PRELIMINARY MEMORANDUM CONCERNING REFERRAL OF OFFICE OF INDEPENDENT COUNSEL David E. Kendall Charles F.C. Ruff Nicole K. Seligman Cheryl Mills Emmet T. Flood Lanny A. Breuer Max Stier OFFICE OF THE WHITE Glen Donath HOUSE COUNSEL Alicia L. Marti The White House WILLIAMS & CONNOLLY Washington, DC 20005 725 12th Street, N.W. Washington, DC 20005 September 11, 1998
EXECUTIVE SUMMARY
Summary of Key Points of the President's Case in Anticipation
of the Starr Report
. The President has acknowledged a serious mistake
- an inappropriate relationship with Monica Lewinsky.
He has taken responsibility for his actions, and he has
apologized to the country, to his friends, leaders of
his party, the cabinet and most importantly, his family.
. This private mistake does not amount to an
impeachable action. A relationship outside one's
marriage is wrong - and the President admits that. It
is not a high crime or misdemeanor. The Constitution
specifically states that Congress shall impeach only for
Òtreason, bribery or other high crimes and
misdemeanors." These words in the Constitution were
chosen with great care, and after extensive
deliberations.
. "High crimes and misdemeanors" had a fixed
meaning to the Framers of our Constitution - it
meant wrongs committed against our system of
government. The impeachment clause was designed to
protect our country against a President who was using
his official powers against the nation, against the
American people, against our society. It was never
designed to allow a political body to force a President
from office for a very personal mistake.
. Remember - this report is based entirely on
allegations obtained by a grand jury - reams and
reams of allegations and purported "evidence" that
would never be admitted in court, that has never been
seen by the President or his lawyers, and that was not
subject to cross-examination or any other traditional
safeguards to ensure its credibility.
. Grand juries are not designed to search for
truth. They do not and are not intended to ensure
credibility, reliability, or simple fairness. They only
exist to accuse. Yet this is the process that the
Independent Counsel has chosen to provide the "evidence"
to write his report.
. The law defines perjury very clearly. Perjury
requires proof that an individual knowingly made a false
statement while under oath. Answers to questions that
are literally true are not perjury. Even if an answer
doesn't directly answer the question asked, it is not
perjury if it is true - no accused has an obligation to
help his accuser. Answers to fundamentally ambiguous
questions also can never be perjury. And nobody can be
convicted of perjury based on only one other person's
testimony.
. The President did not commit perjury. Most of
the illegal leaks suggesting his testimony was
perjurious falsely describe his testimony. First
of all, the President never testified in the Jones
deposition that he was not alone with Ms. Lewinsky. The
President never testified that his relationship with Ms.
Lewinsky was the same as with any other intern. To the
contrary, he admitted exchanging gifts with her, knowing
about her job search, receiving cards and notes from
her, and knowing other details of her personal life that
made it plain he had a special relationship with her.
. The President has admitted he had an improper
sexual relationship with Ms. Lewinsky. In a civil
deposition, he gave narrow answers to ambiguous
questions. As a matter of law, those answers could not
give rise to a criminal charge of perjury. In the face
of the President's admission of his relationship, the
disclosure of lurid and salacious allegations can only
be intended to humiliate the President and force him
from office.
. There was no obstruction of justice. We believe
Betty Currie testified that Ms. Lewinsky asked
her to hold the gifts and that the President
never talked to her about the gifts. The President
admitted giving and receiving gifts from Ms. Lewinsky
when he was asked about it. The President never asked
Ms. Lewinsky to get rid of the gifts and he never asked
Ms. Currie to get them. We believe that Ms. Currie's
testimony supports the President's.
. The President never tried to get Ms. Lewinsky a
job after she left the White House in order to
influence her testimony in the Paula Jones case.
The President knew Ms. Lewinsky was unhappy in her
Pentagon job after she left the White House and did ask
the White House personnel office to treat her fairly in
her job search. He never instructed anyone to hire her,
or even indicated that he very much wanted it to happen.
Ms. Lewinsky was never offered a job at the White House
after she left - and it's pretty apparent that if the
President had ordered it, she would have been.
. The President did not facilitate Ms. Lewinsky's
interview with Bill Richardson, or her
discussions with Vernon Jordan. Betty Currie asked
John Podesta if he could help her with her New York job
search which led to an interview with Bill Richardson,
and Ms. Currie also put her in touch with her longtime
friend, Mr. Jordan. Mr. Jordan has made it clear that
this is the case, and, as a private individual, he is
free to offer job advice wherever he sees fit.
. There was no witness tampering. Betty Currie was
not supposed to be a witness in the Paula Jones
case. If she was not called or going to be called, it
was impossible for any conversations the President had
with her to be witness tampering. The President
testified that he did not in any way attempt to
influence her recollection.
. There is no "talking points" smoking gun.
Numerous illegal leaks painted the mysterious talking
points as the proof that the President or his staff
attempted to suborn the perjury of Monica Lewinsky or
Linda Tripp. The OIC's spokesman said that the "talking
points" were the "key" to Starr even being granted
authority to investigate the President's private life.
Yet in the end, Ms. Lewinsky has apparently admitted the
talking points were written by her alone [or with Ms.
Tripp's assistance], and the President was not asked one
single question about them in his grand jury appearance.
. Invocation of privileges was not an abuse of
power. The President's lawful assertion of privileges
in a court of law was only made on the advice of his
Counsel, and was in significant measure validated by the
courts. The legal claims were advanced sparingly and as
a last resort after all attempts at compromise by the
White House Counsel's office were rejected to protect
the core constitutional and institutional interests of
this and future presidencies.
. Neither the President nor the White House played
a role in the Secret Service's lawful efforts to
prevent agents from testifying to preserve its
protective function. The President never asked,
directed or participated in any decision regarding the
protective function privilege. Neither did any White
House official. The Treasury and Justice Departments
independently decided to respond to the historically
unprecedented subpoenas of Secret Service personnel and
to pursue the privilege to ensure the protection of this
and future presidents.
. The President did not abuse his power by
permitting White House staff to comment on the
investigation. The President has acknowledged
misleading his family, staff and the country about the
nature of his relationship with Ms. Lewinsky, and he has
apologized and asked for forgiveness. However, this
personal failing does not constitute a criminal abuse of
power. If allowing aides to repeat misleading
statements is a crime, then any number of public
officials are guilty of misusing their office for as
long as they fail to admit wrong doing in response to
any allegation about their activities.
. The actions of White House attorneys were
completely lawful. The White House Counsel attorneys
provided the President and White House officials with
informed, candid advice on issues raised during this
investigation that affected the President's official
duties. This was especially necessary given the fact
that impeachment proceedings against the President were
a possible result of the OIC's investigation from Day
One. In fact, throughout the investigation, the OIC
relied on the White House Counsel's office for
assistance in gathering information and arranging
interviews and grand jury appearances. The Counsel's
office's actions were well known to the OIC throughout
the investigation and no objection was ever voiced.
This means that the OIC report is left with nothing
but the details of a private sexual relationship, told
in graphic details with the intent to embarrass.
Given the flimsy and unsubstantiated basis for the
accusations, there is a complete lack of any credible
evidence to initiate an impeachment inquiry concerning the
President. And the principal purpose of this investigation,
and the OIC's report, is to embarrass the President and
titillate the public by producing a document that is little
more than an unreliable, one-sided account of sexual
behavior.
Where's Whitewater? The OIC's allegations reportedly
include no suggestion of wrongdoing by the President in any
of the areas which Mr. Starr spend four years investigating:
Whitewater, the FBI files and the White House travel office.
What began as an inquiry into a 24 year old land deal in
Arkansas has ended as an inquest into brief, improper
personal encounters between the President and Monica
Lewinsky. Despite the exhaustive nature of the OIC's
investigation into the Whitewater, FBI files and travel
office matters, and a constant stream of suggestions of
misconduct in the media over a period of years, to this day
the OIC has never exonerated the President or the First Lady
of wrongdoing.
PRELIMINARY MEMORANDUM CONCERNING
REFERRAL OF OFFICE OF INDEPENDENT COUNSEL
This document is intended to be a preliminary response
to the Referral submitted by the Office of Independent Counsel to
The Congress. Because we were denied the opportunity to review the
content, nature or specifics of the allegations made against the
President by the Office of Independent Counsel (OIC), we do not
pretend to offer a point-by-point refutation of those allegations,
or a comprehensive defense of the President.
We commend the House of Representatives for the
extraordinary steps it has taken to safeguard the secrecy of the
OIC's allegations. Unfortunately, its efforts were thwarted by
unnamed sources familiar with the details of the OIC's allegations
-- sources that could only come from the OIC itself -- who saw fit
to leak elements of the allegations to the news media.
Based on these illegal leaks, as well as our knowledge
of the President's testimony, we offer this document as a summary
outline of his side of the case. We will provide you with a
specific rebuttal as soon as we have had a chance to review the
materials that the OIC has already transmitted to you.
The simple reality of this situation is that the House
is being confronted with evidence of a man's efforts to keep an
inappropriate relationship private. A personal failure that the
President has acknowledged was wrong, for which he apologized, and
for which he accepts complete responsibility. A personal failure
for which the President has sought forgiveness from members of his
family, members of the Cabinet, Members of Congress, and the
American people. Such a personal failing does not, however,
constitute "treason, bribery and high crimes and misdemeanors"
that would justify the impeachment of the President of the United
States.
The President himself has described his conduct as
wrong. But no amount of gratuitous details about the President's
relationship with Ms. Lewinsky, no matter how salacious, can alter
the fact that:
1) The President did not commit perjury:
2) The President did not obstruct justice;
3) The President did not tamper with witnesses; and
4) The President did not abuse the power of his office.
Impeachment is a matter of incomparable gravity. Even
to discuss it is to discuss overturning the electoral will of the
people. For this reason, the Framers made clear, and scholars
have long agreed, that the power should be exercised only in the
event of such grave harms to the state as "serious assaults on the
integrity of the processes of government," or "such crimes as
would so stain a president as to make his continuance in office
dangerous to public order." Charles L. Black, Impeachment: A
Handbook 38-39 (1974). We do not believe the OIC can identify any
conduct remotely approaching this standard. Instead, from press
reports, if true, it appears that the OIC has dangerously
overreached to describe in the most dramatic of terms conduct that
not only is not criminal but is actually proper and lawful.
The President has confessed to indiscretions with Ms.
Lewinsky and accepted responsibility and blame. The allegations
concerning obstruction, intimidation, perjury and subornation of
perjury that we anticipate from the OIC are extravagant attempts
to transform a case involving inappropriate personal behavior into
one of public misconduct justifying reversal of the judgment of
the electorate of this country.
I. STANDARDS FOR IMPEACHMENT
The Constitution provides that the President shall be
removed from office only upon "Impeachment for, and Conviction of,
Treason, Bribery, or other high Crimes and Misdemeanors." U.S.
Const. Art. II, ¤ 4. Of course, there is no suggestion of treason
or bribery present here. Therefore, the question confronting the
House of Representatives is whether the President has committed a
"high Crime[] or Misdemeanor." The House has an obligation to
consider the evidence in view of that very high Constitutional
threshold. It should pursue the impeachment process only if there
is evidence implicating that high standard.
The House must approach the question with solemnity and
with care, for history teaches that an "impeachable offense" is no
ordinary kind of wrongdoing. The Framers included specific
provisions for impeachment in the Constitution itself because they
understood that the most severe political remedy was necessary to
remedy the most serious forms of public wrongdoing. Impeachment
is a basic constitutional safeguard, designed both to correct
harms to the system of government itself and to protect the people
from ongoing malfeasance. Nothing less than the gravest executive
wrongdoing can justify impeachment. The Constitution leaves
lesser wrongs to the political process and to public opinion.
Presidential impeachment is thus a matter of
incomparable gravity. As Professor Charles Black stated,
[t]he presidency is a prime symbol of our national unity.
The election of the president (with his alternate, the
vice-president) is the only political act that we perform
together as a nation; voting in the presidential election is
certainly the political choice most significant to the
American people, and the most closely attended to by them.
No matter, then, can be of higher political importance than
our considering whether, in any given instance, this act of
choice is to be undone, and the chosen president dismissed
from office in disgrace. Everyone must shrink from this most
drastic of measures.
Impeachment: A Handbook 1 (1974). Presidential impeachment is
thus an "awful step." Ibid. The Framers knew this. For that
reason they framed the constitutional procedure with precision and
specified grounds for impeachment with great care.
The Framers deliberately chose to make "high Crimes and
Misdemeanors" the standard of an impeachable offense. They were
familiar with English common law and parliamentary history and
they borrowed the expression directly from the English law of
impeachment. They did so knowing that the expression was a term
of art and they made the choice after deliberate rejection of
alternative formulations of the impeachment standard.
The Framers intended the standard to be a high one.
They rejected a proposal that the President be impeachable for
"maladministration," for, as James Madison pointed out, such a
standard would "be equivalent to a tenure during the pleasure of
the Senate."{1} The Framers plainly did not intend to permit
Congress to debilitate the executive by authorizing impeachment
for something short of the most serious harm to the state. In
George Mason's apt phrase, impeachment was thought necessary to
remedy "[a]ttempts to subvert the Constitution."
