United States v. Leroy Henry , Jr. ( 2023 )


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  •                                                                   NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 21-3254
    ______________
    UNITED STATES OF AMERICA
    v.
    LEROY HENRY, JR.,
    Appellant
    ______________
    On Appeal from the United States District Court
    for the Virgin Islands
    (D.C. Civ. Action No. 3:20-cr-0005-001)
    District Judge: Honorable Robert A. Molloy
    ______________
    Argued: December 6, 2022
    ______________
    Before: CHAGARES, Chief Judge, GREENAWAY, JR., and FISHER, Circuit Judges.
    (Opinion Filed: April 4, 2023)
    Matthew A. Campbell, Esq. [ARGUED]
    Office of Federal Public Defender
    1336 Beltjen Road
    Suite 202, Tunick Building
    St. Thomas, VI 00802
    Counsel for Appellant
    Delia L. Smith, United States Attorney
    Meredith J. Edwards
    Adam Sleeper
    Office of the United States Attorney
    5500 Veterans Drive
    United States Courthouse, Suite 260
    St. Thomas, VI 00802
    Kenneth A. Polite, Jr., Assistant Attorney General
    Lisa H. Miller, Deputy Assistant Attorney General
    Kevin J. Barber, Esq. [ARGUED]
    United States Department of Justice
    Room 1716
    950 Pennsylvania Avenue, N.W.
    Washington, DC 20530
    Counsel for Appellee
    ______________
    OPINION*
    ______________
    GREENAWAY, JR., Circuit Judge.
    On December 25, 2019, the Federal Bureau of Investigation (“FBI”) office of St.
    Thomas received an anonymous tip through Crime Stoppers, a community service that
    allows citizens to anonymously report a crime or criminal activity to law enforcement,
    that Leroy Henry Jr. (“Henry”), a convicted felon, was carrying an unregistered firearm.
    The tipster shared the specific location of the firearm, “the interior of his center console
    between the driver [and] passenger seat of his Infiniti car has a secret compartment that
    lifts out. And he keeps a loaded handgun in there.” App. 142. When asked if Henry had
    plans to use the weapon, the tipster responded, “[y]es, revenge for brother’s death.” Id.
    On January 10, 2020, FBI Task Force Officer Richard Dominguez (“TFO
    Dominguez”) obtained a search warrant from a magistrate judge to search the car that
    *
    This disposition is not an opinion of the full Court and, pursuant to I.O.P. 5.7,
    does not constitute binding precedent.
    2
    purportedly belonged to Henry. The affidavit in support of the search warrant included
    information received from the tipster and asserted that the agents had independently
    corroborated the following: Henry’s brother had been shot and killed by an unknown
    shooter on December 21, 2019, Henry had a 2013 prior conviction for possession of an
    unlicensed firearm in the Virgin Islands, Henry did not have a valid license to possess a
    firearm in the Virgin Islands, Henry was the registered owner of a 2007 Infiniti M35, and
    the target vehicle was parked outside of Henry’s residence.
    On January 14, 2020, TFO Dominguez and other agents executed the search
    warrant. When arrested, Henry agreed to accompany the agents to the FBI office. In the
    course of a search of Henry’s car conducted at the FBI office, agents found a loaded
    firearm and two magazines of ammunition in a secret compartment in the vehicle’s center
    console. Simultaneously, TFO Dominguez read Henry his Miranda rights. Henry
    confirmed that he understood those rights. During the interview, Henry admitted to his
    prior felony conviction, conceded that he knew that he was not permitted to have a
    firearm, and admitted that he possessed the firearm.
    Henry was indicted in short order on two counts—being a felon in possession of a
    firearm and being a felon in possession of ammunition—in violation of 
    18 U.S.C. § 922
    (g)(1).
    3
    a. DNA Testing and Pre-Trial Motion to Suppress
    In March 2020, law enforcement conducted DNA testing to determine whether
    DNA samples from the firearm matched Henry. Four technicians, working under the
    direction of forensic examiner Jaclyn Garfinkle, performed the pre-analysis steps of the
    laboratory process: extraction, quantification, amplification, and separation. Garfinkle
    analyzed the data generated from the pre-analysis steps and prepared the lab report. She
    found DNA from three individuals from the sample taken from the firearm and concluded
    that it was 78 septillion times more likely than not that Henry was one of those three
    people.
    Before the trial, Henry filed a motion to suppress the evidence seized from his
    car.1 Henry argued that the search warrant was not supported by probable cause due to
    the anonymous nature of the tip. The Government contended that the good faith
    exception to the exclusionary rule applied. The District Court found that the tip did not
    provide probable cause sufficient for the search warrant. The District Court noted that
    the information provided was too easily predicted to establish the tipster’s reliability and
    could not establish that the tipster had a “special familiarity” with Henry. App. 18.
