Archive for the ‘Fifth Amendment’ Category

Signing of U.S. Constitution celebrated this week – Times Record News

The week of Sept. 17-23 commemorates the signing of one of the most important documents for the United States of America the Constitution.

The National Society of the Daughters of the American Revolution asks that as Americans, we take this week to resolve to become better informed and responsible citizens of this great country. People are asked to read the Constitution and discover what is, and is not, included in this cornerstone of our freedoms.

The Constitution was written to protect all Americans from the abuses of governmental power. For instance, the Fifth Amendment, No person shall be … deprived of life, liberty, or property without due process of law, protects people from double jeopardy and incrimination. However, the ideas that someone is innocent until proven guilty and a presumption of innocence are not in the Constitution. These terms are part of English law and were adopted into the American system.

The U.S. Constitution is the oldest constitution still in active use in the world today. At just 4,400 words, it is also the shortest written constitution of any major government in the world. The Constitution contains 4,543 words, including the signatures and has four sheets, 28-3/4 inches by 23-5/8 inches each. It contains 7,591 words including the 27 amendments.

The Preamble to the Constitution states, We the people of the United States, in order to form a more perfect Union, establish justice, insure domestic tranquility, provide for the common defense, promote the general welfare, and secure the Blessings of Liberty to ourselves and our Posterity, do ordain and establish this Constitution for the United States of America.

These words were written 233 years ago, and the important document that follows sets out the structure of the three branches of government, basic laws and basic rights of citizens.

The U.S. Consitution can be found online at the U.S. National Archives and Records site,https://www.archives.gov/founding-docs/constitution-transcript

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Signing of U.S. Constitution celebrated this week - Times Record News

Keep Out And Stay Out: The Cedar Point Decision And The Landowners Sine Qua Non Right To Exclude Others (Maybe Sometimes Even A Government Official) -…

The latest United States Supreme Court decision in the contested ground of Fifth Amendment takings law, Cedar Point Nursery v. Hassid, is yet another chapter in the long-standing argument regarding the distinction between regulation of the use of private property by its owner, and physical invasion or appropriation of property by the government. As the summary of the Cedar Point decision in the Case Notes section of this issue of the Newsalert indicates (see page 44, below), a 6-3 majority of the Supreme Court ruled that a regulation of the California Agricultural Labor Relations Board requiring agricultural employers to permit union representatives to enter their property to meet with employees on-site was in violation of the Takings Clause. The ALRB rule required the growers to allow union organizers access for one hour before and one hour after each workday, as well as during lunch hour. The Court held that this regulatory requirement was a per se taking, because although each such entry by itself was in some sense episodic, temporary, or transitory, by denying the owner the fundamental right to exclude others from the property, the regulation effectively deprived the owner of a protected property interest, namely, that same right to exclude others. This right to exclude, the Court said, is one of the most essential sticks in the bundle of rights that are commonly characterized as property, which some have characterized as the sine qua non of property.

Please see full Article below for more information.

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Keep Out And Stay Out: The Cedar Point Decision And The Landowners Sine Qua Non Right To Exclude Others (Maybe Sometimes Even A Government Official) -...

First Circuit Expands Due Process Rights of Noncitizens at Immigration Bond Hearings – Lawfare

In October 2018, Ana Ruth Hernandez-Lara, a non-U.S. citizen who fled El Salvador in 2013 and entered the U.S. without permission, appeared before an immigration judge at a discretionary bond hearing and requested bond pending her removal proceeding. Following Board of Immigration Appeals (BIA) procedure, the judge required her to prove that she was neither a danger to the community nor a flight risk. Finding that she failed to meet her burden, the judge denied her request. Hernandez contested the immigration judges burden allocation and prevailed: the United States District Court for the District of New Hampshire granted her petition for a writ of habeas corpus and ordered the judge to provide a bond hearing where the government, not Hernandez, bore the burden to prove danger or flight risk by clear and convincing evidence. At her second hearing, the judge granted bond.

On Aug. 19, the U.S. Court of Appeals for the First Circuit primarily affirmed the district courts decision. The court held that the Fifth Amendments Due Process clause requires the government to provide detained noncitizens awaiting removal proceedings a bond hearing where the government must prove the noncitizen is a danger by clear and convincing evidence, or flight risk by preponderance of evidence. If the government cannot meet its burden, it must offer bond or conditional parole. The court reversed the district judge only with respect to the proper standard for proving flight risk. Significantly, the decision expands the due process rights of noncitizens by upending long-standing BIA procedure, articulated in the interim decision Matter of Adeniji, which allocated the burden to the noncitizen at discretionary bond hearingsan allocation, Judge William Kayatta wrote for the majority, that places a noncitizen against loaded dice. Kayatta also asserted that the decision will ameliorate the substantial societal costs of unnecessary detention that 20 states reported in an amicus brief.