In English practice, the term "high crimes and
misdemeanors" had been applied to various offenses, the common
elements of which were their severity and the fact that the
wrongdoing was directed against the state.{2} The English cases
included misappropriation of public funds, interfering in
elections, accepting bribes, neglect of duty, and various forms of
corruption. Ibid. These offenses all affected the discharge of
public duties by public officials. In short, under the English
practice, "the critical element of injury in an impeachable
offense was injury to the state."{3}
That is why, at the time of the ratification debates,
Alexander Hamilton described impeachment as a "method of NATIONAL
INQUEST into the conduct of public men." The Federalist No. 65 at
331 (Gary Wills ed. 1982). This "inquest" is perhaps the gravest
process known to our Constitution. No act touches more
fundamental questions of constitutional government than does the
process of Presidential impeachment. No act more directly affects
the public interest. No act presents the potential for greater
injustice -- injustice both to the Chief Executive and to the
people who elected him.
For these reasons, the impeachment process must be
painstaking and deliberate. It must focus only on such harms as
the Framers intended to be redressed by the incomparably severe
act of impeachment. And most importantly, it must be understood
for what it is -- a process of inquiry. That process is itself
the exercise of a public trust "of delicacy and magnitude."{4}
Accordingly, if the process is begun it is only just that the
members engaged in this solemn task withhold judgment until the
process is complete and all the facts are known. Our
Constitution's most basic values and the requirements of simple
justice together demand no less.
The President is sole head of one branch of our
government - - indeed, in a certain sense the President is the
Executive Branch. The Constitution provides that "[t]he executive
Power shall be vested in a President of the United States of
America." U.S. Const. art. II, ¤ 1. The President is the only
government official to have been popularly elected by all the
American people. When the people elect a President, the popular
will is expressed in its most important, most visible and most
unmistakable form.{5} The impeachment process, by definition,
threatens to undo the popular will. Impeachment presents the
prospect of reversing the electoral mandate that brought the
executive to office. Conviction upon articles of impeachment
actually does so.
For these reasons, impeachment is limited to only
certain forms of potential wrongdoing and it is intended to
redress only certain kinds of harms. Again, in Hamilton's words:
the subjects of [the Senate's impeachment] jurisdiction are
those offenses which proceed from the misconduct of public
men, or in other words from the abuse of violation of some
public trust. They are of a nature which may with peculiar
propriety be denominated POLITICAL, as they relate chiefly to
injuries done to the society itself.
Federalist 65 at 330-31.
The Framers and early commentators on the Constitution
are in accord on the question of impeachment's intended
consequence. In Justice James Wilson's words, impeachments are
"proceedings of a political nature . . . confined to political
characters" charging only "political crimes and misdemeanors" and
culminating only in "political punishments." J. Wilson, Works 426
(R. McCloskey, ed. 1967) And as Justice Story put the matter,
"the [impeachment] power partakes of a political character, as it
respects injuries to the society in its political character."
Joseph Story, Commentaries on the Constitution ¤ 744 (1st Ed.
1833).{6} That understanding of the Framers and early commentators
reflected the historical understanding of impeachable offenses in
England. "'High crimes and misdemeanors' were a category of
political crimes against the state." Berger, Impeachment, at 61
(emphasis in original). Therefore, the Framers "intended that a
president be removable from office for the commission of great
offenses against the Constitution."{7}
Impeachment
therefore addresses public wrongdoing, whether denominated a
"political crime[] against the state,"{8} or "an act of malfeasance
or abuse of office,"{9} or a "great offense[s] against the federal
government."{10} In short, impeachment is a necessary
Constitutional check by a coordinate branch of government upon
serious and aggravated abuses of executive power that, given the
President's four-year term, might otherwise go unchecked.
Holders of public office are therefore not to be
impeached for private conduct, however wrongful. To the contrary,
only "serious assaults on the integrity of the processes of
government,"{11} and "such crimes as would so stain a president as to
make his continuance in office dangerous to public order"{12} should
constitute impeachable offenses. Conduct which is not an
"offense[] against the government,"{13} or "malfeasance or abuse of
office,"{14} and which bears no "functional relationship"{15} to public
office, does not constitute grounds for impeachment. Allegations
concerning private conduct- - private sexual conduct in
particular--simply do not implicate high crimes or misdemeanors.
Private misconduct, or even public misconduct short of
an offense against the state, is not redressable by impeachment
because that solemn process, in Justice Story's words, addresses
"offences[] which are committed by public men in violation of
their public trust and duties." Story, Commentaries ¤ 744
(emphasis added). Impeachment is a political act in the sense
that its aims are public; it attempts to rein in abuses of the
public trust committed by public officeholders in connection with
conduct in public office. As one scholar has put it, "[t]he
nature of [impeachment] proceedings is dictated by the harms
sought to be redressed - "the misconduct of public men" relating
to the conduct of their public office - and the ultimate issue to
be resolved - whether they have forfeited through that conduct
their right to continued public trust."{16}
Impeachment's public character is further evidenced by
the fact that, as Justice Story expressed it, the process is
conducted "by the representatives of the nation, in their public
capacity," and "in the face of the nation." Story, Commentaries ¤
686. Constitutionally, impeachment's public function demands
public accountability. Elected officials are no more qualified
than ordinary voters to assess the private wrongs of public
officeholders. The Constitution's impeachment mechanism does not
exist to punish such wrongs.
The public character of impeachable wrongs is also
reflected in the fact that the remedy imposed for commission of
impeachable acts is a wholly public one. Impeachment results in
removal from office and possible disqualification from further
office. U.S. Const. art.I, ¤ 3, cl. 7.
To say that impeachment is fundamentally a "political"
process, however, is not to say that it is "partisan" in nature.
Indeed, the Framers warned against the spirit of partisanship in
impeachment proceedings. In Federalist 65, Hamilton wrote that
the impeachment process threatened to "agitate the passions of the
whole community . . .to divide it into parties . . . [to] connect
itself with pre-existing factions [and] to enlist their
animosities, partialities, influence and interest." Id. at 331.
Justice Story warned of the danger that "the decision [to impeach]
will be regulated more by the comparative strength of the parties,
than by the strength of the proofs." Commentaries ¤ 744. Only
substantial evidence of presidential wrongdoing that threatened
the processes of government or the public order can justify this
grave and ideally bipartisan process.
What is ultimately intended by impeachment's truly
"political" nature is the manner of limitation the Constitution
allows one elected (political) branch to place on the other
elected (political) branch, the Presidency. Impeachment is
necessarily a public act conducted by public bodies (the Houses of
Congress exercising their constitutionally allotted portion of
impeachment power) against a public officeholder (here, the
President). Exercise of that limiting function is justified only
when the people's representatives conclude that the people
themselves must be protected from their own elected executive.
Impeachment must therefore be approached with the utmost
solemnity. The process must focus on public acts, performed in
the President's public capacity, and affecting the public
interest. Cognizant of the enormous harm that must follow the
bare suggestion of formal impeachment processes, the House should
pursue an impeachment inquiry if and only if there is credible
evidence of actions constituting fundamental injuries to the
governmental process. Indeed, the Committee should consider and
approve articles of impeachment only for such acts as have, in its
judgment, so seriously threatened the integrity of governmental
processes as to have made the President's continuation in office a
threat to the public order.
Impropriety falling short of that high standard does not
meet the constitutional measure. It must be left to the court of
public opinion and the judgment of history.
II. THE RELEVANT FACTUAL BACKGROUND
The Monica Lewinsky investigation is the most recent
phase of an amorphous, languorous, expensive, and seemingly
interminable investigation into the affairs of a small Arkansas
real estate firm, Whitewater Development Company, Inc. In
January, 1994, Attorney General Reno made an administrative
appointment (the Ethics in Government Act of 1978 having expired)
of Robert B. Fiske, Jr., to investigate the relationship of the
President and Mrs. Clinton to Whitewater, Madison Guaranty Savings
& Loan Association, and Capital Management Services. After the
reenactment of the Ethics in Government Act, the Special Division
for the Purpose of Appointing Independent Counsels of the Court of
Appeals appointed Kenneth W. Starr, a former high official in two
Republican administrations, to replace Mr. Fiske on August 5,
1994, and gave him a generally similar grant of investigatory
jurisdiction.
During the past four and a half years, the President has
cooperated extensively with this investigation. He has given
testimony by deposition at the White House to the Independent
Counsel on four separate occasions, and on two other occasions, he
gave videotaped deposition testimony for Whitewater defendants and
was cross-examined by the Independent Counsel. He has submitted
written interrogatory answers, produced more than 90,000 pages of
documents and other items, and provided information informally in
a variety of ways. The OIC subpoenaed from the President, and
reviewed, virtually every personal financial record and
gubernatorial campaign finance record that exists for the period
from the mid-1980s to the present, in its endless search to find
something to use against the President. This comprehensive and
thorough financial review yielded the OIC nothing.
In May 1994, President Clinton was sued civilly by Ms.
Paula Jones, who made various claims arising out of an encounter
on May 8, 1991, when the President was Governor of Arkansas.
Various constitutional questions were litigated, and it was not
until the Supreme Court's decision on May 27, 1997{17} that the case
proceeded to discovery. The Independent Counsel had no
jurisdiction with respect to the Jones case, but there were
occasional press reports that the OIC was in fact investigating
the President's personal life.{18}
III. THE PRESIDENT'S TESTIMONY ABOUT MS. LEWINSKY
In his grand jury testimony on August 17, 1998, the
President acknowledged having had an improperly intimate
relationship with Ms. Lewinsky. This is enormously difficult for
any person to do even in private, much less in public.
It is important to recognize that the improper
relationship with Ms. Lewinsky ended in early 1997, at the
President's behest. It therefore had been over for almost a year
at the time of the President's deposition in the Jones case. From
feelings both of friendship and responsibility, the President
remained in touch with Ms. Lewinsky after the improper
relationship ended and tried to help her: none of this help was
improper or conditioned on her behaving (or testifying) in any
particular way.
It is not true that the President had an improper
18-month relationship with Ms. Lewinsky, as several media reports
have alleged. In his grand jury deposition, he testified that on
certain occasions in early 1996 and once in early 1997, he engaged
in improper conduct with Ms. Lewinsky. These encounters did not
consist of sexual intercourse, and they did not consist of "sexual
relations" as he understood that term to be defined at his Jones
deposition on January 17, 1998 (explained infra), but they did
involve inappropriate intimate contact. These inappropriate
encounters ended, at the President's insistence, in early 1997,
not because of the imminence of discovery, not because of the
Jones case (which the Supreme Court had not yet decided), but
because he knew they were wrong. On August 17, 1998, the
President expressed regret to the grand jury and, later, to the
country, that what began as a friendship came to include this
conduct, and he took full responsibility. He has frequently, to
different audiences, made similar expressions of regret and
apology.
In this investigation, no stone has been left
unturned--or (we believe) unthrown. In simple fairness,
therefore, it is important to distinguish between what the
President has acknowledged and what the OIC merely alleges (on the
basis of evidence we have not yet seen).
IV. THE NATURE OF THE OIC'S EVIDENCE
Use of a federal grand jury to compile evidence for
possible impeachment proceedings in Congress raises numerous
troubling questions regarding the credibility of that evidence.
Indeed, given the limited role of a grand jury in our system and
the total absence of procedural protections in the process, the
Independent Counsel's insistence that his investigation has been a
search for "truth" is deeply misleading. In fact, it has been a
one-sided effort to present the worst possible version of a
limited set of facts.
Section 595(c) requires the OIC to provide the House
with "substantial and credible information . . . that may
constitute grounds for impeachment." But a grand jury is a
totally unsuitable vehicle for generating information that can,
without more, be taken as credible beyond challenge. The grand
jury's historic role is not to determine the truth but rather to
act as an accusatory body. United States v. Williams, 504 U.S.
36, 51 (1992). The process excludes contrary views of the
information gathered and fails to identify the kinds of
exculpatory information that might have been elicited or presented
had a targeted individual, and not just the OIC, had an
opportunity to cross-examine and the ability to compel responses.
Because it is inherently so one-sided and untested by
cross-examination, it normally is not permissible to use grand
jury testimony as a basis for anything other than permitting a
grand jury to indict or decline to indict. It may constitute
nothing more than hearsay, Costello v. United States, 350 U.S.
359, 364 (1956), or even multiple hearsay- - evidence which would
likely be excluded from a trial. Indeed, the information a grand
jury gathers is not circumscribed by the Federal Rules of Evidence
at all, see Fed. R. Evid. 1101(d)(2), nor delimited by the other
safeguards of reliability which would be enforced at trial. The
testimony a grand jury elicits is not subject to impeachment by
interested parties, and such testimony may come from immunized
witnesses, from witnesses who fear prosecution, from witnesses
prepared by the prosecution, from witnesses with a history of
untruthfulness - -or from disinterested witnesses. On the record of
the grand jury there need be no distinction among these sources,
despite the fact that their reliability varies greatly.
In its day-to-day operations, no judge presides over
grand jury proceedings. United States v. Williams, 504 U.S. 36,
48 (1992). Grand jury witnesses do not have counsel present.
Fed. R. Crim P. 6(d). The Double Jeopardy Clause does not prevent
a grand jury from returning an indictment after a first grand jury
has declined to do so. Ex Parte United States, 287 U.S. 241,
250-51 (1932). The exclusionary rule does not apply to grand
jury proceedings. United States v. Calandra, 414 U.S. 338, 349
(1974). Grand jury witnesses have no right to respond with
information, however related, if it is not called for by the
prosecution, and targets and subjects of its inquiry have no
compulsory process to gather and present their side of the matter.