    However, the District Court agreed with the Government’s alternative argument and
    found that the good faith exception to the exclusionary rule did apply as “it would be
    1
    Henry also argued that his statements to the FBI were made involuntarily and
    could not be admitted under the Self-Incrimination Clause of the Fifth Amendment. The
    District Court held that Henry had knowingly and voluntarily waived his Miranda rights
    and that the circumstances of his interview were not coercive or deceptive enough to
    make his statements involuntarily. Henry does not contest this issue on appeal.
    4
    unrealistic here to conclude that TFO Dominguez should have recognized, questioned,
    and correctly applied the nuances of the anonymous tip corroboration doctrine.” App. 21.
    b. DNA Testimony and Confrontation Clause
    At trial, the Government called Garfinkle as a witness and offered her as a DNA
    expert. During voir dire, Garfinkle stated that while she had supervised the DNA testing,
    she did not execute the “actual manual steps in the laboratory.” App. 432. The four lab
    technicians conducted these steps. Based on Garfinkle’s statement, the defense moved
    “to exclude the DNA testimony in its entirety” because its admission would violate the
    Confrontation Clause. App. 446. The District Court granted the motion because
    Garfinkle “was not physically present when the testing was conducted.” App. 448.
    During his case-in-chief, Henry presented witnesses who testified that other people
    occasionally used Henry’s Infiniti. In response, the Government called as rebuttal
    witnesses three of the four technicians who conducted the DNA testing; however, Lily
    Wong, the absent technician, was on maternity leave. The District Court found that
    Wong’s absence presented no violation of the Confrontation Clause. The technicians
    testified on the DNA collection and preparation. Garfinkle testified on overseeing the
    DNA testing process and her analysis of the testing conducted.
    Henry was found guilty of Count One, firearm possession, and not guilty of Count
    Two, ammunition possession. He was sentenced to 33 months of imprisonment followed
    by two years of supervised release. This timely appeal follows.
    II.   JURISDICTION
    The District Court had jurisdiction under 
    18 U.S.C. § 3231
     and 
    48 U.S.C. § 1612
    .
    5
    We have jurisdiction under 
    28 U.S.C. § 1291
    .
    III.   DISCUSSION
    a. The District Court Did Not Err in Denying Henry’s Motion to Dismiss
    i. Standard of Review
    We start with Henry’s argument that the District Court erred in denying his motion
    to dismiss. We review the factual findings of the District Court for clear error and its
    legal conclusions de novo. United States v. Werdene, 
    883 F.3d 204
    , 209 (3d Cir. 2018).
    As the good faith exception applies, we do not need to determine whether the warrant
    was supported by probable cause. See, e.g., United States v. Ninety-Two Thousand Four
    Hundred Twenty-Two Dollars & Fifty-Seven Cents, 
    307 F.3d 137
    , 145 (3d Cir. 2002).2
    2
    The parties spend a considerable amount of their respective briefs discussing
    whether the warrant was supported by probable cause. Courts have “informed discretion”
    in “turning immediately to a consideration of the officers’ good faith.” United States v.
    Leon, 
    468 U.S. 897
    , 925 (1984). In instances where “probable cause and particularity
    arguments ‘involve . . . novel question[s] of law whose resolution is necessary to guide
    future actions by law enforcement officers and magistrates’” do courts first reach the
    issue of probable cause. Ninety-Two Thousand, 307 F.3d at 145 (quoting United States v.
    Satterwhite, 
    980 F.2d 317
    , 320 (5th Cir. 1992)) (internal citations omitted). Henry
    presents no novel questions of law, and accordingly, we can turn directly to the good
    faith issue.
    6
    ii. The Search Warrant for Henry’s Car Survives Scrutiny Based
    on the Good Faith Exception to the Exclusionary Rule
    The exclusionary rule is applied “only on a case-by-case basis and only in those
    unusual cases in which exclusion will further the purposes of the exclusionary rule” to
    ward against unreasonable searches and seizures by law enforcement. United States v.
    Leon, 
    468 U.S. 897
    , 918 (1984). Courts must perform a “rigorous” test to measure the
    “deterrence benefits of exclusion” against “substantial social costs.” Davis v. United
    States, 
    564 U.S. 229
    , 237-38 (2011).