In dissent, Judge Sandra Lynch sought to resolve the matter on statutory grounds, asserted that the BIAs burden allocation was arbitrary and capricious, and recommended enjoining the existing BIA procedure. Had the court taken Lynchs approach, the BIA would likely have returned to its pre-Adeniji standardoutlined in its 1976 interim decision Matter of Patel, in which the government typically bore the burden of proof. But Lynch criticized the majoritys categorical requirement for the government to bear the burden at all discretionary bond hearings. Lynch asserted that the majority constitutionalize[s] a rule better left to the executive and the Congress, called on the Supreme Court to step in, and asserted that the majoritys error will reverberate in thousands of immigration bond proceedings.

Scope of the Decision and Probable Impact

The courts decision applies to noncitizens detained under 8 U.S.C. 1226(a). Section 1226(a) provides that an alien may be arrested and detained pending a decision on whether the alien is to be removed from the United States. Section 1226(a) also grants discretionary authority to the attorney general, who may continue to detain the arrestedalien [and] may release thealienon bond or conditional parole. (A separate section, 1226(c), applies to criminal aliens and requires mandatory, rather than discretionary, continued detention.) Section 1226(a) is silent as to whether the government or noncitizen bears the burden of proof at the bond hearing. Since the 1999 interim decision in Adeniji, the BIA has interpreted that silence to place the burden on the noncitizen, allowing the immigration judge to use factors such as the noncitizens length of stay, employment history, family ties, and criminal record in assessing a request for bond. The Adeniji burden allocation has now shifted: Under the courts decision, due process requires the government to bear the burden to justify continuing to detain a noncitizen held under 1226(a).

It is unclear whether the decision will lead to a higher number of removal proceedings that noncitizens do not attend. Statistics show that the majority of noncitizens appear for removal proceedings, particularly in asylum cases where they stand a reasonable chance of obtaining relief. Some estimates show attendance rates as high as 83 percent, though official statistics provided by the Department of Justices Executive Office for Immigration Review suggest a significantly lower attendance rate of approximately 62 percent between fiscal years 2011 and 2020. But even if statistics showing a strong attendance rate are accurate, a sizable number of immigrants still do not appear at removal proceedings, especially as the number of pending immigration cases nears 1.4 million.

In their analyses of the challenges and obligations of the immigration system, the judges disputed the impact of shifting the burden. Kayatta emphasized that categorically shifting the burden to the government restores a fundamental liberty interest, improves judicial and administrative efficiency, and has the potential to reduce the significant social and economic costs caused by detention of noncitizens by preventing ruptures in the fabric of communal life[.] Conversely, Lynch asserted that requiring the government to bear the burden is unsupported by the Due Process clause and imposes additional strains on the immigration system. For Lynch, the governments superior knowledge about the implications of burden allocation reinforces [the] conclusion that the political branches should decide such questions in the first instance.

One impact of the First Circuits decision is clear: Allocating the burden to the government will allow more detained noncitizensmany of whose journeys to the United States echo Hernandezs storyto be released on bond pending removal proceedings.

In 2013, Hernandez fled El Salvador after receiving death threats from the 18th Street Gang. She settled in Portland, worked in a recycling plant and became engaged. On Sept. 20, 2018, an immigration officer detained Hernandez pursuant to 1226(a). At her bond hearing, Hernandez argued that she was neither a danger to the community nor a flight risk, pointing to her family members in the U.S. and engagement. The government countered with an INTERPOL Red Notice that stated Hernandez was subject to an arrest warrant in El Salvador. (A Red Notice does not provide a basis for arrest in the U.S.) Still, applying BIA regulations from Adeniji, the immigration judge placed the burden on Hernandez and found she failed to meet itan apt demonstration, Kayatta wrote, of how the burden of proof can affect immigration bond hearings. But after the district court granted Hernandezs habeas corpus petition and required the immigration judge to hold a bond hearing at which the government bore the burden to justify Hernandezs detention, Hernandez was released on bond. At the time of release, she had spent more than 10 months at the Strafford County Jail.

In a separate ongoing proceeding, Hernandez Lara v. Barr, the First Circuit vacated the BIAs decision to affirm the immigration judges denial of asylum to Hernandez, and remanded to the BIA for further proceedings. In that case, the court found that the immigration judge denied Hernandez her right to be represented by the counsel of her choice. Hernandezs asylum claim, as well as her claims for withholding of removal and relief under the Convention against Torture, are ongoing.

History of Board of Immigration Appeals (BIA) Bond Proceedings

Before providing summaries of the majority and dissent, it is worth outlining one area on which the judges agree: The BIAs problematic decision to shift the burden to the detained noncitizen at discretionary bond hearings.

