 99 financial transactions
    involving petitioner’s use of the proceeds of his sales of
    Enron stock, which the indictment characterized as
    “criminally derived property.” Id., at 37. To simplify our
    discussion, we shall refer to counts 1 through 6 as the
    “fraud counts” and the remaining counts as the “insider
    trading counts.”
    The trial lasted 13 weeks. After four days of delibera
    tions, the jury notified the court that it had reached
    agreement on some counts but had deadlocked on others.
    The judge then gave the jury an Allen charge, see Allen v.
    United States, 
    164 U.S. 492
    , 501–502 (1896), urging the
    jurors to reexamine the grounds for their opinions and to
    continue deliberations “until the end of the day” to achieve
    a final verdict on all counts. Tr. 13724 (July 20, 2005).
    When the jury failed to break the deadlock, the court told
    the jurors that it would “take their verdict” instead of
    ——————
    cluded 176 counts in all, covering conduct by executives purportedly
    involved in the alleged fraud.
    4                   YEAGER v. UNITED STATES
    Opinion of the Court
    prolonging deliberations. Id., at 13725. The jury acquit
    ted petitioner on the fraud counts but failed to reach a
    verdict on the insider trading counts. The court entered
    judgment on the acquittals and declared a mistrial on the
    hung counts.
    On November 9, 2005, the Government obtained a new
    indictment against petitioner. This “Eighth Superseding
    Indictment” recharged petitioner with some, but not all, of
    the insider trading counts on which the jury had previ
    ously hung. App. 188. The new indictment refined the
    Government’s case: Whereas the earlier indictment had
    named multiple defendants, the new indictment dealt
    exclusively with petitioner. And instead of alleging facts
    implicating a broader fraudulent scheme, the new indict
    ment focused on petitioner’s knowledge of the EIN project
    and his failure to disclose that information to the public
    before selling his Enron stock.
    Petitioner moved to dismiss all counts in the new in
    dictment on the ground that the acquittals on the fraud
    counts precluded the Government from retrying him on
    the insider trading counts.3 He argued that the jury’s
    acquittals had necessarily decided that he did not possess
    material, nonpublic information about the performance of
    the EIN project and its value to Enron. In petitioner’s
    view, because reprosecution for insider trading would
    require the Government to prove that critical fact, the
    issue-preclusion component of the Double Jeopardy Clause
    barred a second trial of that issue and mandated dismissal
    of all of the insider trading counts.
    The District Court denied the motion. After reviewing
    the trial record, the court disagreed with petitioner’s
    ——————
    3 Petitioner
    had also moved to dismiss the relevant counts in the ear
    lier indictment in response to the Government’s assertion that it could
    reprosecute petitioner for the previously hung counts under that
    indictment as well. See 
    521 F.3d 367
    , 370, n. 4 (CA5 2008).
    Cite as: 557 U. S. ____ (2009)            5
    Opinion of the Court
    reading of what the jury necessarily decided. In the
    court’s telling, the jury likely concluded that petitioner
    “did not knowingly and willfully participate in the scheme
    to defraud described in the conspiracy, securities fraud,
    and wire fraud counts.” 
    446 F. Supp. 2d 719
    , 735 (SD Tex.
    2006). The court therefore concluded that the question
    whether petitioner possessed insider information was not
    necessarily resolved in the first trial and could be litigated
    anew in a second prosecution.
    The Court of Appeals disagreed with the District Court’s
    analysis of the record, but nevertheless affirmed. It rea
    soned that petitioner “did not dispute” the Government’s
    theory that he “helped shape the message” of the allegedly
    fraudulent presentations made at the analyst conference,
    and therefore rejected the District Court’s conclusion that
    the jury had “acquitted [petitioner] on the groun[d] that he
    did not participate in the fraud.” 
    521 F.3d 367
    , 377 (CA5
    2008). Based on its independent review of the record, the
    Court of Appeals instead concluded that “the jury must
    have found when it acquitted [petitioner] that [he] did not
    have any insider information that contradicted what was
    presented to the public.” Id., at 378. The court acknowl
    edged that this factual determination would normally
    preclude the Government from retrying petitioner for
    insider trading or money laundering.
    The court was nevertheless persuaded that a truly
    rational jury, having concluded that petitioner did not
    have any insider information, would have acquitted him
    on the insider trading counts. That the jury failed to
    acquit, and instead hung on those counts, was pivotal in
    the court’s issue-preclusion analysis. Considering “the
    hung counts along with the acquittals,” the court found it
    impossible “to decide with any certainty what the jury
    necessarily determined.” Ibid. Relying on Circuit prece
    dent, United States v. Larkin, 
    605 F.2d 1360
     (1979), the
    court concluded that the conflict between the acquittals
    6                YEAGER v. UNITED STATES
    Opinion of the Court
    and the hung counts barred the application of issue pre
    clusion in this case. 
    521 F. 3d
    , at 378–379.
    Several courts have taken the contrary view and have
    held that a jury’s failure to reach a verdict on some counts
    should play no role in determining the preclusive effect of
    an acquittal. See United States v. Ohayon, 
    483 F.3d 1281
    (CA11 2007); United States v. Romeo, 
    114 F.3d 141
     (CA9
    1997); United States v. Bailin, 
    977 F.2d 270
     (CA7 1992);
    United States v. Frazier, 
    880 F.2d 878
     (CA6 1989). Oth
    ers have sided with the Court of Appeals. See United
    States v. Howe, 
    538 F.3d 820
     (CA8 2008); United States v.
    Aguilar-Aranceta, 
    957 F.2d 18
     (CA1 1992); United States
    v. White, 
    936 F.2d 1326
     (CADC 1991). We granted certio
    rari to resolve the conflict, 555 U. S. ___ (2008), and now
    reverse.
    II
    The Double Jeopardy Clause of the Fifth Amendment
    provides: “[N]or shall any person be subject for the same
    offence to be twice put in jeopardy of life or limb.”
    While we have decided an exceptionally large number of
    cases interpreting this provision, see, e.g., United States v.
    DiFrancesco, 
    449 U.S. 117
    , 126–127 (1980) (collecting
    cases), most of our decisions have found more guidance in
    the common-law ancestry of the Clause than in its brief
    text. Thus, for example, while the risk of being fined or
    imprisoned implicates neither “life” nor “limb,” our early
    cases held that double jeopardy protection extends to
    punishments that are not “positively covered by the lan
    guage of [the] amendment.” Ex parte Lange, 
    18 Wall. 163
    ,
    170 (1874). As we explained, “[i]t is very clearly the spirit
    of the instrument to prevent a second punishment under
    judicial proceedings for the same crime, so far as the
    common law gave that protection.” Ibid.
    Our cases have recognized that the Clause embodies two
    vitally important interests. The first is the “deeply in
    Cite as: 557 U. S. ____ (2009)            7
    Opinion of the Court
    grained” principle that “the State with all its resources
    and power should not be allowed to make repeated at
    tempts to convict an individual for an alleged offense,
    thereby subjecting him to embarrassment, expense and
    ordeal and compelling him to live in a continuing state of
    anxiety and insecurity, as well as enhancing the possibil
    ity that even though innocent he may be found guilty.”
    Green v. United States, 
    355 U.S. 184
    , 187–188 (1957); see
    Benton v. Maryland, 
    395 U.S. 784
    , 795–795 (1969); Di-
    Francesco, 449 U. S., at 127–128. The second interest is
    the preservation of “the finality of judgments.” Crist v.
    Bretz, 
    437 U.S. 28
    , 33 (1978).
    The first interest is implicated whenever the State seeks
    a second trial after its first attempt to obtain a conviction
    results in a mistrial because the jury has failed to reach a
    verdict. In these circumstances, however, while the de
    fendant has an interest in avoiding multiple trials, the
    Clause does not prevent the Government from seeking to
    reprosecute. Despite the argument’s textual appeal, we
    have held that the second trial does not place the defen
    dant in jeopardy “twice.” Richardson v. United States, 
    468 U.S. 317
    , 323 (1984); see 3 J. Story, Commentaries on the
    Constitution §1781, pp. 659–660 (1833). Instead, a jury’s
    inability to reach a decision is the kind of “manifest neces
    sity” that permits the declaration of a mistrial and the
    continuation of the initial jeopardy that commenced when
    the jury was first impaneled. See Arizona v. Washington,
    
