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United States District Court For The District of Columbia
United States District Court For The District of Columbia
MICHAEL T. FLYNN,
Defendant.
TABLE OF CONTENTS
ARGUMENT.................................................................................................................................. 1
I. The Court Has Discretion Under Rule 48(a) to Deny the Government’s Motion
for Leave to Dismiss ........................................................................................................... 1
II. The Court Should Deny the Government’s Motion for Leave to Dismiss
Under Rule 48(a)............................................................................................................... 10
1. Materiality................................................................................................. 11
2. Falsity........................................................................................................ 16
3. Interests of Justice..................................................................................... 18
III. The Court Should Account for Flynn’s Perjury in Sentencing Him on the
False Statements Offense.................................................................................................. 21
CONCLUSION............................................................................................................................. 24
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TABLE OF AUTHORITIES
CASES
Dep’t of Homeland Sec. v. Regents of the Univ. of Cal., 140 S. Ct. 1891 (2020) ...........................9
In re Flynn, 961 F.3d 1215 (D.C. Cir. 2020), rev’d en banc, No. 20-5143, 2020 WL
5104220 (D.C. Cir. Aug. 31, 2020) (per curiam) ......................................................................4
In re Michael T. Flynn, No. 20-5143, 2020 WL 5104220 (D.C. Cir. Aug. 31, 2020)
(en banc) (per curiam)................................................................................................................2
Riley v. St. Luke’s Episcopal Hosp., 252 F.3d 749 (5th Cir. 2001) (en banc) .................................5
St. Regis Paper Co. v. United States, 368 U.S. 208 (1961) ............................................................9
United States ex rel. Schweizer v. Oce N.V., 677 F.3d 1228 (D.C. Cir. 2012) ............................4, 5
*United States v. Ammidown, 497 F.2d 615 (D.C. Cir. 1973)............................................... passim
United States v. Carrigan, 778 F.2d 1454 (10th Cir. 1985) ............................................................2
United States v. Derr, 726 F.2d 617 (10th Cir. 1984) .....................................................................8
*United States v. Fokker Servs. B.V., 818 F.3d 733 (D.C. Cir. 2016)................................... passim
United States v. Jacobo-Zavala, 241 F.3d 1009 (8th Cir. 2001) .....................................................2
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United States v. KPMG LLP, No. 05 Crim. 903, 2007 WL 541956 (S.D.N.Y. Feb. 15,
2007) ..........................................................................................................................................8
United States v. Salinas, 693 F.2d 348 (5th Cir. 1982) ...................................................................8
United States v. Strayer, 846 F.2d 1262 (10th Cir. 1988) ...............................................................2
United States v. Wallace, 848 F.2d 1464 (9th Cir. 1988) ................................................................2
United States v. Wecht, No. 06 Crim. 26, 2008 WL 65605 (W.D. Pa. Jan. 4, 2008) ......................8
18 U.S.C. § 3553............................................................................................................................21
31 U.S.C. § 3730..............................................................................................................................4
OTHER AUTHORITIES
Max Cohen, Trump Says He Would Welcome Michael Flynn Back to His Administration,
POLITICO (July 15, 2020, 11:08 AM), https://perma.cc/3QFP-ZXH7. ....................................20
Transcript of Oral Argument, In re Michael T. Flynn, No. 20-5143 (D.C. Cir. Aug. 11,
2020). .....................................................................................................................................8, 9
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Paul Le Blanc et al., White House Admits Trump Was Involved in Firing of Top US
Attorney After Trump Claimed He Wasn’t, CNN (June 22, 2020),
https://perma.cc/TPB5-ZXGQ. ................................................................................................24
Thomas Ward Frampton, Why Do Rule 48(a) Dismissals Require “Leave of Court,”
73 STAN. L. REV. ONLINE 28 (2020). .....................................................................................5, 9
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PRELIMINARY STATEMENT
understatement. In the United States, Presidents do not orchestrate pressure campaigns to get the
Justice Department to drop charges against defendants who have pleaded guilty—twice, before
two different judges—and whose guilt is obvious. And the Justice Department does not seek to
dismiss criminal charges on grounds riddled with legal and factual error, then argue that the
validity of those grounds cannot even be briefed to the Court that accepted the defendant’s guilty
plea. Nor does the Justice Department make a practice of attacking its own prior filings in a case,
as well as judicial opinions ruling in its favor, all while asserting that the normal rules should be
Yet that is exactly what has unfolded here. There is clear evidence that the Government’s
Motion to Dismiss the case against Defendant Michael T. Flynn rests on pure pretext. There is
clear evidence that this motion reflects a corrupt and politically motivated favor unworthy of our
justice system. In the face of all this, the Government makes little effort to refute (or even
address) the evidence exposing its abuses—and the arguments it does advance only further
undermine its position. Instead, the Government invokes a parade of false formalities that would
reduce this Court to a rubber stamp. The Government’s motion should therefore be denied.