In 1952, Congress passed the Immigration and Nationality Act. Section 1226(a) provides that an alien may be arrested and detained pending a decision on whether the alien is to be removed and grants discretion to the attorney general to detain the noncitizen or release them on bond or conditional parole. Section 1226(a) does not specify whether the government or noncitizen bears the burden of proof for release. In its 1976 decision in Matter of Patel, the BIA stated that it presumed liberty in most cases: An alien generally is not and should not be detained or required to post bond except on a finding that he is a threat to the national security. But the BIAs long-standing approach shifted in 1996, after Congress passed the Illegal Immigration Reform and Immigrant Responsibility Act (IIRIRA). IIRIRA provided a mandatory detention provisioncurrently 1226(c)for noncitizens convicted of certain crimes. However, Congress did not alter the discretionary authority provided in 1226(a), except by increasing the minimum bond to $1,500. After IIRIRAs passage, 1226(a) remained largely unchanged.

To comply with IIRIRA, the Immigration and Naturalization Service (INS) implemented new regulations concerning detention. One provision states that immigration officers could release an apprehended noncitizen provided that the noncitizen demonstrate[s] to the satisfaction of the officer that such release would not pose a danger [and] is likely to appear for any future proceeding. In other words, it places the burden on the detained noncitizen, but it makes no mention of the standard for immigration judges. A separate provision provides, in contrast, that the noncitizen could seek review of their detention from an immigration judge. In a procedural shift articulated in Adeniji, the BIA imputed the standard for immigration officers to immigration judges and placed the burden of proof on the noncitizen.

Both the majority and the dissent found problematic the BIAs decision to shift the burden to the detained noncitizen but disagree on the reasons and the proper relief.

Summary of the Majority Opinion

Writing for the majority, Kayatta began discussion of the merits by squarely addressing [w]hether the Due Process clause of the Fifth Amendment entitles a noncitizen detained pursuant to 1226(a) to a bond hearing at which the government bears the burden of proving by clear and convincing evidence that the noncitizen is dangerous or a flight risk. Kayatta first weighed the factors in Mathews v. Eldridge, then addressed relevant Supreme Court precedent, and finally discussed the proper extent of the burden.

In Mathews, the Supreme Court articulated a three-factor balancing testconsidering private interest affected, risk of erroneous deprivation of the interest, and the governments interestto evaluate procedural due process. Under Kayattas analysis, all three weigh for Hernandez. First, Kayatta emphasized that freedom from imprisonment is at the heart of liberty and noted that Hernandez suffered a substantial deprivation [of liberty] when she was detained for more than 10 months. Kayatta rebuked the governments argument that no liberty interest is deprived because the detained can choose at any point to return to their home country. That argument, Kayatta wrote, is like telling detainees that they can help themselves by jumping from the frying pan into the fire. The majoritys analogy here contrasts with DHS v. Thuraissigiam, where the Supreme Court held that a noncitizen has no right to habeas corpus review after expedited removal proceedings (discussed on Lawfare here and here). In that case, after Thuraissigiams asylum claim was denied, Thuraissigiam sought a writ of habeas corpus for a new hearing. In the courts view, habeas is limited to release from unlawful detention, but not to achieve an entirely different end [of] additional administrative review. Writing for the court, Justice Samuel Alito framed Thuraissigiams petition as seeking the right to enter or remain in a country or to obtain administrative review potentially leading to that result. In contrast, Kayatta framed Hernandezs petition in terms of release from unlawful detentionnot to enter or remain in the country.

On the second factor, Kayatta found a significant risk of error in the current burden allocation. He emphasized the lack of safeguards, including difficulty in obtaining counsel and gathering evidence, that could jeopardize noncitizens ability to meet their burden. On the third factor, Kayatta asserted that the government has a valid interest in ensuring appearance at removal proceedings. However, detainment of noncitizens who do not pose a flight risk fails to advance that interest. Kayatta weighed the benefit of detention with the financial costs of removing breadwinners and parents from their homes and communities. He concluded that the public interest in placing the burden on the detainee is uncertain and may well be negative.

The majority then addressed and distinguished Supreme Court precedent in three cases that limited due process rightsDemore v. Kim, Carlson v. Landon and Reno v. Flores. The distinction with Demore deserves close attention.

In Demore, the Supreme Court held that the detention provision in 1226(c), which mandates detention during removal proceedings for a limited class of deportable aliensincluding those convicted of an aggravated felony[,] did not violate due process. In that case, Justice William Rehnquist emphasized the deference the court has historically granted to Congress regarding immigration and argued that this Court has firmly endorsed the proposition that Congress may make rules as to aliens that would be unacceptable if applied to citizens. While acknowledging that the Fifth Amendment entitles noncitizens to due process during immigration proceedings, the majority firmly asserted that detention during deportation proceeding [is] a constitutionally valid aspect of the deportation process. Further, the court distinguished Demore from Zadvydas v. Davis, in which the Supreme Court held that the government could not detain a noncitizen for more than a reasonable time beyond the statutorily provided 90 days after that noncitizen was ordered removed. In Zadvydas, the detained individual could not be removed because multiple countries to which he was to be relocated did not accept him. Rehnquist distinguished Zadvydas from Demore, pointing out that Zadvydas involved an indefinite detention, whereas Demore involved a discrete period with pending proceedings. The court thus held that 1226(c) did not violate a due process right.