    434 U.S. 497
    , 505–506 (1978); United States v. Perez, 
    9 Wheat. 579
    , 580 (1824). The “interest in giving the prose
    cution one complete opportunity to convict those who have
    violated its laws” justifies treating the jury’s inability to
    reach a verdict as a nonevent that does not bar retrial.
    Washington, 434 U. S., at 509.
    While the case before us involves a mistrial on the
    insider trading counts, the question presented cannot be
    resolved by asking whether the Government should be
    8                YEAGER v. UNITED STATES
    Opinion of the Court
    given one complete opportunity to convict petitioner on
    those charges. Rather, the case turns on the second inter
    est at the core of the Clause. We must determine whether
    the interest in preserving the finality of the jury’s judg
    ment on the fraud counts, including the jury’s finding that
    petitioner did not possess insider information, bars a
    retrial on the insider trading counts. This requires us to
    look beyond the Clause’s prohibition on being put in jeop
    ardy “twice”; the jury’s acquittals unquestionably termi
    nated petitioner’s jeopardy with respect to the issues
    finally decided in those counts. The proper question,
    under the Clause’s text, is whether it is appropriate to
    treat the insider trading charges as the “same offence” as
    the fraud charges. Our opinion in Ashe v. Swenson, 
    397 U.S. 436
     (1970), provides the basis for our answer.
    In Ashe, we squarely held that the Double Jeopardy
    Clause precludes the Government from relitigating any
    issue that was necessarily decided by a jury’s acquittal in
    a prior trial. In that case, six poker players were robbed
    by a group of masked men. Ashe was charged with—and
    acquitted of—robbing Donald Knight, one of the six play
    ers. The State sought to retry Ashe for the robbery of
    another poker player only weeks after the first jury had
    acquitted him. The second prosecution was successful:
    Facing “substantially stronger” testimony from “witnesses
    [who] were for the most part the same,” id., at 439–440,
    Ashe was convicted and sentenced to a 35-year prison
    term. We concluded that the subsequent prosecution was
    constitutionally prohibited. Because the only contested
    issue at the first trial was whether Ashe was one of the
    robbers, we held that the jury’s verdict of acquittal collat
    erally estopped the State from trying him for robbing a
    different player during the same criminal episode. Id., at
    446. We explained that “when an issue of ultimate fact
    has once been determined by a valid and final judgment”
    of acquittal, it “cannot again be litigated” in a second trial
    Cite as: 557 U. S. ____ (2009)                     9
    Opinion of the Court
    for a separate offense. Id., at 443.4 To decipher what a
    jury has necessarily decided, we held that courts should
    “examine the record of a prior proceeding, taking into
    account the pleadings, evidence, charge, and other rele
    vant matter, and conclude whether a rational jury could
    have grounded its verdict upon an issue other than that
    which the defendant seeks to foreclose from considera
    tion.” Id., at 444 (internal quotation marks omitted). We
    explained that the inquiry “must be set in a practical
    frame and viewed with an eye to all the circumstances of
    the proceedings.” Ibid. (quoting Sealfon v. United States,
    