    The good faith exception buttresses this test.3 The good faith exception prevents
    suppression of evidence when the executing officers acted in “good faith” or “objectively
    reasonable reliance” on a “subsequently invalidated search warrant.” Leon, 
    468 U.S. at 922
    . Thus, in instances where an officer acted illegally but “in the objectively reasonable
    belief that [his] conduct did not violate the Fourth Amendment. . . . [the exclusionary
    rule] should not be applied[] to deter objectively reasonable law enforcement activity.”
    
    Id. at 918-19
    . Further, the exclusionary rule is only implemented when law enforcement
    conduct is “deliberate, reckless, or grossly negligent.” Herring v. United States, 
    555 U.S. 135
    , 144 (2009).
    Accordingly, the test to determine if the good faith exception applies is “whether a
    reasonably well trained officer would have known that the search was illegal despite the
    magistrate’s authorization.” Leon, 
    468 U.S. at
    922 n.23; see also United States v. Loy,
    3
    Henry spends the majority of his brief arguing that the good faith exception was
    wrongly decided. Our adherence to stare decisis precludes any comment on the validity
    or merit of Supreme Court precedent we are duty bound to follow.
    7
    
    191 F.3d 360
    , 367 (3d Cir. 1999). “[A]ny defects in the warrant” and “the officer’s
    conduct in obtaining and executing the warrant and what the officer knew or should have
    known” are both evaluated by courts. United States v. Franz, 
    772 F.3d 134
    , 147 (3d Cir.
    2014). Courts must recognize that law enforcement officers do not have an expert grip
    on the law and are not “expected to question the magistrate’s probable-cause
    determination.” Leon, 
    468 U.S. at 921
    . See also Malley v. Briggs, 
    475 U.S. 335
    , 346 n.9
    (1986) (“It is a sound presumption that the magistrate is more qualified than the police
    officer to make a probable cause determination, and it goes without saying that where a
    magistrate acts mistakenly in issuing a warrant but within the range of professional
    competence of a magistrate, the officer who requested the warrant cannot be held liable.”
    (internal quotation marks and citation omitted)).
    There are four instances, however, where the good faith exception does not apply:
    (1) where the magistrate judge issued the warrant in reliance on a
    deliberately or recklessly false affidavit;
    (2) where the magistrate judge abandoned his or her judicial role and failed
    to perform his or her neutral and detached function;
    (3) where the warrant was based on an affidavit so lacking in indicia of
    probable cause as to render official belief in its existence entirely
    unreasonable; or
    (4) where the warrant was so facially deficient that it failed to particularize
    the place to be searched or the things to be seized.
    United States v. Tracey, 
    597 F.3d 140
    , 151 (3d Cir. 2010). Henry argues that the third
    exception applies in the instant case, and the District Court found that it did not.
    The standard to establish the third exception to the good faith rule “is a high one.”
    Messerschmidt v. Millender, 
    565 U.S. 535
    , 547 (2012). The burden is on the defendant
    to show that the magistrate judge made an error “so obvious that a law enforcement
    8
    officer, without legal training, should have realized, upon reading the warrant, that it was
    invalid and should thus have declined to execute it.” Ninety-Two Thousand, 307 F.3d at
    146. While we need not determine whether there was probable cause, the Supreme Court
    and this Circuit have defined probable cause as “a ‘fluid concept,’ turning on ‘the factual
    and practical considerations of everyday life,’ which requires only a ‘fair probability that
    contraband or evidence of a crime will be found in a particular place.’” United States v.
    Caesar, 
    2 F.4th 160
    , 171 (3d Cir. 2021) (quoting Illinois v. Gates, 
    462 U.S. 213
    , 231-32,
    238 (1983)). We must give “great deference” to the magistrate judge’s determination that
    probable cause existed. See Gates, 
    462 U.S. at 236
    .
    Here, the good faith exception applies. The affidavit was not devoid of any indicia
    of probable cause. It was not “bare bones” or “paltry.” United States v. Pavulak, 
    700 F.3d 651
    , 664-65 (3d Cir. 2012) (quoting United States v. Zimmerman, 
    277 F.3d 426
    , 438
    (3d Cir. 2002)). The information was particularized to Henry and plentiful. It contained
    information about Henry’s circumstances, prior felony conviction, and a hidden
    compartment in the car registered to him. The information came less than a week after
    Henry’s brother’s death and raised concerns that Henry would use the weapon in
    retaliation. The affidavit was not based solely on the tip; the officers corroborated the
    information received in the tip.
    Henry presents no persuasive argument that the good faith exception should not
    apply. He claims that “[a] reasonable officer in [TFO Dominguez’s] position would have
    known the corroboration requirements established by the Supreme Court decades earlier”
    and thus “cannot be said to have acted in objective good faith reliance on the warrant.”