Nor does the target of a grand jury inquiry have any right to
offset potentially incriminating information with exculpatory
information in his possession. Williams, 504 U.S. at 55. In
short, the most basic techniques our adversary system of justice
employs for testing and assuring the reliability of evidence are
completely missing in the grand jury context.
As a consequence, "reliability" simply is not the
touchstone of a grand-jury inquiry. The Supreme Court itself has
said that "the mere fact that evidence is unreliable is not
sufficient to require a dismissal of [an] indictment." Bank of
Nova Scotia v. United States, 487 U.S. 250, 261 (1988). The same
is true of "inadequate or incompetent" evidence. Its presence
will not justify dismissal of an indictment. Calandra, 414 U.S.
at 345; see also Holt v. United States, 218 U.S. 245 (1910)
(same).
It must therefore be recognized that it is not the grand
jury's function to provide information about anything that can be
taken as true on its face. Its function is not to get at the
ultimate truth. The grand jury's inquisitorial powers serve but
one end: to empower a body of citizens to make a threshold
decision whether to initiate the search for truth that is the
purpose of adversarial proceedings or to decline to indict and
thereby forego that search altogether. Only after the grand jury
renders that threshold decision does the search for truth really
commence because only then are the adversary system's
credibility-assessing mechanisms available.
The grand jury secrecy rule, Rule 6(e), Fed. R. Crim.
P., is justified- - indeed, mandated- - by this reality. Grand jury
information is to be kept secret largely because it has been
generated without the protections of the adversarial system.
Unlike information presented in a trial setting, grand jury
information presents an enormous risk that persons' reputations
will be injured or destroyed on the basis of non-credible or
insubstantial assertions. That harm may damage both witnesses and
persons who are subjects of witness testimony. That is why, when
a grand jury elects to indict, grand jury materials are sealed and
withheld from the petit jury ultimately convened to find the truth
and render a verdict.
Accordingly a fair report from the OIC would, inter
alia, provide all exculpatory evidence, assess the credibility of
witnesses in terms of bias, reason to falsify, prior inconsistent
statements, etc., and draw reasonable inferences. A fair report
would identify shortcomings in the investigation itself, including
any excesses, mistakes, errors in judgment, or impermissible
tactics. A fair report would demonstrate that every possible
effort had been made to identify all possibly exculpatory
evidence, and that all such evidence had been given appropriate
weight. And a fair report would address honestly and answer
truthfully the following questions:
1) What were Linda Tripp's motives in seeking out
the OIC in January, 1998? Did she articulate a
fear of being prosecuted in Maryland under that
State's anti-taping laws? Why did she request
immunity from prosecution? Why was she given
immunity?
2) What role did the OIC play in arranging for
Ms. Tripp to meet with the Jones lawyers on Friday,
January 16, 1998, the evening before the
President's deposition? Did anyone from the OIC
drive Ms. Tripp to this meeting? Did the OIC warn
Ms. Tripp about the criminal law pertaining to
sharing with third parties the fruits of illegal
tapings or even communicating the fact that illegal
tapes exist? Has anyone at the OIC made any
assessment of what impact Ms. Tripp's conduct might
have on any federal immunity deal Ms. Tripp might
have obtained from the OIC?
3) What authority did the OIC have to wire Linda Tripp and attempt to develop
evidence before obtaining permission to
expand its jurisdiction from the Attorney
General or the Special Division? What
prevented the OIC from going directly to
the Attorney General upon receiving the
tapes from Ms. Tripp? If the primary
basis for the expansion of the OIC's
jurisdiction was evidence that was
obtained in an ultra vires manner by the
OIC, does that taint other information
obtained by the OIC?
4) What assessment has the OIC made of Ms.
Tripp's ideological motivations? Was the OIC aware
she had submitted an anti-Clinton book proposal to
avowed Clinton hater Lucianne Goldberg? Was the
OIC aware of Goldberg's role in Ms. Tripp's taping
and arrangement for Ms. Lewinsky's use of a
messenger service?
5) How many statements on the Tripp-Lewinsky
tapes are false or exaggerated? How many
statements contradict assertions in the OIC's
report?
6) When Ms. Tripp was asked to record Ms.
Lewinsky surreptitiously, was this because the OIC
was concerned about the legality of Ms. Tripp's
previous telephone tapes of Ms. Lewinsky?
7) What was Ms. Tripp's motivation in initiating the surreptitious recording
of her conversations with Ms. Lewinsky?
Did Tripp steer the taped conversations
with Ms. Lewinsky to obtain details about
Ms. Lewinsky's sexual activities? Was
the taping connected in any way to her
relationship with Lucianne Goldberg? If
Ms. Tripp began to tape Ms. Lewinsky with
an unlawful purpose, did she commit a
violation of the federal wiretapping
statute (Title III)? If the tapes were
obtained in violation of federal law, can
the tapes or evidence derived from them
be part of any official proceeding in
Congress (see 18 U.S.C. ¤ 2515)?
8) What, if anything, did the OIC offer the press
to keep secret its investigation into Ms. Lewinsky?
9) Why was the OIC in such haste to petition the
Attorney General for an expansion of jurisdiction?
Precisely what was the Attorney General told about
Ms. Tripp's telephone taping of Ms. Lewinsky? Did
the "talking points" play any role in the
application? What particular alleged crimes did
the OIC seek authorization to investigate?
10) Ms. Lewinsky's lawyers, William Ginsburg and
Nathaniel Speights, wrote in an essay in Time (Feb.
16, 1998) that the OIC informed them on Friday,
January 16, 1998, "We've got a deal, and we want to
wire her and record some phone calls;" these
lawyers also wrote in that essay that "[The OIC]
wanted her [Ms. Lewinsky] wired, and they wanted
her to record telephone calls with the President of
the U.S., Vernon Jordan and others--at their will."
What persons did the OIC intend Ms. Lewinsky to
record surreptitiously?
11) In a letter from the Independent Counsel to the President's personal
counsel, dated February 6, 1998, the
Independent Counsel wrote: "From the
beginning, I have made the prohibition of
leaks a principal priority of the Office.
It is a firing offense, as well as one
that leads to criminal prosecution."
However, Chief Judge Johnson has entered
a series of orders finding prima facie
reason to believe that persons in the OIC
violated Rule 6(e), Fed. R. Crim. P., by
illegal leaking (for example, "[t]he
Court finds that the serious and
repetitive nature of disclosures to the
media of Rule 6(e) material strongly
militates in favor of conducting a show
cause hearing" (June 19, 1998, Order, at
5)). Has anyone been fired or
disciplined by the OIC for illegal
leaking? What steps have been taken to
investigate and discipline OIC personnel
who have engaged in illegal leaking?
V. LIKELY OIC ALLEGATIONS OF OBSTRUCTION OF JUSTICE,
SUBORNATION OF PERJURY, AND INTIMIDATION OF WITNESSES
The OIC obtained jurisdiction on January 16, 1998
to investigate possible obstruction of justice,
subornation of perjury, and intimidation of
witnesses in the Jones case. These crimes are
quite specifically defined in the law, and the
elements do not always have an obvious meaning. We
consider first the definition and then the possible
conduct to which these definitions might be
applied.
The term "obstruction of justice" usually refers to
violations of 18 U.S.C. ¤ 1503, the "Omnibus
Obstruction Provision," which prohibits the
intimidation and retaliation against grand and
petit jurors and judicial officers and contains a
catch-all clause making it unlawful to "influence,
obstruct, or impede the due administration of
justice." It may also refer to 18 U.S.C. ¤ 1512,
which proscribes intimidating, threatening, or
corruptly persuading, through deceptive conduct, a
person in connection with an official proceeding.
For a conviction under ¤ 1503, the government must
prove that there was a pending judicial proceeding,
that the defendant knew of the proceeding, and that
the defendant acted "corruptly" with the specific
intent to obstruct or interfere with the proceeding
or due administration of justice. See, e.g.,
United States v. Bucey, 876 F.2d 1297, 1314 (7th
Cir. 1989); United States v. Smith, 729 F. Supp.
1380, 1383-84 (D.D.C. 1990). Thus, if a defendant
is unaware of a pending grand jury proceeding, he
cannot be said to have obstructed it in violation
of ¤ 1503. See, e.g., United States v. Brown, 688
F.2d 1391, 1400 (9th Cir. 1992). Perhaps more
significant is the "acting corruptly" element of
the offense. Some courts have defined this term as
acting with "evil and wicked purposes." See United
States v. Banks, 942 F.2d 1576, 1578 (11th Cir.
1991). Four federal courts of appeals have held
that to "act corruptly" under the statute, a
defendant must have acted with the specific intent
to obstruct justice. See United States v. Moon,
718 F.2d 1219, 1236 (2d Cir. 1983); United States
v. Bashaw, 982 F.2d 168, 170 (6th Cir. 1992);
United States v. Anderson, 798 F.2d 919, 928 (7th
Cir, 1986); United States v. Rasheed, 663 F.2d 843,
847 (9th Cir. 1981). That is, it is not enough to
prove that the defendant knew that a result of his
actions might be to impede the administration of
justice, if that was not his intent.
It is critical to note which actions cannot fall
under the ambit of ¤ 1503. First, false statements
or testimony alone cannot sustain a conviction
under ¤ 1503. See United States v. Thomas, 916,
F.2d 647, 652 (11th Cir. 1990); United States v.
Rankin, 870 F.2d 109, 111 (3d Cir. 1989). For
instance, in United States v. Wood, 6 F.3d 692, 697
(10th Cir. 1993), the United States Court of
Appeals for the Tenth Circuit found that a
defendant's false statements to the Federal Bureau
of Investigation during a grand jury investigation
did not violate ¤ 1503, because they did not have
the natural and probable effect of impeding the due
administration of justice. Moreover, ¤ 1503 does
not apply to a party's concealing or withholding
discoverable documents in civil litigation. See,
e.g., Richmark v. Timber Falling Consultants, 730
F. Supp. 1525, 1532 (D. Or. 1990) (because of the
remedies afforded by the Federal Rules of Civil
Procedure, ¤ 1503 does not cover party discovery in
civil cases, and "[t]he parties have not cited and
the court has not found any case in which a person
was charged with obstruction of justice for
concealing or withholding discovery in a civil
case").{19} Most cases that have found ¤ 1503
applicable to civil cases do not involve the
production or withholding of documents. See United
States v. London, 714 F.2d 1558 (11th Cir. 1983)
(attorney forged court order and attempted to
enforce it), cited in Richmark, 730 F. Supp. at
1532; Sneed v. United States, 298 F. 911 (5th Cir.
1924) (influencing juror in civil case); cited in
Richmark, 730 F. Supp at 1532. While ¤ 1503 can
apply to concealment of subpoenaed documents in a
grand jury investigation, the defendant must have
knowledge of the pending grand jury investigation,
must know that the particular documents are covered
by a subpoena, and must willfully conceal or
endeavor to conceal them from the grand jury with
the specific intent to interfere with its
investigation. See United States v. McComb, 744
F.2d 555 (7th Cir. 1984).
Section 1512 specifically applies to "witness
tampering." However, by its terms, it does not
purport to reach all forms of witness tampering,
but only tampering by specified means. In order to
obtain a conviction under ¤ 1512, the government
must prove that a defendant knowingly engaged in
intimidation, physical force, threats, misleading
conduct, or corrupt persuasion with intent to
influence, delay, or prevent testimony or cause any
person to withhold objects or documents from an
official proceeding. While there is no "pending
proceeding" requirement for convictions under ¤
1512, it is clear that a defendant must be aware of
the possibility of a proceeding and his efforts
must be aimed specifically at obstructing that
proceeding, whether pending or not; ¤ 1512 does not
apply to defendants' innocent remarks or other acts
unintended to affect a proceeding. See United
States v. Wilson, 565 F. Supp. 1416, 1431 (S.D.N.Y.
1983).
Moreover, it is important to define the terms
"corruptly persuade" and "misleading conduct," as
used in ¤ 1512. The statute itself explains that
"corruptly persuades" does not include "conduct
which would be misleading conduct but for a lack of
a state of mind." 18 U.S.C. ¤ 1515(a)(6). It is
also clear from the caselaw that "misleading
conduct" does not cover scenarios where the
defendant urged a witness to give false testimony
without resorting to coercive or deceptive conduct.
See, e.g., United States v. Kulczyk, 931 F.2d 542,
547 (9th Cir. 1991) (no attempt to mislead
witnesses knew defendant was asking them to lie);
United States v. King, 762 F.2d 232, 237 (2d Cir.
1985) (defendant who attempts to persuade witness
to lie but not to mislead trier of fact does not
violate ¤ 1512).
Subornation of perjury is addressed in 18 U.S.C. ¤
1622. The elements of subornation are that the
defendant must have persuaded another to perjure
himself, and the witness must have actually
committed perjury. See, e.g. United States v.
Hairston, 46 F.3d 361, 376 (4th Cir. 1959), rev'd
on other grounds, 361 U.S. 529 (1960). If actual
perjury does not occur, there is simply no
subornation. See id. at 376 (reversing conviction
for subornation because of conclusion that, in
applying Bronston, witness did not commit perjury
due to his literally truthful testimony).
Moreover, ¤ 1622 requires that the defendant know
that the testimony of witness will be perjurious --
i.e., knowing and willful procurement of false
testimony is a key element of subornation of
perjury. See Rosen v. NLRB, 735 F.2d 564, 575 n.19
(D.C. Cir. 1984) ("a necessary predicate of the
charge of subornation of perjury is the suborner's
belief that the testimony sought is in fact
false").