The majoritys approach in Hernandez-Lara is difficult to square with the deferential approach in Demore. In Demore, Congress had evidence showing the need for mandatory detainment, including evidence that permitting discretionary release of aliens pending their removal hearings would lead to large numbers of deportable criminal aliens skipping their hearings and remaining at large in the United States unlawfully. One could find similar evidence justifying detention under 1226(a): Even the highest estimates of attendance show significant numbers of in absentia removals, or those where the noncitizen fails to attend. The need to ensure attendance at removal proceedings that justified the mandatory detention of 1226(c) could thus be used to justify discretionary detention under 1226(a). Further, 1226(c) applies to criminal aliens convicted of a wide range of crimes, including drug offenses, but it does not require a finding of dangerousness. The Demore courts deference to mandatory detainment of a range of criminal aliens, even those not convicted of a per se dangerous crime, might suggest that the Due Process clause does not require the government to bear the burden to show dangerousness in discretionary proceedings. While Kayatta distinguished Demore by asserting that noncitizens not convicted of a crime are entitled to a significantly greater due process right than are noncitizens convicted of a crime, this logic does not entirely square with the deferential treatment of immigration policy the court took in Demore.

The majority then turned to Carlson. In Carlson, the Supreme Court held that the INS could detain noncitizens suspected of engaging in communist activities without bail, even without proving flight risk or danger. For the court, Carlson is distinguishable: The dangerousness associated with participation in communist activities and a legislative scheme [designed] to eradicate the evils of Communist activity justified detention. Finally, the court distinguished Reno v. Flores. In Reno, the Supreme Court determined that a regulation denying bail to noncitizen minors not accompanied by their parents and limiting their release to a parent or legal guardian comported with due process, because that regulation was rationally related to the governments interest of promoting juveniles welfare. For the majority, Reno is distinguishable as it did not address the governments burden of proof to detain but rather whether the government was obligated to seek the best interests of the minor (it was not).

Finally, the court articulated the extent of the burden of proof: clear and convincing for danger and preponderance of evidence for flight risk. As for danger, the court emphasized that there is a risk of prejudicial error, that the government has the best access to relevant information including numerous databases provided by federal and state authorities, and that in analogous contexts, including involuntary civil commitment, termination of parental rights and denaturalization, the government must justify its decision by clear and convincing evidence. Conversely, for flight risk, the government must only show a preponderance of evidence. The court offered two reasons. First, the detained noncitizen possesses significant knowledge of the most relevant factors, such as family ties and employment record. That the detained need only marshal[] evidence readily available to her provides sufficient protection for due process. Second, the court also found an analogous situation in pretrial bail under the Bail Reform Act, where proving flight risk requires a preponderance of evidence.

Dissent Scrutinizes the Majoritys Due Process Analysis

In the dissent, Lynch steered away from the due process question and insisted that creating a categorical requirement to shift the burden contravenes what the Due Process clause requires. Lynch focused instead on why the Adeniji decision violates the Administrative Procedure Act. She offered several reasons. First, the BIA justified its shift from the Patel standard (which placed the burden on the government) by pointing to the provision that provides bond standards for immigration officers, not immigration judges. The BIAs decision to impute standards provided for immigration officers to immigration judges, who have more knowledge and access to arguments from both sides, is thus arbitrary. Second, 8 CFR 236.1(d)(1)which does apply to immigration judgesprovides that they may ameliorate the bond conditions applied by the arresting officer. For the dissent, the specification that immigration judges may ameliorate the bond conditions suggests they follow a standard distinct from immigration officers. Thus, the BIAs decision to collapse the distinction between two standards contravenes the regulatory text. Also, Lynch discerned a more elementary flaw in INSs adoption of 8 CFR 236.1: failure to implement congressional intent. When Congress enacted a mandatory detainment provision for convicted criminals in 1226(c), it sought to recognize the relative dangerousness and flight risk of different classes of detainees. INSs failure to implement different standards for different classes of detainees was arbitrary insofar as it overlooked a critical aspect of the problem, namely, relative dangerousness. Finally, the explanation INS provided for its decision contradicted relevant evidence: The INS focused on flight risk after final orders of removal rather than prior to such orders, at which stage flight risk is significantly lower.

In summary, Lynch would vacate the district courts judgment, enjoin the current BIA procedures, and remand to the district court, which would likely apply Patel-era procedures (not a categorical rule). While Patel places the burden on the government, it does not state a standard of proof. Under the dissents view, the injunctive relief would allow the BIA (or Congress) to develop a burden allocation in accordance with the dissents enjoinment.

Notably, neither the majority nor the dissent focused on the seemingly broad discretion that the law appears to grant to the attorney general. On a plain text reading, the section simply says that the attorney general may continue to detain the alien and may release the alien on bond or conditional parole. As various courts have pointed out, permissive verbs such as may suggest discretion. Shifting the burden back to the attorney general to justify continued detention arguably contravenes the plain text of the statute, because such a shift limits the discretion provided in the section.