ARGUMENT
The Government claims that there is no longer a live dispute between the parties because
“the United States and [Flynn] agree that the information should be dismissed.” ECF No. 227 at
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12. Flynn echoes this view. See ECF No. 228 at 2, 6–7. Yet neither the Government nor Flynn
has identified any case finding that the mere submission of an unopposed Rule 48(a) motion
divests a court of Article III jurisdiction. And as the D.C. Circuit has now held, both parties are
mistaken: “While the Government has filed a motion to dismiss and Petitioner (defendant below)
consents, there remains a case or controversy unless and until that motion is granted by the
District Court.” In re Michael T. Flynn, No. 20-5143, 2020 WL 5104220, at *1 n.2 (D.C. Cir.
Aug. 31, 2020) (en banc) (per curiam) (citing Rinaldi v. United States, 434 U.S. 22, 31–32
The Government appears uncertain whether this Court has discretion to deny an
unopposed Rule 48(a) motion. The clear gist of the Government’s brief is a categorical “no,” but
at times it veers closer to “maybe.” See, e.g., ECF No. 227 at 9 (stating that Rule 48 “ordinarily”
defendants is the “principal object” of the rule) (emphasis added). Regardless, to the extent the
Government would reduce this Court to a rubber stamp, its arguments must be rejected.
That is true, first and foremost, because the Government’s contentions conflict with the
text and history of Rule 48(a). See ECF No. 225 at 26–29. They also conflict with considered
decisions from many courts of appeals. See, e.g., United States v. Jacobo-Zavala, 241 F.3d 1009,
1012 (8th Cir. 2001); United States v. Goodson, 204 F.3d 508, 512 (4th Cir. 2000); United States
v. Smith, 55 F.3d 157, 160 (4th Cir. 1995); United States v. Wallace, 848 F.2d 1464, 1468 (9th
Cir. 1988); United States v. Strayer, 846 F.2d 1262, 1265 (10th Cir. 1988); United States v.
Carrigan, 778 F.2d 1454, 1463 (10th Cir. 1985); United States v. Hamm, 659 F.2d 624, 629–30
(5th Cir. 1981). Finally, they conflict with the D.C. Circuit’s influential opinion in United States
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v. Ammidown, which explained that Rule 48(a) still “gives the court a role” when “the defendant
concurs in the dismissal.” 497 F.2d 615, 620 (D.C. Cir. 1973).
The Government fails to refute these arguments. Instead, it mistakenly presents United
States v. Fokker Servs. B.V., 818 F.3d 733 (D.C. Cir. 2016), which addressed a motion to exclude
time under the Speedy Trial Act, as conclusively answering every question at stake here. Much
of the Government’s reading of Fokker’s dicta is unobjectionable. Like Ammidown and many
other cases, Fokker affirmed the primacy of the Executive with respect to charging and dismissal
decisions. See Fokker, 818 F.3d at 742–43. It made clear that Rule 48(a) motions cannot be
denied on the basis of mere disagreements with prosecutorial charging policies, accord United
States v. Scantlebury, 921 F.3d 241, 250 (D.C. Cir. 2019), and reiterated that the Executive
enjoys a strong presumption of regularity and good faith when seeking to dismiss charges, see
Fokker, 818 F.3d at 741. Fokker also joined many other courts in emphasizing the constitutional
separation of powers principles that structure the judicial role under Rule 48(a). See id. at 742–