Based upon illegal OIC leaks and press reports, we
believe that the OIC's principal claims of
obstruction, intimidation and subornation -- the
three prongs of the January 1998 expansion of
jurisdiction -- appear to arise out of:
(1) "Talking Points"
The so-called "talking points"{20} have been widely
hailed as the linchpin of any charge of subornation
of perjury or obstruction of justice. Not only
were they touted as the "smoking gun" of the
investigation, they were instrumental in the OIC
efforts to secure an expansion of its
jurisdictional authority. Charles Bakaly, the OIC
spokesman, appearing on Meet the Press, emphasized
the critical nature of this document to the
expansion of the OIC jurisdiction:
Tim Russert: É How important is it that we find out who is
the author of those talking points?
Charles Bakaly: Well, in the grant of jurisdiction that the
special division of the D.C. Circuit Court of Appeals gave to
Judge Starr after the request of the Attorney General, that
was the key mandate to look into, those kinds of issues of
subornation of perjury and obstruction of justice.
NBC Meet the Press, July 5, 1998 (emphasis added).
The "talking points" were the basis of thinly
veiled smears, groundless speculation, and
allegations against President Clinton, White House
aides and others close to the President:
"And NBC News has learned more about another critical piece
of evidence. A memo first discovered by Newsweek that
Linda Tripp claims was given to her by Monica Lewinsky.
É Sources in Starr's office and close to Linda Tripp say
they believe the instructions came from the White House.
If true, that could help support a case of obstruction
of justice." NBC Nightly News, February 4, 1998.
"Prosecutors suspect the President and his longtime friend,
Vernon Jordan, tried to cover up allegations that Mr.
Clinton was involved sexually with former White House
intern Monica Lewinsky and other women - which is why
this document, obtained last night by NBC News, could be
a smoking gun. It's called 'Points to Make in
Affidavit.' Prosecutors say it might as well be called
'How to Commit Perjury in the Paula Jones Case.'" NBC
News at Sunrise, January 22, 1998.
"A three page summary telling Linda R. Tripp how to lie in
the Paula Jones sexual misconduct lawsuit remains a key
reason why independent counsel Kenneth Starr wants to
question top White House aides in the Monica Lewinsky
sex-and-lies grand jury investigation. Mr. Starr,
according to lawyers and other close to the grand jury
probe, wants to know what White House Deputy Counsel
Bruce R. Lindsey and senior aide Sidney Blumenthal know
about the source of the summary, or 'talking points,'
that were given to Mrs. Tripp by Miss Lewinsky, the
former White House intern. The summary, which
prosecutors are convinced was not written by Miss
Lewinsky, could corroborate accusations of a White House
attempt to obstruct justice and suborn perjury in the
Jones suit, sources said." Washington Times, May 18,
1998.
"Because of Lindsey's earlier discussions with Tripp about
the Willey incident, prosecutors appear to be trying to
learn whether he had any role in helping Lewinsky
prepare the three-page document. Lindsey, who has been
summoned to the grand jury twice, has denied any
connection to the talking points." Washington Post,
March 10, 1998.
"'If the author of the talking points is anywhere near the
president,' said Jonathan Turley, law professor at
George Washington University in Washington, 'this case
will take a dramatic turn against the White House.'"
USA Today, July 1, 1998.
"The document has emerged as possible evidence of obstruction
of justice as Starr investigates whether Clinton or his
associates made attempts to conceal the president's
encounters with women." USA Today, June 29, 1998.
"Based largely on two pieces of evidence - those talking
points and the secret tapes made by Ms. Tripp of her
conversations with Ms. Lewinsky - Mr. Starr is trying to
determine whether the President, Mr. Jordan, Ms.
Lewinsky or others set about to obstruct justice in the
Jones case by lying, concealing evidence and tampering
with witnesses. These are the central charges in the
case, and the participants' versions appear to diverge."
New York Times, March 7, 1998.
"Starr wants to find out if anyone in the White House was
involved in preparing the talking points." The Plain
Dealer, February 19, 1998.
"The evidence that strikes dread in the White House is a
three-page document called 'the talking points.' É The
author of the talking points will most likely be found,
is in real danger of going to jail and may not want to
go alone for long." William Safire, New York Times,
February 12, 1998.
"The memo is a critical piece of evidence to Whitewater
independent counsel Kenneth Starr because it could be
proof of an effort to induce Tripp to lie under oath.
Starr's investigators are exploring whether anyone close
to Clinton prepared or knew about the talking points."
USA Today, February 6, 1998.
And the "talking points" were regarded throughout
the investigation as the critical piece of evidence
in any charge of subornation of perjury or
obstruction of justice:
"It seems clear that Starr's focus is now on building a case
that Clinton or his agents tried to sway the testimony
of witnesses in the Jones case. A critical piece of
evidence is the 'talking points' memo that Lewinsky gave
her friend Linda Tripp, apparently advising Tripp on how
to fudge her testimony. The document is the only known
physical evidence of witness tampering, and its
authorship remains one of the great mysteries of the
Lewinsky matter." Chicago Tribune, April 3, 1998
(emphasis added).
"The talking points, which seemed intended to coach Ms. Tripp
in possible testimony about Mr. Clinton, are central to
Mr. Starr's effort to determine whether obstruction of
justice occurred." New York Times, July 27, 1998.
"Prosecutors regard the legalistic, three-page talking points
- intended to guide Tripp's testimony in the Jones
lawsuit - as a key piece of evidence in a possible case
of obstruction of justiceÉ. 'Anyone who wrote a document
like that is out of is mind,' one prosecutor said.
'Those talking points are the smoking gun.'" Pittsburgh
Post-Gazette, February 8, 1998 (emphasis added).
"Leakers from the Starr chamber have implied that the talking
points are instructions to lie. But lawyers routinely
give there clients talking points before a grand jury.
The Lewinsky case is about something else, spelled
S-E-X." Clarence Page, Sun-Sentinel, June 4, 1998
(emphasis added).
"But a three page document known as the 'talking points' may
prove to be the most important. . . 'The talking points
are the closest thing to a smoking gun in this case. .
.' legal scholar Paul Rothstein said Tuesday." USA
Today, July 1, 1998.
"The talking points memorandum and the Tripp-Lewinsky tapes
form the backbone of the independent counsel's inquiry
into whether anyone lied or obstructed justice over Ms.
Lewinsky's relationship with President Clinton." New
York Times, June 11, 1998.
"The talking points memo, whose authorship is unknown, is of
keen interest to Starr." Baltimore Sun, February 26,
1998.
"It is unclear who wrote the talking points and whether they
were given to Ms. Tripp on Jan. 14 to encourage her to
give false testimony in the Paula Corbin Jones sexual
misconduct lawsuit against the President. These are
questions of intense interest to the independent counsel
Kenneth W. Starr, said lawyers close to his
investigation. É The talking points could be an
important piece of physical evidence showing that there
were unlawful efforts to encourage false testimony in
the Jones case." New York Times, February 19, 1998.
"That suggests one particular piece of evidence will play a
huge role: the list of written talking points Lewinsky
gave her friend Linda Tripp on how to testify in the
Paula Jones sexual harassment case. Who wrote the
document is one of the key questions, whoever did could
be charged with obstruction of justice." Chicago
Tribune, February 15, 1998.
After all of the rumor and speculation regarding a
connection between the White House and the "talking
points," President Clinton was not asked one single
question relating to the talking points during his
August 17 deposition. Ms. Lewinsky is reported to
have testified that she wrote the document without
any assistance other than conversations she had
with Linda Tripp. In the venerable tradition of
Whitewater allegations, the "talking points" were
surfaced as important and damning evidence of
wrongdoing, but in the fullness of time and after
investigation, have apparently vanished entirely.
Only the stigma remains.
(2) Ms. Lewinsky's Transfer of Gifts to Betty Currie
The President frequently gives gifts to and
receives gifts from friends and supporters; he gave
Ms. Lewinsky the same kind of gifts he has shared
with others. He was not concerned about the Jones
lawyers' knowledge of the gifts. In the Jones
deposition, he acknowledged knowing Ms. Lewinsky,
acknowledged seeing her, acknowledged she had given
him gifts, and acknowledged he had given her gifts.
Moreover, in his grand jury testimony, he
acknowledged giving Ms. Lewinsky good-bye gifts on
December 28, 1997, shortly before she moved to New
York, a date which we believe to be after Ms.
Currie picked up the box of gifts from Ms.
Lewinsky. The gifts simply were not a concern to
him.
It is our understanding that Ms. Lewinsky may have
testified that she raised with the President a
concern about the Jones lawyers' request for gifts
from the President and that, shortly thereafter,
Ms. Currie appeared at her home stating that she
understood Ms. Lewinsky had something for her. Ms.
Lewinsky apparently testified that she then
provided to Ms. Currie for safekeeping a box
containing some of the gifts received from the
President.
For Ms. Lewinsky's account to be credible, Ms.
Currie must have been asked by the President to
contact Ms. Lewinsky for the box. However, her
account conflicts directly both with that of the
President and with what we believe to be Ms.
Currie's testimony. The President told Ms.
Lewinsky she would have to produce what she had in
response to a request. He did not ever suggest
that gifts from him should be disposed of, and he
did not ever ask or instruct Ms. Currie to pick up
the gifts from Ms. Lewinsky. We believe that Ms.
Currie's testimony corroborates this recollection.
Ms. Currie has apparently testified that Ms.
Lewinsky initiated the contact with her about the
box, asking Ms. Currie to come by her apartment
building, giving a sealed box to her, and asking
her to hold on to it. Ms. Currie has no knowledge
that the President ever even knew about the box
prior to public disclosures about it, and the
President testified that he did not learn about the
box until after the OIC investigation became
public.
(3) Job Assistance to Ms. Lewinsky
The President made certain efforts to try to assure
that Ms. Lewinsky had a fair shot at a job other
than her Pentagon position, where she was not
happy, and he generally was aware of other efforts
by his secretary Ms. Currie and his friend Mr.
Jordan. These actions were totally appropriate.
At no time did the President ask that Ms. Lewinsky
be accorded specially favorable or unfavorable
treatment because of his relationship with her or
for any other reason. These actions began well
before Ms. Lewinsky was ever named a witness in the
Jones litigation, and they were in no way intended
to influence Ms. Lewinsky to keep secret what was
at that time an already terminated relationship.
There is no evidence of any link whatsoever between
the President's actions and possible testimony by
Ms. Lewinsky in the Jones case.
In April 1996, Ms. Lewinsky was reassigned from the
White House to the Pentagon. Although the transfer
was viewed as a promotion, the President became
aware that Ms. Lewinsky was upset about it, did not
see it as a positive change, and feared that the
transfer would be appear to be a demotion or "black
mark" on her resume. To the extent that Ms.
Lewinsky was criticized for spending more time in
the West Wing than was required by her
responsibilities in the Office of Legislative
Affairs, the President felt responsible.
In the summer of 1997, the President spoke to
Marsha Scott, the deputy personnel director at the
White House, and inquired about the possibility of
a position being available for Ms. Lewinsky in the
White House. He never ordered Ms. Scott or anyone
else to provide her special treatment or directed
that she be given a job at the White House. He
simply wanted to assure that she had been treated
fairly and asked only that Ms. Scott look into the
possibility of a position at the White House for
Ms. Lewinsky if it was appropriate. Ms. Lewinsky
was never offered an opportunity to return to the
White House- - as a result of that conversation or
otherwise.
In the fall of 1997, Ms. Betty Currie spoke to Mr.
John Podesta about finding a job for Ms. Lewinsky
in New York, and Mr. Podesta ultimately spoke to
Ambassador Bill Richardson about the matter. The
Ambassador agreed to interview Ms. Lewinsky for a
position in his New York office. The President was
not involved in arranging the Richardson interview.
When Ms. Lewinsky indicated to Ms. Currie that she
preferred a job in the private sector, Ms. Currie
contacted Mr. Jordan, her long-time friend, to see
whether he would be willing to make inquiries
regarding a job opportunity for Ms. Lewinsky in the
private sector. Mr. Jordan referred her for
interviews at American Express and Revlon, and to
the advertising agency of Young & Rubicam. As Mr.
Jordan said in his January 22, 1998 statement on
the matter:
Throughout my professional career, I have been privileged to
assist people with their vocational aspirations. I have done
so for two reasons. first, I stand on the shoulders of many
individuals who have helped me. Second, I believe "to whom
much is given much is required" so I have tried to lend a
helping hand.
For many years now . . . I am consulted by individuals,
young and old, male and female, black and white, Hispanic and
Asian, rich and poor, cabinet members and secretaries, for
assistance. And I have met with some success, from
paralegals to mailroom clerks, to corporate directors, to
CEO's.
I was pleased to be helpful to Ms. Lewinsky whose drive,
ambition, and personality were impressive. She was referred
by Ms. Betty Currie, a secretary to the president.
Mr. Jordan is a private individual who is free to offer job
assistance to whomever he chooses.
Questions have been raised about a connection
between the timing of Ms. Lewinsky's affidavit
(which was executed January 7 and filed January 16)
and the timing of any job offer. There was no
connection. Francis Carter, Esq., Ms. Lewinsky's
attorney at the time she executed the affidavit,
apparently has stated that Ms. Lewinsky never asked
him to delay the filing of an affidavit until after
she had secured a job in New York and never
suggested when the affidavit should be filed. The
Washington Post, June 19, 1998. Indeed, Mr. Carter
has reported that he himself delayed the filing of
the affidavit while he attempted to persuade the
Jones attorneys to withdraw the subpoena to Ms.