Four Fundamental Areas of Dispute

Four areas in dispute between the majority and the dissentconstitutional avoidance, separation of powers, circuit splits and the policy impact of the courts opinion on the administration of U.S. immigration policywarrant further explanation, as they are relevant to ongoing controversies over due process rights for noncitizens.

First, on the issue of constitutional avoidance, the majority and the dissent differed on whether the court should grant the relief sought on due process grounds. For the majority, avoiding the constitutional claim would neglect a central aspect of the relief sought, because it would enjoin the current BIA procedures without establishing the extent of the burden of proof necessary to protect the due process right. Conversely, for the dissent, avoiding the constitutional question, even where the litigants lead with their constitutional claims, is necessary whenever the court can resolve the matter on alternative grounds.

Second, the opinions presented differing views on separation of powers. The majority emphasized the importance of constitutional limitation even in the realm of immigration and cited to Zadvydas v. Davis. Further, the majority emphasized that the judiciary plays a particularly important constitutional role in protecting the rights of the individual. The court asserted that not only does the Due Process clause apply to all persons, but protecting the right of due process is particularly important for discrete and insular minorities who cannot vote, as the Supreme Court articulated in a footnote in Carolene Products. In contrast, the dissent emphasized the broad power Congress and the executive branch hold in matters pertaining to immigration. For example, Lynch pointed to instances in which the Supreme Court has allowed detainment of noncitizens on a categorical basis but required individualized determinations of citizens, contrasting the categorical detainment of noncitizens permitted in Carlson v. Landon with the individualized showing required for citizen criminal defendants in United States v. Salerno. Lynch argued that, because the Supreme Court has permitted categorical detainment of noncitizens, the current BIA procedure providing individualized discretionary hearings all the more so does not violate a constitutional right.

Third, there is disagreement on circuit splits. The majority asserted that its decision does not conflict with the Eighth Circuits decision in Ali v. Brott nor the Third Circuits decision in Borbot v. Warden Hudson County Correctional Facility or in German Santos v. Warden Pike County Correctional Facility. As to Ali, the majority conceded that the Ali decision contains dicta that portends a difficult result from that reached here but asserted that the Ali court did not reach the due process constitutional question. The majority then addressed Borbot. In Borbot, the Third Circuit held that a detainee denied release on bond pending removal was not entitled to a second bond hearing because he had been granted meaningful process. Under the majoritys view, the Third Circuit described the discretionary bond hearing provided pursuant to 1226(a) as a meaningful process only to contrast it with 1226(c) (providing for automatic detention for detainees who have committed certain criminal offences) but did not decide the constitutional adequacy of the bond hearing under 1226(a). The majority then turned to German Santos, the decision that was based on the Addington v. Texas line of cases. In German Santos, the Third Circuit held that, when the government has detained a noncitizen under 1226(c) for an unreasonable amount of time, it bears the burden of proving by clear and convincing evidence that a noncitizen is a danger or flight risk. Under the majoritys reading of German Santos, the fact that the Third Circuit required a clear and convincing standard after unreasonable detention suggests that the Third Circuit sought a heightened standard for the meaningful process it described in Borbot for persons detained under 1226(a).

The dissent presented a strikingly different view of the implications of the Third Circuits decisions in Borbot and German Santos, concluding that the majoritys opinion creates a circuit split on a question of national importance. Lynch asserted that Borbot held that the Due Process clause does not require the government to bear the burden of proof in bond proceedings and thereby conflicts directly with the majoritys opinion. With respect to German Santos, Lynch asserted that, because the Third Circuit required a bond hearing for persons detained mandatorily under 1226(c) who have been held for an unreasonable period, the Third Circuit implicitly recognized that the burden may lie at first with the noncitizen. Given that Lynch sees the circuits in direct conflict, she urged the Supreme Courts review of the majoritys holding.

Fourth, the disagreements extended to policy implications. The majority argued that placing the burden of proof on the government will not significantly increase the governments administrative responsibilities because the government will retain its current incentive to gather criminal records and relevant information on detainees. Further, in the majoritys view, the burden allocation aligns with studies showing that detainees overwhelmingly attend their hearings. A study by Eagly, Shafer and Whalley of asylum adjudication for families released from detention found that between 2001 and 2016, 96 percent of former family detainees seeking asylum attended their asylum hearings. But the Eagly data is arguably no longer relevant, as the majority of cases the studys authors examined precede the spike in family apprehensions. Adding to the dispute over statistics, the dissent cited a separate study: a 2014 Government Accountability Office report, limited to data from 2013, that found a 77 percent appearance rate for all non-detained noncitizens at final removal hearings and a 95 percent appearance rate for noncitizens subject to enhanced monitoring.