    332 U.S. 575
    , 579 (1948) (internal quotation marks
    omitted)).
    Unlike Ashe, the case before us today entails a trial that
    included multiple counts rather than a trial for a single
    offense. And, while Ashe involved an acquittal for that
    single offense, this case involves an acquittal on some
    counts and a mistrial declared on others. The reasoning in
    Ashe is nevertheless controlling because, for double jeop
    ardy purposes, the jury’s inability to reach a verdict on the
    insider trading counts was a nonevent and the acquittals
    on the fraud counts are entitled to the same effect as
    Ashe’s acquittal.
    As noted above, see supra, at 4, the Court of Appeals
    reasoned that the hung counts must be considered to
    determine what issues the jury decided in the first trial.
    Viewed in isolation, the court explained, the acquittals on
    ——————
    4 Although the doctrine of collateral estoppel had developed in civil
    litigation, we had already extended it to criminal proceedings when
    Ashe was decided. The justification for this application was first offered
    by Justice Holmes, who observed that “[i]t cannot be that the safe
    guards of the person, so often and so rightly mentioned with solemn
    reverence, are less than those that protect from a liability in debt.”
    United States v. Oppenheimer, 
    242 U.S. 85
    , 87 (1916). Currently, the
    more descriptive term “issue preclusion” is often used in lieu of “collat
    eral estoppel.” See Restatement (Second) of Judgments §27 (1980).
    10               YEAGER v. UNITED STATES
    Opinion of the Court
    the fraud charges would preclude retrial because they
    appeared to support petitioner’s argument that the jury
    decided he lacked insider information. 
    521 F. 3d
    , at 378.
    Viewed alongside the hung counts, however, the acquittals
    appeared less decisive. The problem, as the court saw it,
    was that, if “the jury found that [petitioner] did not have
    insider information, then the jury, acting rationally, would
    also have acquitted [him] of the insider trading counts.”
    Ibid. The fact that the jury hung was a logical wrinkle
    that made it impossible for the court “to decide with any
    certainty what the jury necessarily determined.” Ibid.
    Because petitioner failed to show what the jury decided,
    id., at 380, the court refused to find the Government
    precluded from pursuing the hung counts in a new
    prosecution.
    The Court of Appeals’ issue-preclusion analysis was in
    error. A hung count is not a “relevant” part of the “record
    of [the] prior proceeding.” See Ashe, 397 U. S., at 444
    (internal quotation marks omitted). Because a jury speaks
    only through its verdict, its failure to reach a verdict
    cannot—by negative implication—yield a piece of informa
    tion that helps put together the trial puzzle. A mistried
    count is therefore nothing like the other forms of record
    material that Ashe suggested should be part of the preclu
    sion inquiry. Ibid.; see also Black’s Law Dictionary 1301
    (8th ed. 2004) (defining “record” as the “official report of
    the proceedings in a case, including the filed papers, ver
    batim transcript of the trial or hearing (if any), and tangi
    ble exhibits”). Unlike the pleadings, the jury charge, or
    the evidence introduced by the parties, there is no way to
    decipher what a hung count represents. Even in the usual
    sense of “relevance,” a hung count hardly “make[s] the
    existence of any fact . . . more probable or less probable.”
    Fed. Rule Evid. 401. A host of reasons—sharp disagree
    ment, confusion about the issues, exhaustion after a long
    trial, to name but a few—could work alone or in tandem to
    Cite as: 557 U. S. ____ (2009)                   11
    Opinion of the Court
    cause a jury to hang.5 To ascribe meaning to a hung count
    would presume an ability to identify which factor was at
    play in the jury room. But that is not reasoned analysis; it
    is guesswork.6 Such conjecture about possible reasons for
    a jury’s failure to reach a decision should play no part in
    assessing the legal consequences of a unanimous verdict
    that the jurors did return.
    A contrary conclusion would require speculation into
    what transpired in the jury room. Courts properly avoid
    such explorations into the jury’s sovereign space, see
    United States v. Powell, 
    469 U.S. 57
    , 66 (1984); Fed. Rule
    Evid. 606(b), and for good reason. The jury’s deliberations
    are secret and not subject to outside examination. If there
    is to be an inquiry into what the jury decided, the “evi
    dence should be confined to the points in controversy on
    the former trial, to the testimony given by the parties, and
    to the questions submitted to the jury for their considera
    tion.” Packet Co. v. Sickles, 
    5 Wall. 580
    , 593 (1866); see
    also Vaise v. Delaval, 99 Eng. Rep. 944 (K. B. 1785) (Lord
    Mansfield, C. J.) (refusing to rely on juror affidavits to
    impeach a verdict reached by a coin flip); J. Wigmore,
    Evidence §2349, pp. 681–690, and n. 2 (McNaughton rev.
    ed. 1961 and Supp. 1991).
    Accordingly, we hold that the consideration of hung
    counts has no place in the issue-preclusion analysis.
    ——————
    5 Indeed, there were many indications that the jury in this case could
    have been exhausted after the 13-week trial. See Reply Brief for
    Petitioner 9–10 (cataloging numerous “statements on the record [that]
    reveal the very real possibility that the jurors cut their deliberations
    short out of exhaustion”).
    6 It would also require too much of the defendant. To preclude retrial,
    he must show that the jury necessarily decided an issue in his favor.
    Yet, to borrow from the Court of Appeals, “[b]ecause it is impossible to
    determine why [a] jury hung,” 
    521 F. 3d
    , at 379, the defendant will
    have to rebut all inferences about what may have motivated the jury to
    hang without the ability to seek conclusive proof. See Fed. Rule Evid.
    606(b). There is no reason to impose such a burden on a defendant.
    12                YEAGER v. UNITED STATES
    Opinion of the Court
    Indeed, if it were relevant, the fact that petitioner has
    already survived one trial should be a factor cutting in
    favor of, rather than against, applying a double jeopardy
    bar. To identify what a jury necessarily determined at
    trial, courts should scrutinize a jury’s decisions, not its
    failures to decide. A jury’s verdict of acquittal represents
    the community’s collective judgment regarding all the
    evidence and arguments presented to it. Even if the ver
    dict is “based upon an egregiously erroneous foundation,”
    Fong Foo v. United States, 
    369 U.S. 141
    , 143 (1962) (per
    curiam), its finality is unassailable. See, e.g., Washington,
    434 U. S., at 503; Sanabria v. United States, 
    437 U.S. 54
    ,
    64 (1978). Thus, if the possession of insider information
    was a critical issue of ultimate fact in all of the charges
    against petitioner, a jury verdict that necessarily decided
    that issue in his favor protects him from prosecution for
    any charge for which that is an essential element.
    III
    The Government relies heavily on two of our cases,
    Richardson v. United States, 
    468 U.S. 317
    , and United
    States v. Powell, 
    469 U.S. 57
    , to argue that it is entitled to
    retry petitioner on the insider trading counts. Neither
    precedent can bear the weight the Government places on
    it.
    In Richardson, the defendant was indicted on three
    counts of narcotics violations. The jury acquitted him on
    one count but hung on the others. Richardson moved to
    bar retrial on the hung counts, insisting that reprosecu
    tion would place him twice in jeopardy for the same of
    fense. Unlike petitioner in this case, Richardson did not
    argue that retrial was barred because the jury’s verdict of
    acquittal meant that it necessarily decided an essential
    fact in his favor. He simply asserted that the hung counts,
    standing alone, shielded him from reprosecution. We
    disagreed and held that “the protection of the Double
    Cite as: 557 U. S. ____ (2009)          13
    Opinion of the Court
    Jeopardy Clause by its terms applies only if there has
    been some event, such as an acquittal, which terminates
    the original jeopardy.” 468 U. S., at 325. “[T]he failure of
    the jury to reach a verdict,” we explained, “is not an event
    which terminates jeopardy.” Ibid. From this the Govern
    ment extrapolates the altogether different principle that
    retrial is always permitted whenever a jury convicts on
    some counts and hangs on others. Brief for United States
    23–24. But Richardson was not so broad. Rather, our
    conclusion was a rejection of the argument—similar to the
    one the Government urges today—that a mistrial is an
    event of significance. In so holding, we did not open the
    door to using a mistried count to ignore the preclusive
    effect of a jury’s acquittal.
    The Government next contends that an acquittal can
    never preclude retrial on a mistried count because it
    would impute irrationality to the jury in violation of the
    rule articulated in Powell, 
    469 U.S. 57
    . In Powell, the
    defendant was charged with various drug offenses. The
    jury acquitted Powell of the substantive drug charges but
    convicted her of using a telephone in “ ‘committing and in
    causing and facilitating’ ” those same offenses. Id., at 59–
    60. Powell attacked the verdicts on appeal as irrationally
    inconsistent and urged the reversal of her convictions.
    She insisted that “collateral estoppel should apply to
    verdicts rendered by a single jury, to preclude acceptance
    of a guilty verdict on a telephone facilitation count where
    the jury acquits the defendant of the predicate felony.”
    Id., at 64. We rejected this argument, reasoning that
    issue preclusion is “predicated on the assumption that the
    jury acted rationally.” Id., at 68.
    Arguing that a jury that acquits on some counts while
    inexplicably hanging on others is not rational, the Gov
    ernment contends that issue preclusion is as inappropriate
    in this case as it was in Powell. There are two serious
    flaws in this line of reasoning. First, it takes Powell’s
    14                YEAGER v. UNITED STATES
    Opinion of the Court
    treatment of inconsistent verdicts and imports it into an
    entirely different context involving both verdicts and
    seemingly inconsistent hung counts. But the situations
    are quite dissimilar. In Powell, respect for the jury’s
    verdicts counseled giving each verdict full effect, however
    inconsistent. As we explained, the jury’s verdict “brings to
    the criminal process, in addition to the collective judgment
    of the community, an element of needed finality.” Id., at
    67. By comparison, hung counts have never been accorded
    respect as a matter of law or history, and are not similar
    to jury verdicts in any relevant sense. By equating them,
    the Government’s argument fails. Second, the Govern
    ment’s reliance on Powell assumes that a mistried count
    can, in context, be evidence of irrationality. But, as we
    explained above, see supra, at 7–8, the fact that a jury
    hangs is evidence of nothing—other than, of course, that it
    has failed to decide anything. By relying on hung counts
    to question the basis of the jury’s verdicts, the Govern
    ment violates the very assumption of rationality it invokes
    for support.
    At bottom, the Government misreads our cases that
    have rejected attempts to question the validity of a jury’s
    verdict. In Powell and, before that, in Dunn, 
    284 U.S. 390
    , we were faced with jury verdicts that, on their face,
    were logically inconsistent and yet we refused to impugn
    the legitimacy of either verdict. In this case, there is
    merely a suggestion that the jury may have acted irration
    ally. And instead of resting that suggestion on a verdict,
    the Government relies on a hung count, the thinnest reed
    of all. If the Court in Powell and Dunn declined to use a
    clearly inconsistent verdict to second-guess the soundness
    of another verdict, then, a fortiori, a potentially inconsis
    tent hung count could not command a different result.
    IV
    One final matter requires discussion. The Government
    Cite as: 557 U. S. ____ (2009)          15
    Opinion of the Court
    argues that even if we conclude (as we do) that acquittals
    can preclude retrial on counts on which the same jury
    hangs, we should nevertheless affirm the judgment of the
    Court of Appeals because petitioner failed to show that the
    jury necessarily resolved in his favor an issue of ultimate
    fact that the Government must prove in order to convict
    him of insider trading and money laundering. See Brief
    for United States 41–45. Given the length and complexity
    of the proceedings, this factual dispute is understandable.
    The District Court and Court of Appeals each read the
    record differently, disagreeing as to what the jury neces
    sarily decided in its acquittals. Compare 
    446 F. Supp. 2d
    ,
    at 735 (“[T]he jury necessarily determined that Defendant
    Yeager did not knowingly and willfully participate or
    agree to participate in a scheme to defraud in connection
    with the alleged false statements or material omissions
    made at the analyst conference and press releases”), with
    