Lewinsky. Ibid.
Indeed, it was totally appropriate for Mr. Jordan
to refer Ms. Lewinsky to Francis Carter to
represent her in the Jones litigation. Mr. Carter
is a highly respected lawyer who would owe his duty
to Ms. Lewinsky and represent her interests.
Assuring a witness has her own counsel in whom she
may confide is the surest and most appropriate way
to protect the integrity of the process. As Mr.
Jordan indicated in his January 22 statement, the
referral was "at her request" and Mr. Jordan simply
"took her to Mr. Carter's office, introduced them,
and returned to my office." Ms. Lewinsky paid Mr.
Carter herself. Mr. Carter has said that Mr.
Jordan brought Ms. Lewinsky to his office,
introduced them, and told him that she had been
subpoenaed in the Jones case and needed an
attorney. The Washington Post, June 19, 1998.
According to Mr. Carter, Mr. Jordan did not suggest
what should be done or how the matter should be
handled, but promptly left. Ibid. Mr. Carter has
stated, "I never received any kind of information
from [Ms. Lewinsky] at any time that contradicted
anything that's in that affidavit." Ibid.
Finally, in January of 1998, the President asked
Mr. Erskine Bowles whether the legislative affairs
office where Ms. Lewinsky once had worked would be
able to give Ms. Lewinsky a reference that would
not be negative. The President understood from Ms.
Lewinsky that she thought she could get a good
reference from The Department of Defense but hoped
for a White House reference that was at least
neutral. The President did not instruct anyone to
provide such a reference and did not follow up on
the inquiry. This innocuous query for an honest
reference cannot conceivably be a basis for any
charge of wrongdoing.
VI. "ABUSES OF POWER"
From the very beginning, the Lewinsky investigation
has been about potential impeachment -- a direct
attack by the OIC on the constitutional status of
the President. It is in that context that the
OIC's allegations of abuse of power must be judged.
Any charge the OIC might make that the President
has abused the powers of his office through the
assertion of privileges -- privileges that were
asserted at the initiation and recommendation of
the Counsel's Office, not by the President himself
-- is utterly baseless. Indeed, those charges are
more a reflection of the OIC's unfettered abuse of
his authority and his wholesale abandonment of any
prosecutorial judgment in his campaign to prevent
the President from consulting with his most senior
advisors in confidence. No prosecutor, not even
during Watergate, ever has contemplated the sort of
sweeping intrusion into the President's ability to
obtain advice that has been undertaken by the OIC.
At bottom, the Independent Counsel believes that,
merely because he demands confidential information,
the President may not defend himself against
impeachment without raising a charge that he is
thereby abusing his power.
Before moving to these issues, one other point is
worthy of note. It has been suggested in media
reports that one of the grounds for impeachment
advanced by the OIC is that the President abused
his power by denying to his staff, in the days
immediately following disclosure of the Lewinsky
investigation, that he had engaged in any improper
conduct when he knew that they might be called as
witnesses before the grand jury and knew that they
were making public statements in his defense. If
this allegation were not so serious, such a
suggestion would be ludicrous.
Implicit in the allegation is the notion that any
official, in any branch of the government, who
makes a statement about his own conduct, or indeed
any other matter, that is not absolutely true is
liable for misusing his office for so long as he
fails to admit wrongdoing, for the official's staff
will inevitable repeat his explanation in any
number of forums. It would follow, therefore,
according to what appears to be the OIC's
reasoning, that no official could mount a defense
to impeachment, or to ethics charges, or to a
criminal investigation while remaining in office,
for anything other than an admission of guilt will
be treated as an abuse of his official powers.
1. The President's Decision to Litigate Privilege Issues Cannot
Be Compared to the Abuses of Power Alleged during Watergate
The Independent Counsel apparently attempts to
evoke images of Watergate by charging that the
President has abused the powers of his office.
This allegation is simply meritless. In the
Federalist Papers, Alexander Hamilton described
abuse of power as the "corrupt use of the office
for personal gain or some other improper purpose."
Former President Nixon's use of the Central
Intelligence Agency (CIA) to thwart a major
criminal investigation by the Federal Bureau of
Investigation (FBI) of a crime in which he was
involved, to take but one example, fits squarely
within that definition. President Clinton's lawful
assertion of privileges in a court of law and the
Counsel's Office conduct of its official duties
plainly does not.
There is no comparison between the claimed abuses
of power by President Nixon and the public and
lawful assertion of privileges during the OIC
investigation. Indeed, comparing this White House
with President Nixon's diminishes the historical
significance of the unprecedented claims of abuse
of power by the Nixon administration and attempts
to criminalize the proper exercise of presidential
prerogatives. The specious nature of the OIC's
allegations reveal the OIC's true motive: to
create an offense where none exists.
In July 1974, the House Judiciary Committee lodged
serious and significant abuse of power charges
against President Nixon, alleging that President
Nixon, among other things:
Engaged in an elaborate cover-up scheme that included using
his secret intelligence operation to pay both for illegal
activities and subsequent blackmail money for the cover-up;
Paid hush money to his advisor;
Instructed administration officials on how to commit perjury;
Violated grand jury secrecy rules by obtaining 6(e) material
from the Justice Department and passing it on to presidential
advisors, who were targets of the investigation;
Attempted to subvert the IRS and CIA;
Authorized illegal intelligence gathering activities;
Directly interfered with the Justice Department's ITT
investigation; and,
Pressured the CIA to interfere with the FBI's investigation
of the Watergate break-in -- a conversation caught on tape.
In contrast, the OIC apparently has made such charges of
abuse against President Clinton, however erroneously, for
purportedly encouraging the Secret Service to assert privilege
claims over their testimony and invoking attorney-client and
executive privileges. President Clinton's privilege claims have
been open and lawful, and were reviewed and in significant measure
validated by the courts. Thus, the Nixon investigation and
precedent stand in sharp contrast to the OIC's investigation and
baseless charges in this matter.
2. The United States Secret Service's Decision to Pursue
A Protective Privilege Was the Proper Exercise of Its
Own Authority And In No Way an Abuse of Power By the
President
The assertion of a protective function privilege by the
Secret Service cannot possibly serve as a basis for the OIC's
allegations of abuse of power. As a factual matter, the President
never asked, directed, or participated in any decision regarding
the protective function privilege. Moreover, no one at the White
House asked, directed, participated or had any role in such
decisions. The Treasury and Justice Departments independently
decided to pursue a privilege for the Secret Service to ensure the
protection of this and future presidents.
Second, ignoring significant security concerns expressed
by the Secret Service, the Independent Counsel sought testimony
from agents about non-criminal events they may have witnessed as
well as non-criminal conversations they may have overheard in the
course of protecting the President. For the first time in the
history of the Independent Counsel statute, the Independent
Counsel sought to use the protective service as a source of
intelligence for admittedly non-criminal activities of a
protectee. In the wake of this unprecedented demand, it was and
continues to be the reasoned judgment of career professionals in
the Secret Service that the absence of a protective privilege
would severely impair agents' ability to fulfill their mission to
protect this and future Presidents (as well as other protectees).
The Secret Service's position was supported by former presidents
and by former agents assigned to protect presidents in both
Republican as well as Democratic administrations.
Thus, the Justice and Treasury Departments' assertion of
a protective privilege advanced valid concerns about the Secret
Service's ability to perform its function. The OIC's suggestion
that the assertion of this privilege constituted an abuse of power
not only insults the integrity of career law enforcement
officials, but that of congressional policy makers too. Indeed,
because of the Independent Counsel's unorthodox overreaching,
Senator Hatch vowed to seek legislation to enact the type of
limited privilege asserted by the Secret Service in response to
the Independent Counsel's sweeping actions. Congressional Press
Releases, Senator Orrin Hatch, July 17, 1998.
3. The President's Assertions of Executive and Attorney/Client
Privilege were Valid and Necessary
Any charge by the OIC that the President's assertion of
privileges constitutes an abuse of power is equally baseless. The
White House advanced claims of privilege only sparingly and as a
last resort to protect the core constitutional and institutional
interests of this and future presidencies. In pursuing his attack
on the institution of the Presidency, the OIC took the extreme
position that executive privilege was inapplicable and that the
governmental attorney-client privilege did not exist in the face
of grand jury subpoena. The OIC now seeks to penalize the
President for disagreeing with its interpretations of the law,
despite the fact that the courts (and the Department of Justice)
both also disagreed with the OIC.
A. The President Followed the Advice of White House Counsel
Regarding the Assertion of Official Privileges
A necessary component of the OIC's abuse of power
allegation is that the President initiated the White House's
claims of privilege -- both executive and attorney-client -- with
intent to impede the OIC's investigation. The record completely
refutes this premise.
The privilege issue initially arose when the OIC served
on Bruce Lindsey, Assistant to the President and Deputy Counsel, a
subpoena seeking his testimony before the grand jury. Declaration
of Charles F.C. Ruff ("Ruff Dec.") ¦ 31. Prior to Mr. Lindsey's
appearance, the White House Counsel met with the OIC to discuss
privilege issues and to ask the OIC to describe with particularity
possible areas of inquiry to determine whether they would
encompass privileged information. Id. ¦ 32. The OIC declined to
discuss this issue, and later stated that it intended to question
Mr. Lindsey on areas implicating a wide array of privileges
because it believed that executive and attorney-client privileges
were inapplicable to information relating to the Lewinsky
investigation. Id. ¦¦ 32-34. The White House offered, in good
faith, to provide the OIC with any factual testimony regarding the
Lewinsky investigation. Id. ¦¦ 45-50. The OIC rejected this
offer. Id. ¦ 51.
Instead, the OIC suddenly filed motions to compel the
testimony of Mr. Lindsey and other senior staff. Id. After
careful deliberations, the White House Counsel notified the
President of the privilege issue, explained the failed
accommodation effort, and recommended that he invoke privilege.
As he did in every instance, the President accepted the White
House Counsel's recommendation and authorized the Counsel to make
the claim of privilege. Id. ¦ 56. Thus, the President's decision
to claim privilege was never the result of his own initiative, but
of his Counsel's advice.
B. The President's Executive Privilege Assertions Were
Upheld by the Court
To put the OIC's apparent abuse of power charges in
context, it is important to recognize that the OIC took the
extraordinary position that executive privilege was inapplicable
in the face of a grand jury subpoena and that it therefore was
entitled to immediate and full disclosure of all strategic and
political communication among the President's most senior
advisors. This position was squarely at odds with the law of the
Supreme Court, and of course, the D.C. Circuit. Executive
privilege is constitutionally-based and covers communications
relating to the President's official duties and the effective
functioning of the executive branch. It ensures that the
President receives frank and candid advice and recommendations,
which ultimately fosters more informed and effective
decision-making.
Here, the President asserted executive privilege over
communications that relate to matters that affect the performance
of his official duties. In re Grand Jury Proceedings, 1998 U.S.
Dist. Lexis 7736, *7 (D.D.C. 1998); Ruff Dec. ¦¦ 16-30. Indeed,
some of these communications related to the President's decision
whether to invoke privilege over other communications. Id. ¦¦
26-28.
Rather than acknowledge the presumptively privileged
nature of the information, the OIC maintained that the privilege
was inapplicable and that it did not have to demonstrate any need
for the information. Chief Judge Johnson rejected the OIC's
position holding that the communications were presumptively
privileged. In re Grand Jury Proceedings, 1998 U.S. Dist. Lexis
at *3-10. The Court then required the OIC to make a showing that
its need for the information was sufficient to overcome the
privilege. Id. at * 13-21. Although the Court concluded that the
OIC had met its burden, the Court at no time even suggested that
the President's assertion of executive privilege was groundless,
improper, or made in bad faith. In those circumstances, it cannot
seriously be argued that assertion of the privilege was an abuse
of power.
C. The President's Assertion of the Attorney-Client
Privilege was Solidly Grounded in the Law of this
Circuit
For centuries, the law has recognized the
attorney-client privilege as absolute in protecting the
confidentiality of communications between lawyers and their
clients. The D.C. Circuit has also recognized that the
attorney-client privilege protects confidential communications
between government lawyers and officials. E.g. Mead Data Control,
Inc. v. Dep't of the Air Force, 566 F.2d 242 (D.C. Cir. 1977).
Courts recognize that a government official, like any other
citizen, must be able to provide information to and seek advice
from government lawyers without fear of public disclosure.
Ultimately, the privilege serves an important governmental
function by fostering well-advised and fully-informed
decision-making. The possibility that those communications may be
disclosed will forfeit the benefits the privilege was intended to
protect.
Despite the law in the D.C. Circuit recognizing the
attorney-client privilege in the governmental context, the
Independent Counsel pushed to breach the bonds of the governmental
attorney-client privilege. Unlike his predecessors, who have
respected the professional obligation of government attorneys to
provide confidential legal advice on official matters, the
Independent Counsel has insisted that government attorneys and
clients do not have the right to discuss legal issues in
confidence. In this context, the White House's assertion of the
attorney-client privilege was not only appropriate, but it was an
ethical and institutional obligation.
Prior to the D.C. Circuit litigation, the OIC was well
aware that the White House fundamentally disagreed with the OIC
regarding the applicability and scope of the governmental
attorney-client privilege. In the Eighth Circuit, the OIC had
attempted to obtain a White House lawyer's notes that reflected
confidential communications. In re Grand Jury Subpoena Duces
Tecum, 112 F.3d 910 (8th Cir. 1997). At the time of that
litigation, which the White House resisted and the OIC won, there
was no authority rejecting the existence of a governmental
attorney-client privilege.