43. I have no quarrel with any of those principles, and indeed I embrace them.
But the Government falls short in its apparent effort to wring from Fokker a categorical
rule that this Court has no authority to review the exercise of discretion that led to the instant
Motion to Dismiss. Fokker did not silently “eviscerate[]” Ammidown, which it cited with
approval. Contra ECF No. 227 at 14–15. Nor did it impliedly sideline text, history, and decades
of cases. Contra id. at 18–19. Neither its holding nor its reasoning created an atextual asymmetry
in Rule 48(a) by holding that courts may deny opposed motions—but may not deny unopposed
ones. Contra id. Fokker indeed described protecting defendants as the “principal object” of the
rule (not the “exclusive object”), but it also stated that “clear evidence” may overcome “the
presumption of regularity” that prosecutors enjoy in wielding their charging power. 818 F.3d at
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741–42. In these respects, Fokker cohered with precedent; it was not the sea change the
Government claims it was. See generally In re Flynn, 961 F.3d 1215, 1229–30 (D.C. Cir.)
(Wilkins, J., dissenting), rev’d en banc, No. 20-5143, 2020 WL 5104220 (D.C. Cir. Aug. 31,
This understanding of Fokker honors its treatment of Ammidown and stays true to text
and history. It also aligns Fokker with United States ex rel. Schweizer v. Oce N.V., 677 F.3d 1228
(D.C. Cir. 2012). In that False Claims Act (FCA) case, a qui tam relator objected to a proposed
settlement between the Government and the defendant, citing a provision of the FCA requiring
district courts to review proposed settlements for fairness, adequacy, and reasonableness. See
Schweizer, 677 F.3d at 1232 (citing 31 U.S.C. § 3730(c)(2)(B)). The defendant responded that
such review is forbidden by the separation of powers, arguing that courts cannot review the
Executive’s dismissal or settlement of claims under the Take Care Clause. See id. at 1235. But
the D.C. Circuit disagreed, relying on cases interpreting Rule 48(a): “Although decisions not to
prosecute may be immune from review, the same cannot be said of decisions to dispose of a
pending case . . . . [S]ome limitations on the Executive Branch’s dismissal authority may be valid
despite the separation of powers.” Id. (citing, inter alia, Rinaldi v. United States, 424 U.S. 22,
29–30 & n.15 (1977), and United States v. Cowan, 524 F.2d 504, 513 (5th Cir. 1975)).1 The D.C.
Circuit added that “judicial scrutiny of settlement agreements and similar devices is fairly
common,” even where the Executive is a litigant. Schweizer, 677 F.3d at 1236. The court led off
its list of examples with Rule 48(a), again citing Rinaldi and Cowan, and then referenced judicial
review of plea agreements, antitrust consent decrees, class action settlements, and settlements in
1
Schweizer’s reliance on Cowan is notable because Cowan—in the section cited and relied upon
by the D.C. Circuit—squarely holds that “the history of the Rule belies the notion that its only
scope and purpose is the protection of the defendant.” Cowan, 524 F.2d at 512.
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shareholder derivative suits. See id. In each of these contexts, even where the parties agree and
even where the Executive acts pursuant to its inherent power under Article II, courts may review
consented-to dispositions to uphold important public and institutional interests. See id.
As Schweizer confirmed, the separation of powers principles that support district court
discretion under Rule 48(a) are familiar to our legal system. Simply put, Rule 48(a) is “a power
to check power.” Cowan, 524 F.2d at 513. “[W]hen the Executive has made the decision to
initiate the criminal case, its large discretion is narrowed considerably and the power to dispose
of the case is shared in part with the Third Branch.” Riley v. St. Luke’s Episcopal Hosp., 252
F.3d 749, 756–57 (5th Cir. 2001) (en banc); see also ECF No. 225 at 29–31.
The Government offers two arguments in its bid to escape that conclusion. Neither of
them succeeds. First, it asserts that the Judiciary has no interest of its own to protect under Rule
48(a) because it “never exercises its coercive power.” ECF No. 227 at 19 (quoting Fokker, 818
F.3d at 746). Rule 48(a), however, was drafted with an express recognition that abusive
dismissals imperil core interests of the Judiciary. See generally Thomas Ward Frampton, Why
Do Rule 48(a) Dismissals Require “Leave of Court,” 73 STAN. L. REV. ONLINE 28 (2020). These
include interests in the reality and appearance of judicial integrity, as well as the fair
administration of justice. See ECF No. 225 at 27–31. They also include the Judiciary’s interest in
the proper exercise of its Article III power to enter—and, only where proper, to dissolve—guilty
pleas.