    521 F. 3d
    , at 378 (“[T]he jury must have found when it
    acquitted Yeager that Yeager himself did not have any
    insider information that contradicted what was presented
    to the public”). Our grant of certiorari was based on the
    assumption that the Court of Appeals’ interpretation of
    the record was correct. We recognize the Government’s
    right, as the prevailing party in the Court of Appeals, to
    “defend its judgment on any ground properly raised below
    whether or not that ground was relied upon, rejected, or
    even considered by the District Court or the Court of
    Appeals.” Washington v. Confederated Bands and Tribes
    of Yakima Nation, 
    439 U.S. 463
    , 476, n. 20 (1979). But
    we decline to engage in a fact-intensive analysis of the
    voluminous record, an undertaking unnecessary to the
    resolution of the narrow legal question we granted certio
    rari to answer. If it chooses, the Court of Appeals may
    revisit its factual analysis in light of the Government’s
    arguments before this Court.
    16              YEAGER v. UNITED STATES
    Opinion of the Court
    V
    The judgment is reversed, and the case is remanded to
    the Court of Appeals for further proceedings consistent
    with this opinion.
    It is so ordered.
    Cite as: 557 U. S. ____ (2009)            1
    Opinion of KENNEDY, J.
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 08–67
    _________________
    F. SCOTT YEAGER, PETITIONER v. UNITED STATES
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 18, 2009]
    JUSTICE KENNEDY, concurring in part and concurring in
    the judgment.
    I join Parts I–III and V of the Court’s opinion but cannot
    join Part IV. In my view the concerns expressed by
    JUSTICE ALITO are well justified. Post, ___ (dissenting
    opinion). It is insufficient for the Court to say that, on
    remand, the Court of Appeals “may,” “[i]f it chooses,”
    “revisit its factual analysis.” Ante, at 15. The correct
    course would be to require the Court of Appeals to do so.
    As JUSTICE ALITO explains, the judgments of acquittal
    preclude the Government from retrying petitioner on the
    issue of his possession of insider information if, and only
    if, “it would have been irrational for the jury to acquit
    without finding that fact.” Post, at 1; see Ashe v. Swenson,
    