    9
    Appellant’s Br. at 29-30. We disagree. As noted above, the burden is on Henry to show
    that the magistrate judge made an error “so obvious” that TFO Dominguez would have
    known the warrant was invalid “without legal training.” See Ninety-Two Thousand, 307
    F.3d at 146.
    TFO Dominguez did independently corroborate the information contained in the
    tip. He confirmed: Henry’s brother’s death, Henry’s prior felony record, Henry’s lack of
    a firearm license, and that Henry was the registered owner of a car of the same make and
    model as the one specified in the tip. To suggest a lack of corroboration, as Henry does,
    misrepresents the facts of this case. In the aggregate, the affidavit contained a basis for
    believing Henry was a felon possessing an unlicensed firearm. Thus, Henry failed to
    show that the District Court erred in applying the good faith exception. Our precedent
    does not mandate the analysis Henry suggests. There is no error.
    b. The Forensic Examiner’s Testimony Did Not Violate the Confrontation
    Clause of the Sixth Amendment
    i. Standard of Review
    This Court exercises “plenary review over Confrontation Clause challenges.” See
    United States v. Moreno, 
    809 F.3d 766
    , 773 (3d Cir. 2016) (quotations omitted) (quoting
    United States v. Berrios, 
    676 F.3d 118
    , 125 (3d Cir. 2012)).
    ii. Testimonial Statements and the Confrontation Clause
    The Sixth Amendment’s Confrontation Clause states that “[i]n all criminal
    prosecutions, the accused shall enjoy the right . . . to be confronted with the witnesses
    against him.” U.S. Const. amend. VI. The Confrontation Clause prevents the
    10
    Government from introducing a standalone “testimonial” statement. See Crawford v.
    Washington, 
    541 U.S. 36
    , 68 (2004) (“Where testimonial evidence is at issue, however,
    the Sixth Amendment demands what the common law required: unavailability and a prior
    opportunity for cross-examination.”) A statement is testimonial when it is a “solemn
    declaration or affirmation made for the purpose of establishing or proving some fact.” 
    Id. at 51
    . There is no “forensic evidence” carve-out to the Confrontation Clause, and a lab
    report falls under the category of testimonial statements. See Melendez-Diaz v.
    Massachusetts, 
    557 U.S. 305
    , 308-10, 317-321 (2009) (concluding that “‘certificates of
    analysis’ showing the results of a forensic analysis performed on [] seized substances”
    qualified as testimonial statements that required the testimony of the analysts who
    performed the tests).
    Henry argues that it is not the report of the DNA testing that presents the
    Confrontation Clause issue, but the absence of one of the four technicians during the trial
    whose participation in the testing process and the subsequent results constitute
    testimonial statements. He argues that “[i]t is absolutely clear that [Garfinkle’s]
    testimony depended in critical part on the work, analysis, reports, and data produced by a
    non-testifying declarant—namely Lily Wong.” Appellant’s Br. at 48.
    Henry directs the Court to Bullcoming v. New Mexico, 
    564 U.S. 647
    , 654 (2005) to
    support his claim that Garfinkle’s “surrogate testimony was insufficient to protect the
    interests protected by the Confrontation Clause” as “Garfinkle conducted none of the
    underlying tests.” Appellant’s Br. at 48-49. However, Henry muddies the facts of
    Bullcoming to present it as analogous to the instant case when it is clear that no such
    11
    analogy exists. In Bullcoming, New Mexico presented as a witness, not the analyst who
    signed a lab certificate, but “another analyst who was familiar with the laboratory’s
    testing procedures.” 546 U.S. at 651. The Supreme Court held that such surrogate
    testimony did not meet the Confrontation Clause standard. Id.
    Here, however, Henry had the opportunity to examine not only Garfinkle, the
    signing analyst, but three of the lab technicians who participated in the DNA analysis at
    trial. But Henry wants more. He wishes to question the fourth absent analyst on her
    “training, experience, methodology, judgment calls, or the process used to conduct the
    DNA testing.” Appellant’s Br. at 49. That is not necessary here. Garfinkle gave expert
    testimony to explain her analysis of data that Lily Wong and the other technicians helped
    to generate. App. 699-702. Garfinkle did not, as Henry suggests, testify as to what
    Wong did or did not do. Therefore, there is nothing in Garfinkle’s testimony that is
    attributed to Wong that would be “surrogate testimony” in violation of the Confrontation
    Clause. The testimony of Garfinkle and the three lab technicians more than satisfies the
    Confrontation Clause.
    Accordingly, the District Court did not err in admitting Garfinkle’s DNA
    testimony.
    IV.      CONCLUSION
    For the reasons above, we will affirm the judgment of conviction of the District
    Court.
    12