Second, the Government claims it would “violate Article II” to deny a Rule 48(a) motion
“on the grounds of ‘abuse,’ or even ‘gross abuse.’” ECF No. 227 at 16 (citing McCray v. United
States, 195 U.S. 27, 54, 56 (1904)). This argument is mistaken on the merits. See, e.g.,
Schweizer, 677 F.3d at 1235–36; Hamm, 659 F.2d at 628–30; Ammidown, 497 F.2d at 619–22. It
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also proves far too much. Even the Government admits that courts may deny leave under Rule
48(a) to “guard against the prospect that dismissal is part of a scheme of ‘prosecutorial
harassment’ of the defendant through repeated prosecutions.” ECF No. 198 at 10–11 (quoting
Fokker, 818 F.3d at 742) (internal quotation mark omitted). But denial in such cases does not
require a showing that the Government has actually violated a defendant’s constitutional rights.
Instead, it turns on a fact-intensive analysis of the Government’s motives for dismissal and
whether the Government has acted abusively. See ECF No. 225 at 35 & n.34 (collecting cases);
see also United States v. Pitts, 331 F.R.D. 199, 203 (D.D.C. 2019) (Sullivan, J.). There is no
principled reason why Article II of the Constitution would allow courts to engage in such
inquiries for opposed Rule 48(a) motions, while disallowing it for unopposed motions. The fact
that a defendant objects to the Executive’s decision does not make it any less an exercise of
Article II power, and there is no basis in text or history for asserting that courts are authorized
The Government’s final argument is a straw man. I do not argue that this Court’s
authority to withhold leave under Rule 48(a) is greater after a guilty plea. I agree with the
Government’s contention that “Rule 48(a) sets forth a unitary leave-of-court standard—not one
standard for proceedings before a plea and another standard for proceedings after a plea.” ECF
No. 227 at 21. Indeed, whereas the Government reads this “unitary” standard differently for
opposed and unopposed motions, I have explained that it is truly unitary across all motions.
Accordingly, courts possess discretion in adjudicating Rule 48(a) motions at every stage
of a criminal case. A Rule 48(a) motion may be denied the very day after charges are filed if the
motion resulted from a bribe of the prosecutor. And a Rule 48(a) motion may be granted just
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before the entry of judgment against a sentenced defendant, if the Government offers a credible
This understanding is consistent with a recognition that the separation of powers concerns
inherent in the exercise of the discretion vested by Rule 48(a) will vary depending on the
circumstances—including the stage of the case. When a Rule 48(a) motion is made at the first
appearance, and denial of leave will require a case to be prosecuted against the Justice
Department’s expressed position, a district court should consider the practical and constitutional
consequences of that decision while exercising its discretion.2 The critical point is that no such
concerns are present here. Because the Court has already accepted Flynn’s guilty plea and only
sentencing remains, the constitutional and practical concerns that would be present only in a pre-
plea setting are absent, and thus the Court need not account for them in exercising its discretion.
There are two grounds on which the Court may deny leave under Rule 48(a): (1) if there
is clear evidence that the statement of reasons supporting a motion to dismiss is merely
pretextual; and (2) if there is clear evidence of gross prosecutorial abuse in relation to the
motion. See ECF No. 225 at 32–38. The Government’s brief fails to demonstrate otherwise.
The Government first asserts the Court must accept at face value whatever reasons appear
in a Rule 48(a) motion and that it would cause “grave harm to the Executive Branch” if the Court
asked any follow-up questions. See ECF No. 227 at 17, 31. This argument is foreclosed by the
2
Of course, the judge may decide those concerns are not insurmountable. After all, there are
other settings in which the need to vindicate the independent interests of the Judiciary empowers
a judge to appoint a prosecutor despite the unwillingness of the Justice Department to be
involved. See Fed. R. Crim. P. 42(a)(2). On the other hand, the judge might conclude that case-
specific concerns weigh in favor of granting leave to dismiss, as judges frequently exercise
discretion in ways designed to avoid constitutional doubt or administrative burdens.