    397 U.S. 436
    , 444 (1970) (retrial not precluded if “a ra
    tional jury could have grounded its verdict upon an issue
    other than that which the defendant seeks to foreclose”).
    For the reasons given by JUSTICE ALITO, there are
    grounds here to question whether petitioner has met this
    demanding standard. Post, at 2. The District Court,
    which was the court most familiar with the record, found
    that petitioner could not make this showing because a
    rational jury could have acquitted him of securities fraud
    on a different basis—namely, that petitioner did not cause
    the misleading statements to be made. Post, at 3–4. The
    2                YEAGER v. UNITED STATES
    Opinion of KENNEDY, J.
    Court of Appeals’ contrary analysis is not convincing.
    Post, at 4.
    The Court of Appeals held the Double Jeopardy Clause
    permits petitioner’s retrial because, in that court’s view,
    the acquitted counts were inconsistent with the jury’s
    inability to reach a verdict on other counts. 
    521 F.3d 367
    ,
    379 (CA5 2008). The Court today corrects that misreading
    of the Double Jeopardy Clause. The question remains
    whether the Clause permits petitioner’s retrial for the
    quite distinct reason JUSTICE ALITO describes.           On
    remand, the Court of Appeals should reexamine this
    question.
    Cite as: 557 U. S. ____ (2009)           1
    SCALIA, J., dissenting
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 08–67
    _________________
    F. SCOTT YEAGER, PETITIONER v. UNITED STATES
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 18, 2009]
    JUSTICE SCALIA, with whom JUSTICE THOMAS and
    JUSTICE ALITO join, dissenting.
    The Double Jeopardy Clause of the Fifth Amendment
    provides that no person shall “be subject for the same
    offence to be twice put in jeopardy of life or limb.” The
    Court today holds that this proscription, as interpreted in
    Ashe v. Swenson, 
    397 U.S. 436
     (1970), sometimes bars
    retrial of hung counts if the jury acquits on factually re
    lated counts. Because that result neither accords with the
    original meaning of the Double Jeopardy Clause nor is
    required by the Court’s precedents, I dissent.
    I
    Today’s opinion begins with the proclamation that this
    Court has “found more guidance in the common-law ances
    try of the [Double Jeopardy] Clause than its brief text.”
    Ante, at 6. Would that it were so. This case would be easy
    indeed if our cases had adhered to the Clause’s original
    meaning. The English common-law pleas of auterfoits
    acquit and auterfoits convict, on which the Clause was
    based, barred only repeated “prosecution for the same
    identical act and crime.” 4 W. Blackstone, Commentaries
    on the Laws of England 330 (1769) (emphasis added). See
    also Grady v. Corbin, 
    495 U.S. 508
    , 530–535 (1990)
    (SCALIA, J., dissenting). As described by Sir Matthew
    Hale, “a man acquitted for stealing [a] horse” could be
    2                   YEAGER v. UNITED STATES
    SCALIA, J., dissenting
    later “arraigned and convict[ed] for stealing the saddle,
    tho both were done at the same time.” 2 Pleas of the
    Crown 246 (1736). Under the common-law pleas, the
    jury’s acquittal of Yeager on the fraud counts would have
    posed no bar to further prosecution for the distinct crimes
    of insider trading and money laundering.
    But that is water over the dam. In Ashe the Court
    departed from the original meaning of the Double Jeop
    ardy Clause, holding that it precludes successive prosecu
    tions on distinct crimes when facts essential to conviction
    of the second crime have necessarily been resolved in the
    defendant’s favor by a verdict of acquittal of the first
    crime. 397 U. S., at 445–446.1 Even if I am to adhere to
    Ashe on stare decisis grounds, cf. Grady, supra, at 528
    (SCALIA, J., dissenting), today’s holding is an illogical
    extension of that case. Ashe held only that the Clause
    sometimes bars successive prosecution of facts found
    during “a prior proceeding.” 397 U. S., at 444. But today
    the Court bars retrial on hung counts after what was not,
    under this Court’s theory of “continuing jeopardy,” Jus
    tices of Boston Municipal Court v. Lydon, 
    466 U.S. 294
    ,
    308 (1984), a prior proceeding but simply an earlier stage
    of the same proceeding.
    As an historical matter, the common-law pleas could be
    invoked only once “there ha[d] been a conviction or an
    acquittal—after a complete trial.” Crist v. Bretz, 437 U. S.
    ——————
    1 Because this case arises in federal court, the federal doctrine of
    issue preclusion might have prevented the Government from retrying
    Yeager even without Ashe’s innovation. See United States v. Oppen
    heimer, 
    242 U.S. 85
    , 87 (1916). But the District Court held that the
    jury in this case had not necessarily decided that Yeager lacked inside
    information (the fact that Yeager claims the Government is barred from
    relitigating), 
    446 F. Supp. 2d 719
    , 735 (SD Tex. 2006), and jurisdiction
    for this interlocutory appeal of that holding comes by way of the collat
    eral order doctrine, which encompasses claims of former jeopardy,
    Abney v. United States, 
    431 U.S. 651
    , 662 (1977). We have not ac
    corded the same privilege to litigants asserting issue preclusion.
    Cite as: 557 U. S. ____ (2009)                   3
    SCALIA, J., dissenting
    28, 33 (1978). This Court has extended the protections of
    the Double Jeopardy Clause by holding that jeopardy
    attaches earlier: at the time a jury is empanelled and
    sworn. Id., at 38. Although one might think that this
    early attachment would mean that any second trial with a
    new jury would constitute a second jeopardy, the Court
    amended its innovation by holding that discharge of a
    deadlocked jury does not “terminat[e] the original jeop
    ardy,” Richardson v. United States, 
    468 U.S. 317
    , 325
    (1984). Under this continuing-jeopardy principle, retrial
    after a jury has failed to reach a verdict is not a new trial
    but part of the same proceeding.2
    Today’s holding is inconsistent with this principle. It
    interprets the Double Jeopardy Clause, for the first time,
    to have effect internally within a single prosecution, even
    though the “ ‘criminal proceedings against [the] accused
    have not run their full course.’ ” Lydon, supra, at 308
    (quoting Price v. Georgia, 
    398 U.S. 323
    , 326 (1970)). As a
    conceptual matter, it makes no sense to say that events
    occurring within a single prosecution can cause an accused
    to be “twice put in jeopardy.” U. S. Const., Amdt. 5. And
    our cases, until today, have acknowledged that. Ever
    since Dunn v. United States, 
    284 U.S. 390
    , 393 (1932), we
    have refused to set aside convictions that were inconsis
    tent with acquittals in the same trial; and we made clear
    ——————
    2 That the Government issued a new indictment after the mistrial in
    this case does not alter the fact that, for double jeopardy purposes,
    retrial would have been part of the same, initial proceeding. As a
    matter of practice, it seems that prosecutors and courts treat retrials
    after mistrials as part of the same proceeding by filing superseding
    indictments under the original docket number. See, e.g., Superseding
    Information in United States v. Pena, Case No. 8:03–cr–476–T–23EAJ
    (MD Fla., Feb. 17, 2005). The Court implies that the new indictment in
    this case materially refined the charges, ante, at 4, but the only rele
    vant changes were dropping of the other defendants and elimination of
    a few counts and related factual allegations. Compare App. 6–71 with
    App. 188–200.
    4                 YEAGER v. UNITED STATES
    SCALIA, J., dissenting
    in United States v. Powell, 
    469 U.S. 57
    , 64–65 (1984), that
    Ashe does not mandate a different result. There is no
    reason to treat perceived inconsistencies between hung
    counts and acquittals any differently.
    Richardson accentuates the point. Under our cases, if
    an appellate court reverses a conviction for lack of consti
    tutionally sufficient evidence, that determination consti
    tutes an acquittal which, under the Double Jeopardy
    Clause, precludes further prosecution. Burks v. United
    States, 
    437 U.S. 1
    , 11 (1978). In Richardson, the defen
    dant sought to prevent retrial after a jury failed to reach a
    verdict, claiming that the case should not have gone to the
    jury because the Government failed to present sufficient
    evidence. 468 U. S., at 322–323. The Court held that the
    Double Jeopardy Clause was inapplicable because there
    had not been an “event, such as an acquittal, which termi