Challenges in Determining Attendance Rates at Removal Proceedings

Different methods for determining in absentia Executive Office for Immigration Review removals likely contributed to the different statistics cited by the court. The Executive Office for Immigration Review method divides the number of in absentia removal orders by the total number of initial case completions, or the first decision made by an immigration judge. In contrast, the alternative method proposed by Eagly and Shafer calculates the in absentia rate as a proportion of all pending and completed cases. In doing so, their method seeks to account for pending and backlogged cases and yields a significantly higher attendance rate.

Notably, different classes of noncitizens have differing incentives to appear. Lawful permanent residents, or noncitizens granted authorization to live and work in the United States on a permanent basis, can lose their status if they fail to attend proceedings. Lawful permanent residents thus arguably have more to lose from nonattendance than a noncitizen in Hernandezs position seeking asylum or other relief, who does not have a status to loseonly one to gain.

Aftermath of the First Circuit Decision

Should the Supreme Court take up the decision, it would not be its first time addressing 1226(a). In Jennings v. Rodriguez, the court held that 1226(a) does not require the government to provide immigrants detained under the section with bond hearings every six months at which the government justifies continued detainment. The court stated that nothing in the statutory text supports a requirement for periodic bond hearings. In dissent, Justice Stephen Breyer wrote, I would find it alarming, to believe that Congress wrote these statutory words to put thousands of individuals at risk of lengthy confinement without hope of bail.

On the one hand, shifting the burden of proof to the government per Hernandez-Lara could increase the number of no-shows by adding to false negatives. In other words, noncitizens not viewed as flight risks might fail to appear for a hearing, leading to an increase in nonattendance rates. But the opposite could also be true. Conditions imposed under 8 U.S.C. 1226, such as ankle monitoring, might promote high attendance rates. Further, greater access to counsel at bond hearings statistically yields higher attendance rates. The American Immigration Council, using data from fiscal years 2008 to 2018, found that between 96 percent and 92 percent of noncitizens with counsel did attend hearings. While the data does not account for more recent migrant surges, it suggests that any immigration policy seeking to balance the necessity of removal proceeding attendance with the rights of noncitizens should centralize access to counsel.

Ultimately, as immigration cases continue to surge and President Biden seeks to craft an immigration policy, the standard of proof at bond hearings will remain a consequential issue.

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First Circuit Expands Due Process Rights of Noncitizens at Immigration Bond Hearings - Lawfare

What to Do When You Receive a Grand Jury Subpoena – The National Law Review

Friday, September 17, 2021

Receiving a grand jury subpoena can be a stressful and worrisome time. It basically means that the government believes that you are involved in a federal offense or believes that you have material information about a federal offense.

In addition to understanding what the grand jury subpoena is requesting of you, you should also be aware of the applicable privileges and constitutional protections under the law and U.S. Constitution.

This article, drafted by the federal defense attorneys at Oberheiden, P.C., explains grand jury subpoenas; the difference between witness, subject, and target; what it is like to testify before the grand jury; bill versus true bill meanings; and, most importantly, how a defense attorney can guide you through this federal process.

The grand jury subpoena is a powerful investigative tool of the federal government used to identify and gather evidence about a certain federal crime. There are two types of grand jury subpoenas: (1) subpoena duces tecum and (2) subpoena ad testificandum. The former requires the recipient to produce certain documents, and the latter requires the recipient to appear before the grand jury at a certain time and a certain date to provide testimony.

Grand juries have 23 jurors, 16 of which must be present in order for the jury to have a quorum. The grand jury may return an indictment only if there is a vote by at least 12 jurors. The 23 jurors who sit on the grand jury are sworn to secrecy and to the objective duty of assisting the prosecutor in determining whether there is probable cause to initiate formal charges against the individual being targeted. The failure to respond to a grand jury subpoena can lead to stringent penalties.

There are critical differences between a witness, subject, and target including how the government proceeds against you or the severity of the possible fines, penalties, and potential jail time.

A witness is an individual who may have important information that the government believes would be relevant to its investigation for the crime at issue. Witnesses are not typically charged with crimes. A subject is an individual who the government believes may be connected to or may have engaged in the crime at issue; in other words, subjects are putative defendants. The government often has evidence connecting subjects to the crime.

Lastly, a target is an individual intricately connected to the commission of the crime. The government and the grand jury generally have substantial evidence to return an indictment against the individual.

Prior to testifying before the grand jury, your defense attorney will decide if it is feasible and proper to file any applicable challenges to the scope and extent of the subpoena. Your attorney will prepare you on what to say and how to say it as well as what to do during the proceeding if you need to speak with your attorney.

Once all challenges have been filed and you and your attorney have fully prepared, you would then be ready to testify before the grand jury. After you have completed your testimony, you and your attorney should review the testimony you delivered. Sometimes, the prosecution may want you to testify again.

Your second testimony would proceed similarly to the first. The same or similar questions may be asked of you. Therefore, you and your attorney need to make sure that your first testimony is accurate and that you do not make any contradictory statements during your second testimony.