Two years later, the OIC, in the Lewinsky investigation,
sought to compel the disclosure of confidential communications
between the President and his official lawyers in which legal
advice was either being sought by or provided to the President
regarding official matters. In view of the law of the D.C.
Circuit, which recognized an absolute governmental attorney-client
privilege, the White House Counsel recommended, and the President
asserted, the privilege.
A recent Supreme Court ruling that rejected the OIC's
sweeping attack on the attorney-client privilege provided
additional support for the President's position. In Swidler &
Berlin v. United States, ___U.S.___ (1998); 1998 U.S. Lexis 4214
(1998), the OIC argued that the personal attorney-client privilege
should automatically give way to the needs of a criminal
investigation. The Court rejected the OIC's position and stated
that "there is no case authority for the proposition that the
privilege applies differently in criminal and civil cases," id.
at *7, supporting the principle that the privilege remains
absolute in a grand jury context. Accordingly, the President's
position on the applicability of the privilege in this context had
a substantial basis in the decisions of both this Circuit and the
Supreme Court.
Undaunted, the OIC argued that, based upon the
non-binding Eighth Circuit opinion, the governmental
attorney-client privilege is inapplicable in a grand jury context.
112 F.3d 910 (8th Cir. 1997). From an institutional standpoint,
the OIC's position stripped the President of any ability to obtain
confidential advice from government lawyers about official matters
in the event that the OIC made a referral to Congress for possible
impeachment hearings. In an impeachment context, the President is
entitled to rely on Counsel's Office lawyers to provide critical
legal guidance. Without the ability to receive such confidential
advice, he is left without any legal guidance regarding the
conduct of his official duties.
The District Court rejected the OIC's position and held
that the President had a valid, though qualified, governmental
attorney-client privilege. In re Grand Jury Proceedings, 1998
U.S. Dist. Lexis at *21-52. Performing a need analysis similar to
executive privilege, the Court balanced the President's interests
against those of the grand jury and ultimately determined that the
grand jury was entitled to the information. Once again, the
District Court did not suggest that the privilege claim was
spurious or made in bad faith.
On appeal, a divided D.C. Circuit Court of Appeals ruled
that the President had an attorney-client privilege with White
House Counsel in some contexts, but not this one. In re: Bruce
R. Lindsey, 1998 U.S. App. Lexis 17066, *7-43 (D.C. Cir. 1998).
Judge David Tatel, whose dissenting opinion in the Court of
Appeals' decision in Swidler & Berlin was adopted by the Supreme
Court, dissented here as well. Consistent with his analysis in
Swidler & Berlin, Judge Tatel found that the Court's opinion did
not account for "the unique nature of the Presidency, its unique
need for confidential legal advice, or the possible consequences
of abrogating the attorney-client privilege for a President's
ability to obtain such advice." Id. at *54. Judge Tatel's
recognition of the validity of the absolute nature of the
privilege and the President's need to assert this and belies the
notion that the assertion was in any way an abuse of power.
The OIC's apparent argument that the assertions of
privilege were for purposes of delay lacks any evidentiary support
and, more significantly, overlooks the OIC's own dilatory conduct.
After Mr. Lindsey was subpoenaed and before he was scheduled to
testify, the Office of the President attempted to avoid litigating
these issues by reaching an accommodation that would provide the
OIC with access to the information to which it was entitled while
maintaining the legitimate confidentiality interests of the
President. Id. ¦¦ 31-32. The OIC rejected those efforts and
instead filed its motion to compel. Id. ¦51. The OIC has
continued to reject any attempt by the White House to compromise,
choosing instead to litigate these issues. The Office of the
President has sought to avoid any delay by agreeing to expedited
briefing schedules involving privilege litigation, and the courts,
appreciating the time-sensitivity of the issues, have ruled
swiftly on these matters.
In any event, any delay that might have been caused by
the White House had no substantive impact on the OIC's
investigation. Privilege claims have been advanced as to only a
narrow portion of the testimony of three witnesses. The OIC
originally filed motions to compel the testimony of two senior
staff members and one Counsel's Office lawyer. The litigation
only temporarily postponed the testimony of the two senior
staffers; in March, they both appeared before the grand and
testified fully. The privilege assertions ultimately involved the
testimony of only three Counsel's Office lawyers. Each of these
individuals has testified at length regarding any facts they may
have possessed about whether the President had a relationship with
Ms. Lewinsky. The questions as to which they asserted privilege
were narrow in scope and irrelevant to the matters being
investigated.
Finally, substantial delay in the investigation has been
self-inflicted. The OIC has wandered aimlessly down more alleys
and byways than any federal prosecutor would appropriately do.
The OIC has called current and former White House staffers before
the grand jury, and interviewed many others. The OIC has called
presidential advisers before the grand jury four, five and six
times; sometimes for only one- or two-hour sessions. Some
witnesses appeared to testify only to find themselves waiting for
hours and then being told to return on another day. The OIC has
also insisted on exploring such irrelevant subjects as White House
contacts with the press, and has required testimony from attorneys
whose primary function was to deal with the OIC. Such actions are
highly unusual, if not unprecedented.
4. White House Lawyers Played an Appropriate Role in the
Investigation
Finally, the open and lawful efforts of the White House
lawyers to assist White House staff obtain lawyers, to speak with
witnesses and their lawyers, and to provide advice on the
ramifications of the investigation also cannot be considered an
abuse of power.
As a threshold matter, when there is an official nexus
between the duties of the President and an ongoing investigation,
which certainly exists here, it is the duty of government
attorneys to represent their official client. The specter of
impeachment loomed from the day the Lewinsky story broke in the
press. Ruff Dec. ¦ 21. Members of the Congress asserted that the
investigation, which drew explosive media, public and
congressional attention, burdened the President's ability to
perform his constitutional and statutory duties. Accordingly, the
White House Counsel's Office lawyers, among others, were
responsible for providing the President and White House officials
with informed, candid advice on the issues raised by the
investigation that affected the President's official duties. Id.
¦¦ 16-30.
When it suited the OIC's interests, the OIC recognized
the appropriateness of, and relied on, the White House Counsel's
efforts. From the beginning of this investigation, the OIC sought
-- and received -- the cooperation of the White House lawyers in
setting up interviews and grand jury appearances of current and
former White House employees. The OIC, however, refused to allow
the White House lawyers to represent even the most junior,
uninvolved witnesses. Thus, all White House officials, from the
most senior to the most junior, were required to obtain private
counsel. White House lawyers also provided relevant documents to
witnesses' attorneys to ensure complete and accurate testimony,
provided privilege instructions and guidance, and followed-up
afterwards to discuss an individual's interview or grand jury
appearance and any outstanding issues. All of the Counsel's
Office activities were well-known to the OIC, and no objection was
ever voiced.
Lastly, it was not uncommon for the White House to be
faced with inaccurate and spurious stories that seemed to be
coming from the OIC or "sources close to the OIC" shortly after a
witness testified or was interviewed by the prosecution. Indeed,
Judge Johnson examined media reports, and concluded that they
contained grand jury material and that there was evidence that the
OIC as the source. In re Grand Jury Proceedings, Misc. No. 98-55
(D.D.C. June 19, 1998), Mem. Op. at 6. Accordingly, Judge Johnson
held that this evidence established a prima facie case that the
OIC had violated Rule 6(e) and ordered the OIC to appear to show
cause why it should not be held in contempt for Rule 6(e)
violations. These leaks created a deluge of press inquiries to
the White House; not surprisingly, White House Counsel lawyers
were required to gather information and advise senior staff
concerning the appropriate response to these inquiries.
VII. ALLEGATIONS OF PERJURY{21}
The OIC cannot make out even a colorable claim of
perjury. If answers are truthful or literally truthful but
misleading, there is no perjury as a matter of law, no matter how
misleading the testimony is or is intended to be. The law simply
does not require the witness to aid his interrogator. The
Referral seeks to punish the President for being unhelpful to
those trying to destroy him politically.
A. The Law of Perjury
Perjury requires proof that a defendant, while under
oath, knowingly made a false statement as to material facts.{22}
See, e.g., United States v. Dunnigan, 507 U.S. 87, 94 (1993). The
"knowingly" requirement is a high burden: the government must
prove the defendant had a subjective awareness of the falsity of
his statement at the time he provided it. See, e.g., United
States v. Dowdy, 479 F.2d 213, 230 (4th Cir. 1973); United States
v. Markiewicz, 978 F.2d 786, 811 (2d Cir. 1992). It is beyond
debate that false testimony provided as a result of confusion,
mistake, faulty memory, carelessness, misunderstanding, mistaken
conclusions, unjustified inferences testified to negligently, or
even recklessness does not satisfy the "knowingly" element. See,
e.g., Dunnigan, 507 U.S. at 94; United States v. Dean, 55 F.3d
640, 659 (D.C. Cir. 1995); see also Department of Justice Manual,
1997 Supplement, at 9-69.214.
Moreover, it is of course clear that a statement must be
false in order to constitute perjury. It is equally beyond debate
that the following types of answers are not capable of being false
and are therefore by definition non-perjurious: literally truthful
answers that imply facts that are not true, see, e.g., United
States v. Bronston, 409 U.S. 352, 358 (1973), truthful answers to
questions that are not asked, see, e.g., United States v. Corr,
543 F.2d 1042, 1049 (2d Cir. 1976), and failures to correct
misleading impressions. See, e.g., United States v. Earp, 812
F.2d 917, 919 (4th Cir. 1987). The Supreme Court has made
abundantly clear that it is not relevant for perjury purposes
whether the witness intends his answer to mislead, or indeed
intends a "pattern" of answers to mislead, if the answers are
truthful or literally truthful.
Thus, in explaining the law of perjury, the Supreme
Court and numerous lower federal courts have set forth three clear
standards. First, answers to questions under oath that are
literally true, but unresponsive to the questions asked, do not,
as a matter of law, fall under the scope of the federal perjury
statute. That is so even if the witness intends to mislead his
questioner by his answer and even if the answer is false by
"negative implication." The second clear rule is that answers to
questions that are fundamentally ambiguous cannot, as a matter of
law, be perjurious. Finally, a perjury conviction under 18 U.S.C.
¤ 1621 cannot rest solely on the testimony of a single witness,
and, at the very least as a matter of practice, no reasonable
prosecutor would bring any kind of perjury case based on the
testimony of one witness without independent corroboration -
especially if the witness is immunized, or has any question as to
credibility or truthfulness. As the Supreme Court has made clear,
a perjury case "ought not to rest entirely upon 'an oath against
an oath.'" United States v. Weiler, 323 U.S. 606, 608-09 (1945).
1. Bronston and "Literal Truth."
In United States v. Bronston, 409 U.S. 352 (1973), the
leading case on the law of perjury, the United States Supreme
Court addressed "whether a witness may be convicted of perjury for
an answer, under oath, that is literally true but not responsive
to the question asked and arguably misleading by negative
implication." Id. at 352. The Court directly answered the
question "no." It made absolutely clear that a literally truthful
answer cannot constitute perjury, no matter how much the witness
intended by his answer to mislead.
Bronston involved testimony taken under oath at a
bankruptcy hearing. At the hearing, the sole owner of a bankrupt
corporation was asked questions about the existence and location
of both his personal assets and the assets of his corporation.
The owner testified as follows:
Q: Do you have any bank accounts in Swiss banks, Mr.
Bronston?
A: No, sir.
Q: Have you ever?
A: The company had an account there for about six months in Zurich.
Q: Have you any nominees who have bank accounts in Swiss banks?
A: No, sir.
Q: Have you ever?
A: No, sir.
Id. at 354. The government later proved that Bronston did in fact
have a personal Swiss bank account that was terminated prior to
his testimony. The government prosecuted Bronston "on the theory
that in order to mislead his questioner, [Bronston] answered the
second question with literal truthfulness but unresponsively
addressed his answer to the company's assets and not to his
own - -thereby implying that he had no personal Swiss bank account
at the relevant time." Id. at 355.
The Supreme Court unanimously rejected this theory of
perjury. It assumed for purposes of its holding that the
questions referred to Bronston's personal bank accounts and not
his company's assets. Moreover, the Court stated, Bronston's
"answer to the crucial question was not responsive," and indeed
"an implication in the second answer to the second question [is]
that there was never a personal bank account." Id. at 358. The
Court went so far as to note that Bronston's answers "were not
guileless but were shrewdly calculated to evade." Id. at 361.
However, the Court emphatically held that implications alone do
not rise to the level of perjury, and that Bronston therefore
could not have committed perjury. "[W]e are not dealing with
casual conversation and the statute does not make it a criminal
act for a witness to willfully state any material matter that
implies any material matter that he does not believe to be true."
Id. at 357-58. The Court took pains to point out the irrelevance
of the witness's intent: "A jury should not be permitted to engage
in conjecture whether an unresponsive answer, true and complete on
its face, was intended to mislead or divert the examiner." Id. at
359.