    nate[d] the original jeopardy.” Id., at 325. I do not see
    why the Double Jeopardy Clause effect of a jury acquittal
    on a different count should be any different from the Dou
    ble Jeopardy Clause effect of the prosecution’s failure to
    present a case sufficient to go to the jury on the same
    count. In both cases, the predicate necessary for Double
    Jeopardy Clause preclusion of a new prosecution exists: in
    the former, the factual findings implicit in the jury’s ver
    dict of acquittal, in the latter, the State’s presentation of a
    case so weak that it would have demanded a jury verdict
    of acquittal. In both cases, it seems to me, the Double
    Jeopardy Clause cannot be invoked because the jeopardy
    with respect to the retried count has not terminated.
    The acquittals here did not, as the majority argues,
    “unquestionably terminat[e] [Yeager’s] jeopardy with
    respect to the issues finally decided” in those counts. Ante,
    at 8 (emphasis added). Jeopardy is commenced and ter
    minated charge by charge, not issue by issue. And if the
    prosecution’s failure to present sufficient evidence at a
    first trial cannot prevent retrial on a hung count because
    Cite as: 557 U. S. ____ (2009)             5
    SCALIA, J., dissenting
    the retrial is considered part of the same proceeding, then
    there is no basis for invoking Ashe to prevent retrial in the
    present case. If a conviction can stand with a contradic
    tory acquittal when both are pronounced at the same trial,
    there is no reason why an acquittal should prevent the
    State from pressing for a contradictory conviction in the
    continuation of the prosecution on the hung counts.
    II
    The Court’s extension of Ashe to these circumstances
    cannot even be justified based on the rationales underly
    ing that holding. Invoking issue preclusion to bar seriatim
    prosecutions has the salutary effect of preventing the
    Government from circumventing acquittals by forcing
    defendants “to ‘run the gantlet’ a second time” on effec
    tively the same charges. 397 U. S., at 446. In cases where
    the prosecution merely seeks to get “one full and fair
    opportunity to convict” on all charges brought in an initial
    indictment, Ohio v. Johnson, 
    467 U.S. 493
    , 502 (1984),
    there is no risk of such gamesmanship. We have said that
    “where the State has made no effort to prosecute the
    charges seriatim, the considerations of double jeopardy
    protection implicit in the application of collateral estoppel
    are inapplicable.” Id., at 500, n. 9.
    Moreover, barring retrial when a jury acquits on some
    counts and hangs on others bears only a tenuous relation
    ship to preserving the finality of “an issue of ultimate fact
    [actually] determined by a valid and final judgment.”
    Ashe, supra, at 443. There is no clear, unanimous jury
    finding here. In the unusual situation in which a factual
    finding upon which an acquittal must have been based
    would also logically require an acquittal on the hung
    count, all that can be said for certain is that the conflicting
    dispositions are irrational—the result of “mistake, com
    promise, or lenity.” Powell, 469 U. S., at 65. It is at least
    as likely that the irrationality consisted of failing to make
    6                   YEAGER v. UNITED STATES
    SCALIA, J., dissenting
    the factual finding necessary to support the acquittal as it
    is that the irrationality consisted of failing to adhere to
    that factual finding with respect to the hung count. While
    I agree that courts should avoid speculation as to why a
    jury reached a particular result, ante, at 11, the Court’s
    opinion steps in the wrong direction by pretending that
    the acquittals here mean something that they in all prob
    ability do not.3 Powell, supra, at 69, concluded that “the
    best course to take is simply to insulate jury verdicts” from
    review on grounds of inconsistency. In my view the same
    conclusion applies to claims that inconsistency will arise
    from proceeding to conviction on hung counts.
    The burdens created by the Court’s opinion today are
    likely to be substantial. The Ashe inquiry will require
    courts to “examine the record of a prior proceeding, taking
    into account the pleadings, evidence, charge, and other
    relevant matter, and conclude whether a rational jury
    could have grounded its verdict upon an issue other than
    that which the defendant seeks to foreclose from consid
    eration.” 397 U. S., at 446 (internal quotation marks
    omitted). What is more, our holding in Abney v. United
    States, 
    431 U.S. 651
     (1977), ensures that every defendant
    in Yeager’s shoes will be entitled to an immediate inter
    locutory appeal (and petition for certiorari) whenever his
    Ashe claim is rejected by the trial court. Abney, supra, at
    662.
    *    *     *
    Until today, this Court has consistently held that retrial
    after a jury has been unable to reach a verdict is part of
    the original prosecution and that there can be no second
    ——————
    3 The Court claims that a jury’s failure to reach a verdict is not rele
    vant evidence, ante, at 10, but its justifications for that statement are
    utterly unpersuasive. It is obvious that a failure to reach a verdict on
    one count “make[s] the existence” of a factual finding on a necessary
    predicate for both counts substantially “less probable,” Fed. Rule Evid.
    401; how the Court can believe otherwise is beyond me.
    Cite as: 557 U. S. ____ (2009)          7
    SCALIA, J., dissenting
    jeopardy where there has been no second prosecution.
    Because I believe holding that line against this extension
    of Ashe is more consistent with the Court’s cases and with
    the original meaning of the Double Jeopardy Clause, I
    would affirm the judgment.
    Cite as: 557 U. S. ____ (2009)            1
    ALITO, J., dissenting
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 08–67
    _________________
    F. SCOTT YEAGER, PETITIONER v. UNITED STATES
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE FIFTH CIRCUIT
    [June 18, 2009]
    JUSTICE ALITO, with whom JUSTICE SCALIA and JUSTICE
    THOMAS join, dissenting.
    I join JUSTICE SCALIA’s dissenting opinion. When a jury
    acquits on some counts but cannot reach agreement on
    others, I do not think that the Double Jeopardy Clause
    precludes retrial on the “hung” counts.
    As a result of today’s decision, however, the law is now
    to the contrary, and I write separately to note that the
    Court’s holding makes it imperative that the doctrine of
    issue preclusion be applied with the rigor prescribed in
    Ashe v. Swenson, 
    397 U.S. 436
     (1970). Loose application
    of the doctrine will lead to exceedingly complicated and
    protracted litigation, both in the trial court and on appeal,
    and may produce unjust results.
    Ashe made it clear that an acquittal on one charge
    precludes a subsequent trial on a different charge only if
    “a rational jury” could not have acquitted on the first
    charge without finding in the defendant’s favor on a fac
    tual issue that the prosecution would have to prove in
    order to convict in the later trial. Id., at 444. This is a
    demanding standard. The second trial is not precluded
    simply because it is unlikely—or even very unlikely—that
    the original jury acquitted without finding the fact in
    question. Only if it would have been irrational for the jury
    to acquit without finding that fact is the subsequent trial
    barred. And the defendant has the burden of showing that
    2                YEAGER v. UNITED STATES
    ALITO, J., dissenting
    “the issue whose relitigation he seeks to foreclose was
    actually decided in the first proceeding.” Dowling v.
    United States, 
    493 U.S. 342
    , 350 (1990).
    The situation presented in a case like the one now be
    fore us—where the jury acquits on some counts but cannot
    reach a verdict on others—calls for special care in the
    application of the Ashe standard. In such a situation, the
    conclusion that the not-guilty verdicts preclude retrial on
    the hung counts necessarily means that the jury did not
    act rationally. But courts should begin with the presump
    tion that a jury’s actions can rationally be reconciled. In
    an analogous situation—where it is claimed that a verdict
    must be set aside on the ground that the findings set out
    in a jury’s answers to special interrogatories are inconsis
    tent—“it is the duty of the courts to attempt to harmonize
    the answers, if it is possible under a fair reading of them:
    ‘Where there is a view of the case that makes the jury’s
    answers to special interrogatories consistent, they must be
    resolved that way.’ ” Gallick v. Baltimore & Ohio R. Co.,
    