What is the difference between a true bill and a no bill? If the grand jury issues what is called a true bill, you will be indicted. If the grand jury issues a no bill, it means that it did not find probable cause that the defendant was involved in the commission of the crime.

In these latter cases, the governments investigation with respect to that individual will be over. In cases where the grand jury issues a true bill, you and your attorney may need to file a motion to dismiss.

Some examples of reasons for challenging an indictment include the following: bias or prejudice; perjured testimony; too much hearsay; failing to disclose exculpatory evidence; or any violation of a constitutional guarantee. If your case goes to trial, you must remember that the governments burdenbeyond a reasonable doubtis much higher than the probable cause standard used at the grand jury proceeding.

Below is a list of how a defense attorney can help you if you receive a grand jury subpoena:

Your attorney will immediately open the communication channels with the government to see if any productive information can be gained.

One of the first tasks your attorney will undertake is to narrow down the scope of your subpoena through communication with the governmentthis can occur via reduced subpoena scope, deadline extensions, rewording of the subpoena requests, etc.

Through careful communications with the government, an attorney can help you determine your degree of liability and culpability.

Your attorney may be able to determinebased on the subpoena or from communications with the governmentthe nature of the investigation; the offenses being considered; the recipients role in the investigation; etc.

Your attorney can advise you on the attorney-client privilege and other applicable constitutional privileges such as the Fifth Amendment privilege against self-incrimination.

An attorney can assess whether it is proper and feasible to move to quash your subpoena if compliance would be unreasonable or oppressive as per Rule 17(c)(2) of the Federal Rules of Criminal Procedure.

Cooperation, good faith, and negotiation are critical strategies of a successful outcome that your attorney can guide you towards.

The attorney can negotiate with the government to help achieve leniency and mitigation in your case.

If your subpoena calls for the production of documentsduces tecumyour attorney will guide you in starting to accumulate and compile responsive documents immediately.

If your subpoena calls for the delivery of your testimony--ad testifacandumyour attorney will help you develop questions and appropriate answers.

Your attorney will assist and require that you implement a document preservation policy within your business as soon as possible.

Despite Rule 6(e)(2) of the Federal Rules of Criminal Procedure that strictly prohibits grand jurors, interpreters, court reporters, federal prosecutors, and other court personnel from disclosing any matter that occurs before the grand jury, some information nevertheless comes to the medias attention; your attorney can help you reduce your media exposure.

First and most importantly, you need to remember that the burden is on the prosecution to demonstrate probable cause during grand jury proceedings. You also need to remember when and how to assert your Fifth Amendment privilege against self-incrimination, as this is a critical constitutional guarantee. Lastly, because of the severity in punishment, liberty, and reputation that are possible after receiving a grand jury subpoena, retaining a competent and experienced federal attorney will be key to your defense. Dr. Nick Oberheiden, Founding Attorney of Oberheiden P.C.

Grand jury subpoenas are powerful tools used by the government to initiate a criminal investigation. A grand jury subpoena can ask you to provide testimony, produce documents, or sometimes both.

Regardless of what the subpoena is asking, it is important to exercise extreme caution and act promptly. Retaining a competent and experienced federal defense attorney should be the first step in your defense. Your attorney can help you by communicating with the prosecutor handling your case, ascertaining the nature of the charges, advising you on protecting your constitutional rights, and guiding you towards dismissal, mitigation, leniency, or, if applicable, a strong personalized defense strategy at trial.

Oberheiden P.C. 2021 National Law Review, Volume XI, Number 260

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What to Do When You Receive a Grand Jury Subpoena - The National Law Review

NFG sues city of Erie over $1.3M in fees, seeks to dismantle ordinance that authorizes them – GoErie.com

National Fuel Gas is claiming city charges excessive fees for cutting into streets during repair, construction jobs. Utility wants judge to issue injunction to end practice, invalidate city law.

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Cincinnati Enquirer

The city of Erie is facing a legal challenge over afee system that has bolstereditsbudgetsince the mid-1990s.

National Fuel Gas Distribution Corp. is suing the city in federal court, claiming the city is violating the utility'sconstitutional rights by charging what NFG says are excessive and unlawful fees related to NFGwork that requires excavation ofstreets, sidewalksand other public rights of way.

NFG wants the city to return what it claims are $1.3 million that it paid the city in fees between 2014 and 2020.

It alsowants a federal judge to enjoin the city from collecting "unreasonable" fees in the future and it wants the judge to invalidate the 1994 city ordinance that authorizes the city to impose what are known as degradation fees. The city says itcollects those fees to recover expenses related to cutting or digging up streets and sidewalks.

A lawyer for NFG, John Mizner,filed the 49-page suit in U.S. District Court in Erie on Monday.Though the suit focuses on the Buffalo-based NFG, the outcome could have ramifications for contractors or other utilities that the city also charges degradation fees.