The Supreme Court in Bronston provided several
rationales for its holding that literally true, non-responsive
answers are by definition non-perjurious, regardless of their
implications. First, the Court noted that the burden always rests
squarely on the interrogator to ask precise questions, and that a
witness is under no obligation to assist the interrogator in that
task. The Court "perceive[d] no reason why Congress would intend
the drastic sanction of a perjury prosecution to cure a
testimonial mishap that could readily have been reached with a
single additional question by counsel alert - as every counsel
ought to be- - to the incongruity of petitioner's unresponsive
answer." Id. at 359. Moreover, the Court noted that because of
the adversarial process, perjury is an extraordinary sanction that
is almost always unwarranted, since "a prosecution for perjury is
not the sole, or even the primary safeguard against errant
testimony." Id. at 360. The perjury statute cannot be invoked
"simply because a wily witness succeeds in derailing the
questioner - so long as the witness speaks the literal truth."
Id.
Bronston is just one of scores of cases across the
federal circuits that make clear that the definition of perjury
must be carefully limited because perjury prosecutions are
dangerous to the public interest since they "discourage witnesses
from appearing or testifying." Id. at 359.{23} For instance, in
United States v. Earp, 812 F.2d 917 (4th Cir. 1987), the
defendant, a member of the Ku Klux Klan, had stood guard during
the attempted burning of a cross on the lawn of an interracial
couple, and further evidence demonstrated that he had personally
engaged in other attempts to burn crosses. During questioning
before a grand jury, however, he denied ever having burned crosses
on anyone's lawn. He was convicted of perjury, but the United
States Court of Appeals for the Fourth Circuit reversed his
conviction, because "like the witness in Bronston, [the
defendant's] answers were literally true although his second
answer was unresponsive." Id. at 919. That is, the defendant had
not actually succeeded in his cross-burning attempts, so it was
literally true that he had never burned crosses on anyone's lawn.
The court noted that "while he no doubt knew full well that he had
on that occasion tried to burn a cross, he was not specifically
asked either about any attempted cross burnings." Id. Literally
every federal court of appeals in the nation concurs in this
reading of Bronston.{24}
2. Fundamentally Ambiguous Questions Cannot Produce Perjurious
Answers.
When a question or a line of questioning is
"fundamentally ambiguous," the answers to the questions posed are
insufficient as a matter of law to support a perjury conviction."
See, e.g., United States v. Finucan, 708 F.2d 838, 848 (1st Cir.
1983); United States v. Lighte, 782 F.2d 367, 375 (2d Cir. 1986);
United States v. Tonelli, 577 F.2d 194, 199 (3d Cir. 1978); United
States v. Bell, 623 F.2d 1132, 1337 (5th Cir. 1980); United States
v. Wall, 371 F.2d 398, 400 (6th Cir. 1967); United States v.
Williams, 552 F.2d 226, 229 (8th Cir. 1977). In other words, when
there is more than one way of understanding the meaning of a
question, and the witness has answered truthfully as to his
understanding, he cannot commit perjury. Many courts have
emphasized that "defendants may not be assumed into the
penitentiary" by "sustain[ing] a perjury charge based on [an]
ambiguous line of questioning." Tonelli, 577 F.2d at 199.
United States v. Lattimore, 127 F. Supp. 405 (D.D.C.
1955), is the key case dealing with ambiguous questions in the
perjury context. In Lattimore, a witness was questioned before
the Senate Internal Security Subcommittee about his ties to the
Communist party. He was asked whether he was a "follower of the
Communist line," and whether he had been a "promoter of Communist
interests." He answered "no" to both questions, and was
subsequently indicted for committing perjury. The United States
District Court for the District of Columbia found that the witness
could not be indicted on "charges so formless and obscure as those
before the Court." Id. at 413. The court held that "'follower of
the Communist line' is not a phrase with a meaning about which men
of ordinary intellect could agree, nor one which could be used
with mutual understanding by a questioner and answerer unless it
were defined at the time it were sought and offered as testimony."
Id. at 110. As the court explained further:
[The phrase] has no universally accepted definition.
The Government has defined it in one way and seeks to
impute its definition to the defendant. Defendant has
declined to adopt it, offering a definition of his own.
It would not necessitate great ingenuity to think up
definitions differing from those offered either by the
Government or defendant. By groundless surmise only
could the jury determine which definition defendant had
in mind.
Id. at 109.
Many other cases stand for the proposition that a
witness cannot commit perjury by answering an inherently ambiguous
question. For instance, in United States v. Wall, 371 F.2d 398
(6th Cir. 1967), a witness was asked whether she had "been on
trips with Mr. X," and she answered "no." The government could
prove that in fact the witness, who was from Oklahoma City, had
been in Florida with "Mr. X." However, the government could not
prove that the witness had traveled from Oklahoma City to Florida
with "Mr. X." The court noted (and the government conceded) that
the phrase "been on trips" could mean at least two different
things: "That a person accompanied somebody else travelling with,
or it can mean that they were there at a particular place with a
person." The court then stated that "[t]he trouble with this case
is that the question upon which the perjury charge was based was
inarticulately phrased, and, as admitted by the prosecution, was
susceptible of two different meanings. In our opinion, no charge
of perjury can be based upon an answer to such a question." Id.
at 399-400.
Similarly, in United States v. Tonelli, 577 F.2d 194 (3d
Cir. 1978), the defendant answered negatively a question whether
he had "handled any pension fund checks." The government then
proved that the defendant had actually handled the transmission of
pension fund checks by arranging for others to send, mail, or
deliver the checks. The government charged the defendant with
perjury. The court held that perjury could not result from the
government's ambiguous question. The court explained:
It is clear that the defendant interpreted the
prosecutor's questions about 'handling' to mean 'touching' .
. . To sustain a perjury charge based on the ambiguous line
of questioning here would require us to assume [defendant]
interpreted 'handle' to include more than 'touching.' The
record will not allow us to do so and as the Court of Appeals
for the Fifth Circuit has observed '[e]specially in perjury
cases defendants may not be assumed into the penitentiary.
United States v. Bell, 623 F.2d 1132, 1137 (5th Cir. 1980),
is yet another example of this doctrine. In Bell, a witness was
asked before a grand jury, "Whether personal or business do you
have records that are asked for in the subpoena," and the witness
answered, "No, sir, I do not." It was later established that the
witness's files clearly contained relevant records. Nonetheless,
the court held that the question was ambiguous, and therefore
incapable of yielding a perjurious answer. The witness
interpreted the question to ask whether he had brought the records
with him that day, and not whether he had any records anywhere
else in the world.{25}
3. A Perjury Case Must Not Be Based Solely Upon the
Testimony of a Single Witness.
The law is clear that in a perjury prosecution under 18
U.S.C. ¤ 1621, the falsity of a statement alleged to be perjurious
cannot be established by the testimony of just one witness. This
ancient common law rule, referred to as the "two-witness rule,"
has survived repeated challenges to its legitimacy, and has been
judicially recognized as the standard of proof for perjury
prosecutions brought under ¤ 1621. See, e.g., Weiler v. United
States, 323 U.S. 606, 608-610 (1945) (discussing the history and
policy rationales of the two-witness rule); United States v.
Chaplin, 25 F.3d 1373, 1377-78 (7th Cir. 1994) (two-witness rule
applies to perjury prosecutions). The Department of Justice
recognizes the applicability of the two-witness rule to perjury
prosecutions brought under ¤ 1621. See Department of Justice
Manual, 1997 Supplement, at 9-69.265.
The crux of the two-witness rule is that "the falsity of
a statement alleged to be perjurious must be established either by
the testimony of two independent witnesses, or by one witness and
independent corroborating evidence which is inconsistent with the
innocence of the accused." Department of Justice Manual, 1997
Supplement, at 9-69.265 (emphasis in original). The second
witness must give testimony independent of the first which, if
believed, would "prove that what the accused said under oath was
false." Id.; United States v. Maultasch, 596 F.2d 19, 25 (2d Cir.
1979). Alternatively, the independent corroborating evidence must
be inconsistent with the innocence of the accused and "of a
quality to assure that a guilty verdict is solidly founded."
Department of Justice Manual, 1997 Supplement, at 9-69.265; United
States v. Forrest, 639 F.2d 1224, 1226 (5th Cir. 1981). It is
therefore clear that a perjury conviction under ¤ 1621 cannot lie
where there is no independent second witness who corroborates the
first, or where there is no independent evidence that convincingly
contradicts the testimony of the accused.
While 18 U.S.C. ¤ 1623 does not incorporate the
"two-witness rule," it is nonetheless clear from the case law that
perjury prosecutions require a high degree of proof, and that
prosecutors should not, as a matter of reason and practicality,
even try to bring perjury prosecutions based solely on the
testimony of a single witness. In Weiler v. United States, 323
U.S. 606, 608-09 (1945), the United States Supreme Court observed
that "[t]he special rule which bars conviction for perjury solely
upon the evidence of a single witness is deeply rooted in past
centuries." The Court further observed that "equally honest
witnesses may well have differing recollections of the same
event," and hence "a conviction for perjury ought not to rest
entirely upon 'an oath against an oath.'" Id. at 609 (emphasis
added). Indeed, the common law courts in seventeenth-century
England required the testimony of two witnesses as a precondition
to a perjury conviction, when the testimony of a single witness
was in almost all other cases sufficient. See Chaplin, 25 F.3d at
1377, citing Wigmore on Evidence ¤ 2040(a), at 359-60 (Chadbourne
rev. 1978). The common law courts actually adopted the
two-witness rule from the Court of Star Chamber, which had
followed the practice of the ecclesiastical courts of requiring
two witnesses in perjury cases. Id. The English rationale for
the rule is as resonant today as it was in the seventeenth
century: "[I]n all other criminal cases the accused could not
testify, and thus one oath for the prosecution was in any case
something as against nothing; but on a charge of perjury the
accused's oath was always in effect evidence and thus, if but one
witness was offered, there would be merely . . . an oath against
an oath." Id. And, as noted above, no perjury case should rest
merely upon "an oath against an oath."
B. The Jones Deposition
Without knowledge of the OIC's specific allegations it
is impossible to address why any particular claim of perjury fails
although we are confident that no colorable claim of perjury can
be made out. However, illegal leaks and speculation make clear
that there are certain misperceptions about this testimony that
can immediately be laid to rest. For example,
Allegation: The President falsely testified in his Jones
deposition that he was never alone with Ms. Lewinsky.
Not so. The President acknowledged in his deposition that he met
with Ms. Lewinsky on up to five occasions while she worked at the
White House. (p. 50). He then referred back to that testimony
when asked if he ever was alone with her in the Oval Office (p.
52), and again when asked whether he was alone with her in any
room in the White House. (p. 59). The Jones lawyers did not
follow up and ask the President to describe the nature of any
physical contact that may have occurred on these occasions.
Allegation: The President falsely testified in his Jones
deposition that he never had any improper physical
contact of any kind with Ms. Lewinsky.
Not so. The President was asked whether he had "an extramarital
sexual affair" with Ms. Lewinsky (p. 78) and responded that he did
not. That term was undefined and ambiguous. The President
understood the term "sexual affair" to involve a relationship
involving sexual intercourse. He had no such relationship with
Ms. Lewinsky.
The President also was asked whether he had "sexual
relations" with Ms. Lewinsky, "as that term is defined in
Deposition Exhibit 1, as modified by the Court." (p. 59). The
Court explicitly directed the President's attention to Definition
Number 1 on Exhibit 1, which the President had circled.
The President denied he had "sexual relations" with Ms.
Lewinsky under this definition. Although the President's counsel,
Mr. Bennett, had invited the Jones lawyers to ask specific
questions about the President's conduct--"Why don't they ask the
President what he did, what he didn't do, and then we can argue in
Court later about what it means?" (p. 21)--the Jones lawyers
declined to do so, relying instead on the definition. The
President was not asked any specific questions at all about his
physical contact with Ms. Lewinsky, and in particular he was not
pointedly asked whether he had engaged in any of the conduct
outside the definition provided. The President's testimony in
response to these questions was accurate. He did not have sexual
intercourse with Ms. Lewinsky or otherwise engage in sexual
conduct covered by the definition, as provided by plaintiff and
narrowed by the Court.
The President also testified in the Jones deposition
that Ms. Lewinsky's affidavit, in which she stated she had never
had a "sexual relationship" with the President, was accurate (p.
204). He believed this testimony to be truthful. The term
"sexual relationship" was not defined in the affidavit or in the
deposition. The definition of the different term "sexual
relations" utilized by the Jones lawyers did not apply to that
question. The term "sexual relationship," like sexual affair, has
no definitive meaning. To the President, that term reasonably
requires sexual intercourse as a necessary component of the
relationship. Since his relationship with Ms. Lewinsky did not
involve intercourse, he truthfully answered that the affidavit was
accurate.
Allegation: The President falsely testified in his Jones
deposition that his relationship with Ms. Lewinsky was
the same as that with any other White House intern.
Not so. The President's answers left no doubt that he had a
special relationship with Ms. Lewinsky. He acknowledged knowing
how she had gotten her internship at the White House. He
acknowledged meeting with her and knowing where she worked after
leaving the White House. He acknowledged exchanging small gifts
with her. He acknowledged that he knew she was moving to New York
and that her mother had moved there. He acknowledged knowing
about her job search in New York, and that she had had an
interview with (then) U.N. Ambassador Bill Richardson. He
acknowledged that Mr. Jordan reported on his meeting with Ms.
Lewinsky about her New York job search. He acknowledged receiving
cards and notes from her through Ms. Betty Currie. The Jones
lawyers received affirmative responses to particular questions.
Had they opted to ask precise questions on other matters, they
would have received truthful responses. They did not do so.