    372 U.S. 108
    , 119 (1963) (quoting Atlantic & Gulf Steve
    dores, Inc. v. Ellerman Lines, Ltd., 
    369 U.S. 355
    , 364
    (1962)). A similar approach is appropriate here.
    In the present case, there is reason to question whether
    the Ashe standard was met. It is clear that the fraud
    counts required proof of an element not necessary for
    conviction on the insider trading charge, namely, that
    petitioner “caused” material misstatements or omissions
    to be made at the January 20, 2000, analyst conference
    and in the press releases that formed the basis for the
    wire fraud counts. See App. 107 (jury instruction on count
    two (securities fraud)), 118 (jury instruction on counts
    three through six (wire fraud)). And it is far from appar
    ent that the jury’s not-guilty verdict on the fraud counts
    could not have rationally been based on a determination
    that this element—that petitioner caused the material
    misstatements or omissions—was not proved beyond a
    Cite as: 557 U. S. ____ (2009)           3
    ALITO, J., dissenting
    reasonable doubt.
    The District Court Judge, who was of course familiar
    with the trial evidence, analyzed this issue as follows:
    “The theory of the defense, evident in closing argu
    ment and the direct testimony of Defendant Yeager,
    argued that Defendant Yeager did not participate in
    the crafting of the statements in the press releases;
    did not participate in the creation of slides or state
    ments presented at the analysts conference; and did
    not reach an agreement with any other person to
    make false, misleading, or deceptive statements or
    material omissions of fact.” App. to Pet. for Cert. 55a.
    The record provides support for the District Court’s
    analysis. In his summation, petitioner’s attorney argued
    that “Scott Yeager had nothing to do with Counts 3 to 6
    [the securities and wire fraud counts].” 80 Tr. 13384.
    With respect to the January 20, 2000, conference that
    provided the basis for the securities fraud count, peti
    tioner’s attorney emphasized that his client “didn’t say
    anything.” Id., at 13365. Counsel reiterated that peti
    tioner “didn’t make a presentation. He didn’t make a
    statement.” Ibid.; id., at 13394. Counsel’s summation on
    this point summarized portions of petitioner’s trial testi
    mony in which he minimized his involvement in matters
    relating to the conference. See 52 id., at 9932–9933,
    9938–9947, and 9953.
    With respect to the press releases on which the wire
    fraud counts were based, petitioner’s attorney argued:
    “Scott Yeager had nothing to do with the press releases.”
    80 id., at 13384. “We didn’t make any press releases.” Id.,
    at 13394. “Show me the evidence. Show me where Scott
    participated in a press release.” Id., at 13406. Again,
    counsel’s comments in summation tracked petitioner’s
    testimony denying participation in the press releases. See
    52 id., at 9911, 9913; 80 id., at 13384.
    4                YEAGER v. UNITED STATES
    ALITO, J., dissenting
    The above portions of the record suggest that a rational
    jury might have found that petitioner did not “cause” the
    misstatements or omissions at the conference or in the
    press releases. In light of the length and complexity of the
    trial record, I am not in a position to say with certainty
    that the Ashe standard was not met in this case, but the
    brief discussion of this question in the opinion of the Court
    of Appeals does not satisfactorily show that the District
    Court’s analysis was incorrect. Concluding that the not
    guilty verdict on the securities fraud count could not have
    been based on a finding that respondent did not cause the
    misstatements or omissions at the conference, the Court of
    Appeals stated that petitioner “did not dispute” that he
    “helped shape the message of the conference presenta
    tions.” App. to Pet. for Cert. 20a. But there is surely
    tension between that statement and the previously men
    tioned portions of petitioner’s trial testimony and the
    defense summation.
    Because the Court of Appeals held that Ashe does not
    apply when a jury acquits on some counts and hangs on
    others, that court’s analysis of the possible grounds for the
    jury’s securities fraud verdict was not necessary to support
    the court’s decision. Now that this Court has held that
    Ashe does govern in this context, a reexamination of
    the possible grounds for the fraud count acquittals is
    warranted.
    