The city over the past several years has generatedaround $700,000 ayear in degradation fees and other fees related to street excavations, according to city budget records. The city's 2021 budget lists $662,750 in revenue from degradation fees and related fees.

City Council in December 1994 passed the ordinance for street excavations, including the authorization of degradation fees.

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In February 2020, council increasedthe degradation fees from $48 per square yard to $50 per affected square yard for degradation, or street cuts that happen within a roadway. Council increased from$23 per affected square yard to $28 per square yard the fees for degradation outside of the roadway, such as a sidewalk or curb.

Though NFG for decades paid the degradation fees and related fees without objection, it claimsthat changing city policies prompted the lawsuit. The suit does not specify whyNFG is seeking recovery of fees noearlier than 2014, though the indication is that NFG has records dating to 2014.

One impetus for NFG's action, according to the suit, was the administration of Mayor Joe Schember's requirement, starting in 2020, that the city use"best practices" for tree management in approving permits for NFG excavation work.The city's best practices are meant to protect trees.

The city's reliance on those standards, according to the suit, led the city to demand that NFG "redesign its engineering and construction plans to relocate work away from trees" and into the street, forcing NFG to pay higher degradation fees.

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NFG also claims that the city retaliated against the utilityfor its objections by ending the city's longstanding practice of allowing NFG to get permits for repair work in rights of way after the work was completed. Starting in May 2020, according to the suit, the city told NFG that "no work will be performed within the rights of way without a permit."

In addition to seeking a preliminary injunction related to the fees, NFG's suitasks for an injunction to stop the city "from imposing restrictions on the location" of NFG's facilities or utilities in the future. The suit claims that only the Pennsylvania Public Utility Commission can regulate utilities in the manner that NFG claimsthe city of Erie is trying to do through the use of the guidelines for tree protection.

NFG isclaiming that the city's fees structure adds to the utility's expenses, forcing it to pass on the costs to customers, including those who live outside the city of Erie. The revenue that the city gets from the degradation fees and otherrelated fees, according to the suit, improperly goes into the city's general fund instead of getting allocated for repairs or costs directly related to the streets and other rights of way.

"Simply put," the suit claims, "the Fee Structure raises revenue which the City of Erie can use on any expense paid for from the City's General Fund, and it is not fair to National Fuel's ratepayers outside of the City of Erie to contribute to the City's General Fund."

The suit states that the city has imposed degradation fees and permitting fees on NFG this year, but that NFG has withheld paying those fees "on the grounds that fees are illegal."

In a statement, NFG called filing the suit "a last resort" to resolving its concerns over the fee structure and other issues related to the utility's work in the city.

"Despite National Fuels best efforts over the last two years, repeated attempts to amicably and collaboratively resolve these matters with the city of Erie have proven unsuccessful," the statement said.

"National Fuel prides itself on exercising stewardship with respect to customer funds. Accordingly, National Fuel has filed a lawsuit to challenge excessive, arbitraryand unlawful fees and practices imposed by the city of Erie which undermine National Fuels ability to provide safe, efficient and reliable natural gas at fair and reasonable rates to customers."

The city will get a chance to respondin court. City Solicitor Ed Betza on Wednesday said he is reviewing the suit.The caseis assigned to U.S. District Judge Cathy Bissoon, who is based in Pittsburgh but hears Erie cases.

NFG is claiming that the city has violated its rights under state and federal law, with its claims under the U.S. Constitution landing the case in federal court.

The city's fee structure, the suit claims, violates NFG's Fifth Amendment rightagainst the taking of private property for public usewithout just compensation. The suit also claims the city has violated NFG's right to due process under the Fourteenth Amendment.

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Regarding the Fifth Amendment, the suit states that federal courts have ruled that municipal fees mustreflect a "fair approximation of the cost " of the benefitsthat the fees are meant to provide. Otherwise, the suit claims, the fees are excessive and violate what is known as the Fifth Amendment's clause regarding unlawful taking of property.

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The suit claims that the degradation fees are excessive and unlawful because they do not comport with the actual cost of maintaining and repairing the streets or other public rights of way following NFG's work. Under the city's ordinances, according to the suit, NFG is already required to repairthe street or other rights of way after finishing its projects.

The claim over the relation of fees to actual costs touches on a core element ofthe city's financial structure the element based on fees.

The city in 2021 expects to raise about 2.29% of its $98 million in general fund revenue or about $2.2 million from licenses and permits, according to the budget.That revenueincludesthe $662,750 in projected income from degradation fees and related fees.

According to the suit: The feesrelated to street excavation "are not reasonably related to the cost incurred by the City," and the fee structure thus "wrongly generates revenue for the City of Erie to use in any manner it deems fit."

Contact Ed Palattella at epalattella@timesnews.com. Follow him on Twitter @ETNpalattella.

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NFG sues city of Erie over $1.3M in fees, seeks to dismantle ordinance that authorizes them - GoErie.com