VIII. THE LEWINSKY EXPANSION OF THE WHITEWATER INVESTIGATION
The expansion of the Independent Counsel's jurisdiction
to encompass the Jones case and Ms. Lewinsky did not occur by
accident or easily. The OIC deliberately and purposefully sought
this expansion on an emergency basis. Media accounts that the
Attorney General herself requested this expansion are highly
misleading.
On January 16, 1998, upon the OIC's request, the Special
Division of the Court of Appeals for the Purpose of Appointing
Independent Counsels expanded the OIC's jurisdiction to allow it
to investigate "whether Monica Lewinsky or others suborned
perjury, obstructed justice, intimidated witnesses, or otherwise
violated federal law . . . in dealing with witnesses, potential
witnesses, attorneys, or others concerning the civil case Jones v.
Clinton." Order, Div. No. 94-1 (Jan. 16, 1998) (Div. for Purpose
of Appointing Independent Counsel) (D.C. Cir.). The series of
events that led to this expansion of authority raise serious
questions as to the motivations and manipulations of the OIC in
securing this expanded jurisdiction.
Under the Independent Counsel statute, if the
"independent counsel discovers or receives information about
possible violations of criminal law by [covered persons], which
are not covered by the prosecutorial jurisdiction of the
independent counsel, the independent counsel may submit such
information to the Attorney General." 28 U.S.C. ¤ 593 (c)(2)(A).
The Attorney General is then to conduct a preliminary
investigation. 28 U.S.C. ¤ 592. The statute did not give the OIC
authority to conduct its own preliminary investigation in order to
gather or create evidence to present to the Attorney General to
support a request for an expansion of jurisdiction.
According to media reports, Ms. Linda Tripp contacted
the OIC on Monday, January 12, 1998. There was no particular
logic to this contact, and she could easily have taken her
concerns to state or federal authorities. In any event, the OIC
arranged for Ms. Tripp to wear an F.B.I. recording device and tape
surreptitiously a conversation that she had with Ms. Lewinsky the
next day, Tuesday, January 13, 1998 (Ms. Lewinsky had not yet
filed an affidavit in the Jones case). On Friday, January 16,
1998, at the OIC's request, Ms. Tripp lured Ms. Lewinsky to a
meeting, where she was apprehended by OIC agents, who confronted
her and attempted to pressure her into doing surreptitious taping
herself. She was informed that an immunity agreement was
contingent on her not contacting her lawyer.{26}
That same day, the Special Division agreed to expand the
OIC's authority, based upon the Independent Counsel's earlier
application to the Attorney General and on the tapes that the OIC
had already created: "In a taped conversation with a cooperating
witness, Ms. Lewinsky states that she intends to lie when deposed.
In the same conversation, she urges the cooperating witness to lie
in her own upcoming deposition. . . . Independent Counsel Starr
has requested that this matter be referred to him." (Text of
Attorney General's Petition to Special Division, The Associated
Press, January 29, 1998.)
The Independent Counsel later suggested that the
expansion of authority prior to the taping was unnecessary, as it
was already within his jurisdiction. However, the Lewinsky matter
had no connection whatsoever to the Whitewater activities, or any
other activities, then being investigated by the OIC. In
addition, the Attorney General specifically stated in her referral
to the Special Division that she was seeking an expansion of the
Independent Counsel's jurisdiction. Or, as former independent
counsel Michael Zeldin pointed out, "If he had jurisdiction to
investigate it when he wired her, why did he have to go to court
to get it afterward? In some ways, he is talking out of both
sides of his mouth. . . . It seems to me arguable that he
obtained evidence unlawfully . . . ." Chicago Tribune, January
25, 1998. And former independent counsel Lawrence Walsh declared,
"A prosecutor has no business getting into that case [Paula Jones]
unless there's something terrible happening. I question Starr's
judgment in going into it so hard." Chicago Tribune, January 25,
1998.
Furthermore, the sequence of events suggests that
Independent Counsel Starr deliberately delayed requesting the
expansion of jurisdiction. Neither Monica Lewinsky nor President
Clinton had made any statements under oath in the Jones case (at
least that had been filed with any court) when Linda Tripp
approached the OIC on January 12. The only evidence the OIC
possessed at that time were tapes illegally created by Tripp. The
OIC itself proceeded to tape the Tuesday, January 13 conversation
between Tripp and Lewinsky. Ms. Lewinsky's affidavit was not
filed in the Jones case until January 16, and the OIC had
petitioned the Attorney General the day before for an expansion of
authority based on the evidence (the Tripp tapes and the OIC's
tape) that he had acquired without any authority to do so.
Ms. Tripp remained through the day at the hotel where
Ms. Lewinsky was apprehended by the OIC on Friday, January 16,
1998.{27} During that day, Ms. Jones' lawyers repeatedly tried to
contact Ms. Tripp for a meeting, but she was unavailable. Ibid.
Late in the afternoon, when it became clear that Ms. Lewinsky
would not cooperate in the surreptitious taping of others, the
Jones lawyers received a call arranging a meeting with Ms. Tripp
for that night, so she could help them prepare for the President's
deposition next day. Ibid.{28} It seems probable that Ms. Tripp,
who was acting as the OIC's agent under an immunity agreement,
must have gotten approval for this briefing from the OIC. Ms.
Tripp met with the Jones lawyers at her home in Maryland that
night and briefed them on the illegal tapes she had made of Ms.
Lewinsky{29}, so they could use the contents of those tapes in their
questioning of the President.{30} Ms. Tripp is under investigation
in the state of Maryland because she secretly recorded Ms.
Lewinsky and then shared the existence and contents of those tapes
with the Jones lawyers. It is a crime in that state, punishable
by imprisonment up to five years and a fine of up to $10,000, for
a person to "wilfully" record a conversation without the consent
of both parties or to "wilfully" disclose the contents of such an
illegally recorded conversation. Md. Code Ann. ¤ 10-402 (1997).{31}
On January 17, armed with the information obtained from
Ms. Tripp, Ms. Jones' attorneys deposed President Clinton in great
detail regarding Ms. Lewinsky. At about this time, the OIC sought
to prevent press coverage of its attempt to have Ms. Lewinsky
cooperate in secret taping.{32}
This entire sequence of events--the OIC's delay in
requesting jurisdiction, the OIC's pressure on reporters to
withhold public disclosure of the matter,{33} the OIC's unwillingness
to permit Ms. Lewinsky to contact her lawyer, and the OIC's
dispatch of Ms. Tripp to brief the Jones lawyers about the fruits
of her illegal taping the day before they were to depose the
President--suggests an intention by the OIC to ensure that the
expansion of jurisdiction was kept a secret until the President
and Ms. Lewinsky had given testimony under oath and (if Ms.
Lewinsky could be so persuaded) she had been enlisted to do
surreptitious taping. In other words, rather than taking steps to
defer or avoid any possible interference with the Jones case, the
OIC did everything in its power--and some things outside its
authority--to set up a case against the President.
FOOTNOTES********************************
{1} 2 Max Farrand, The Records of the Federal Convention of
1787 550 (Rev. ed. 1966).
{2} See Raoul Berger, Impeachment: The Constitutional Problems,
67-73 (1973).
{3} Michael J. Gerhardt, The Constitutional Limits to
Impeachment and Its Alternatives, 68 Tex. L. Rev. 1, 82
(1989) (emphasis added).
{4} Joseph Story, Commentaries on the Constitution ¤ 745 (1st
Ed. 1833); Federalist 65 at 331.
{5} Of course that election takes place through the
mediating activity of the Electoral College. See U.S.Const.
art. II, ¤ 1, cl.2-3 and amend. XII.
{6} At the time of the Constitution's framing, "[c]ognizable
'high Crimes and Misdemeanors' in England, . . . generally
concerned perceived malfeasance - -which may or may not be
proscribed by common law or statute - -that damaged the state
or citizenry in their political rights." Julie O'Sullivan,
The Interaction Between Impeachment and the Independent
Counsel Statute, 86 Geo. L.J. 2193, 2210 (1998) (emphasis
added) (forthcoming).
{7} John R. Labovitz, Presidential Impeachment 94 (1978).
{8} Berger, Impeachment at 61.
{9} Ronald D. Rotunda, An Essay on the Constitutional
Parameters of Federal Impeachment, 76 Ky. L.J. 707, 724
(1987/1988).
{10} Gerhardt, 68 Tex. L. Rev. at 85.
{11} Charles L. Black, Impeachment: A Handbook 38-39 (1974).
{12} Id.
{13} Labovitz at 26.
{14} Rotunda at 726.
{15} Id.
{16} Julie O'Sullivan, The Interaction Between Impeachment
and the Independent Counsel Statute, 86 Geo. L.J. at 2220.
{17} Clinton v. Jones, ___ U.S. ___, 117 S.Ct. 1636 (1997).
{18} See, e.g., "Starr Probes Clinton Personal
Life--Whitewater Prosecutors Question Troopers About Women,"
The Washington Post (June 25, 1997), at A1.
{19} Cf. United States v. Lundwall, 1 F. Supp. 2d 249, 251-54
(S.D.N.Y. 1998) (noting that "[c]ases involving prosecutions
for document destruction during civil pre-trial discovery are
notably absent from the extensive body of reported ¤ 1503
case law," and that "there are a great many good reasons why
federal prosecutors should be reluctant to bring criminal
charges relating to conduct in ongoing civil litigation," but
concluding that systematic destruction of documents sought
during discovery should satisfy ¤ 1503).
{20} The term "talking points" refers to a document
apparently provided by Ms. Lewinsky to Ms. Tripp in January
1998 regarding possible testimony in the Jones case.
{21} "Perjury" was not even in the original grant of
jurisdiction to the OIC but reportedly is now the crux of the
OIC's case.
{22} There are two basic federal perjury statutes: 18 U.S.C. ¤
1621, and 18 U.S.C. ¤ 1623. Section 1621 applies to all
material statements or information provided under oath "to a
competent tribunal, officer, or person, in any case in which
a law of the United States authorizes an oath to be
administered." Section 1623, in contrast, applies only to
testimony given before a grand jury and other court proceedings.
Although there are differences between the two statutes, the four
basic elements of each are substantially the same.
{23} While Bronston involved a perjury conviction under the
general perjury statute, 18 U.S.C. ¤ 1621, lower federal
courts have uniformly relied on it in reviewing perjury
convictions under ¤ 1623(a), which makes it unlawful to make
any false material declaration "in any proceeding before or
ancillary to any court or grand jury of the United States."
See, e.g., United States v. Porter, 994 F.2d 470, 474 n. 7
(8th Cir.1993); United States v. Reveron Martinez, 836 F.2d
684, 689 (1st Cir.1988); United States v. Lighte, 782 F.2d
367, 372 (2d Cir.1986).
{24} See also United States v. Finucan, 708 F.2d 838, 847 (1st
Cir. 1983) (intent to mislead is insufficient to support
conviction for perjury); United States v. Lighte, 782 F.2d
367, 374 (2d Cir. 1986) (literally true answers by definition
non-perjurious even if answers were designed to mislead);
United States v. Tonelli, 577 F.2d 194, 198 (3d Cir. 1978)
(perjury statute is not to be invoked because a "wily witness
succeeds in derailing the questioner"). United States v.
Abroms, 947 F.2d 1241, 1245 (5th Cir. 1991) (unambiguous and
literally true answer is not perjury, even if there was
intent to mislead); United States v. Eddy, 737 F.2d 564, 569
(6th Cir. 1984) ("An 'intent to mislead' or 'perjury by
implication' is insufficient to support a
perjury conviction."); United States v. Williams, 536 F.2d 1202,
1205 (7th Cir. 1976) (literally true statement cannot form basis
of perjury conviction even if there was intent to mislead); United
States v. Robbins, 997 F.2d 390, 394 (8th Cir. 1993); United
States v. Boone, 951 F.2d 1526, 1536 (9th Cir. 1991) (literally
true statement is not actionable); United States v. Larranaga,
787 F.2d 489, 497 (10th Cir. 1986) (no perjury where answer
literally truthful and prosecutor's questioning imprecise); United
States v. Shotts, 145 F.3d 1289, 1297 (11th Cir. 1998) ("An answer
to a question may be non-responsive, or may be subject to
conflicting interpretations, or may even be false by implication.
Nevertheless, if the answer is literally true, it is not
perjury."); United States v. Dean, 55 F.3d 640, 662 (D.C. Cir.
1995) (perjury charge cannot be based upon evasive answers or even
misleading answers so long as such answers are literally true).
{25} Many other cases as well hold that ambiguous questions
cannot produce perjurious answers. See, e.g., Lighte, 782
F.2d at 376 (questions fundamentally ambiguous because of
imprecise use of "you," "that," and "again"); United States
v. Farmer, 137 F.3d 1265, 1270 (10th Cir. 1998) (question
"Have you talked to Mr. McMahon, the defendant about your
testimony here today?" ambiguous because phrase "here today"
could refer to "talked" or to "testimony;" conviction for
perjury could not result from the question); United States v.
Ryan, 828 F.2d 1010, 1015-17 (3d Cir. 1987) (loan application
question asking for "Previous Address (last 5 years)"
fundamentally ambiguous because unclear whether "address"
refers to residence or mailing address, and "previous" could
mean any previous address, the most recent previous address,
or all previous addresses; based on ambiguity, perjury cannot
result from answer to question); United States v. Markiewicz,
978 F.2d 786, 809 (2d Cir. 1992) (question "[D]id you receive
any money that had been in bingo hall" ambiguous, and
incapable of producing perjurious answer, when it did not
differentiate between witness's personal and business
capacities). See also U