Document Info

Docket Number: 08-67

Citation Numbers: 174 L. Ed. 2d 78, 129 S. Ct. 2360, 557 U.S. 110, 2009 U.S. LEXIS 4538

Judges: Stevens, Kennedy, Scalia

Filed Date: 6/18/2009

Precedential Status: Precedential

Modified Date: 11/15/2024

Authorities (32)

Allen v. United States , 17 S. Ct. 154 ( 1896 )

Benton v. Maryland , 89 S. Ct. 2056 ( 1969 )

United States v. Yeager , 446 F. Supp. 2d 719 ( 2006 )

United States v. Oppenheimer , 37 S. Ct. 68 ( 1916 )

Washington v. Confederated Bands & Tribes of the Yakima ... , 99 S. Ct. 740 ( 1979 )

Atlantic & Gulf Stevedores, Inc. v. Ellerman Lines, Ltd. , 82 S. Ct. 780 ( 1962 )

United States of America, Cross-Appellee v. Binyamin Ohayon , 483 F.3d 1281 ( 2007 )

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

Dunn v. United States , 52 S. Ct. 189 ( 1932 )

Ex Parte Lange , 21 L. Ed. 872 ( 1874 )

Sealfon v. United States , 68 S. Ct. 237 ( 1948 )

Fong Foo v. United States , 82 S. Ct. 671 ( 1962 )

Ashe v. Swenson , 90 S. Ct. 1189 ( 1970 )

Justices of Boston Municipal Court v. Lydon , 104 S. Ct. 1805 ( 1984 )

United States v. Thomas A. Larkin , 605 F.2d 1360 ( 1979 )

United States v. Blaine A. White , 936 F.2d 1326 ( 1991 )

United States of America, Plaintiff-Appellant/cross-... , 880 F.2d 878 ( 1989 )

United States v. Esperanza Aguilar-Aranceta , 957 F.2d 18 ( 1992 )

United States v. Yeager , 521 F.3d 367 ( 2008 )

Grady v. Corbin , 110 S. Ct. 2084 ( 1990 )

View All Authorities »

Cited By (209)

People v. Contreras CA3 ( 2015 )

Florentino Richard Gonzales v. State ( 2021 )

Commonwealth v. Wardlaw, J., Aplt. ( 2021 )

United States v. Whitfield , 590 F.3d 325 ( 2009 )

Ian Tapper v. Superintendent Mahanoy SCI ( 2021 )

Donnell Sledge v. the State of Texas ( 2021 )

Donnell Sledge v. the State of Texas ( 2021 )

People v. Johnson CA2/8 ( 2021 )

United States v. William Hickman , 764 F.3d 918 ( 2014 )

State v. Michelle Paden-Battle (084603) (Essex County & ... ( 2021 )

State v. Mark Melvin (083298) (Essex County & Statewide) ( 2021 )

United States v. Martinez-Maldonado , 790 F.3d 41 ( 2015 )

York v. State , 2011 Tex. Crim. App. LEXIS 913 ( 2011 )

St. v. Terreros ( 2021 )

Wright v. Commissioner of Correction ( 2021 )

Helmer v. Goodyear Tire & Rubber Co. , 828 F.3d 1195 ( 2016 )

State v. Thompson ( 2021 )

United States v. Terrell Lewis , 844 F.3d 1007 ( 2017 )

United States v. Doris Crabtree , 878 F.3d 1274 ( 2018 )

Ricky Langley v. Howard Prince, Warden , 890 F.3d 504 ( 2018 )

View All Citing Opinions »