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same precedents that sink the Government’s broader claim of complete unaccountability.3 A
requirement that the Government provide “the real grounds upon which the application is based,”
United States v. Rosenberg, 108 F. Supp. 2d 191, 204–05 (S.D.N.Y. 2000)—and that “the
reasons advanced for the proposed dismissal [be] substantial,” Ammidown, 497 F.2d at 620—is
inconsistent with a rule that forbids any judicial inquiry into the Government’s stated reasons.
Every purpose served by the reason-giving requirement of Rule 48(a) would be gutted if the
Government were free to mislead the Court, or to proffer explanations that do not withstand even
cursory consideration, or to declare that the Court is powerless to even inquire about any of the
Government’s asserted rationales. See ECF No. 225 at 32–34. For that reason, the Third Circuit
has squarely held in the context of an unopposed motion that Rule 48(a) “allows inquiry into the
circumstances surrounding a dismissal.” In re Richards, 213 F.3d 773, 777 (3d Cir. 2000). In
Article II immunity, the Government advances radical arguments that would transform run-of-
the-mill courtroom interactions into separation of powers violations. See Transcript of Oral
Argument at 67:7–14, In re Flynn, No. 20-5143 (D.C. Cir. Aug. 11 2020) (Garland, J.) (“In the
day when I was an Assistant U.S. Attorney, accusations were thrown my way by the defense
counsel. This is part of the job of being a prosecutor. I don’t understand how merely being a
subject of accusations from the other side or even from the judge who often questioned what the
Government was doing, if each of those was a separation of powers case, we would have a large
3
See, e.g., In re Richards, 213 F.3d 773, 788 (3d Cir. 2000); United States v. Derr, 726 F.2d
617, 619 (10th Cir. 1984); United States v. Salinas, 693 F.2d 348, 352 (5th Cir. 1982); United
States v. James, 861 F. Supp. 151, 155 (D.D.C. 1994) (Richey, J.); United States v. Wecht, No.
06 Crim. 26, 2008 WL 65605, at *4 (W.D. Pa. Jan. 4, 2008); United States v. KPMG LLP, No.
05 Crim. 903, 2007 WL 541956, at *5 (S.D.N.Y. Feb. 15, 2007).
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While the Executive is entitled to protect its privileges and deliberations, it is not entitled
to offer pretextual reasons and demand that the Court mechanically accept them. “[T]he
Government should turn square corners in dealing with the people”—and with the Judiciary—
and can be held accountable when it fails to abide by reason-giving requirements essential to the
rule of law. See Dep’t of Homeland Sec. v. Regents of the Univ. of Cal., 140 S. Ct. 1891, 1909
(2020) (quoting St. Regis Paper Co. v. United States, 368 U.S. 208, 229 (1961) (Black, J.,
dissenting)).
As demonstrated by history, Rule 48(a)’s requirement that the Government explain itself
exists partly to smoke out the corrupt dismissal of criminal charges against the politically well-
connected precisely because they are well-connected. See ECF No. 225 at 27–29, 34–38. The
Government offers no refutation of this evidence, apart from citing cases saying that the
“principal object” of Rule 48(a) is to protect defendants. See ECF No. 227 at 12. But this begs
the question of what other objects Rule 48(a) might have—particularly in cases where there is no
risk of harassment. History and case law afford a clear answer to that question, while the
Government offers none. See Frampton, Rule 48(a) Dismissals; Ammidown, 497 F.2d at 620–21.
In passing, the Government suggests that Rule 48(a) might allow courts to deny
unopposed motions only where the prosecutor accepts a bribe, or takes vacation instead of
conducting a trial, and thus the request for leave of court does not reflect “the authoritative
position of the Executive Branch.” ECF No. 227 at 23. But see Transcript of Oral Argument at
90:5–18, In re Flynn, No. 20-5143 (Deputy Solicitor General Wall denying any “substantial role
for courts to perform . . . scrutiny and oversight” in a case where there is irrefutable evidence of
the Attorney General being bribed by the defendant to submit a Rule 48(a) motion). This
argument about “authoritative” positions has no basis in text, history, or precedent, and appears
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to have been specially invented by the Government for this proceeding. That alone justifies
setting it aside.4 But there is more: the Government’s proposed limitation is also inconsistent
with decisions explaining that “examples” of abuse justifying denial of leave include “personal
dislike of the victim” and “dissatisfaction with the jury impaneled.” Smith, 55 F.3d at 159.
Neither these examples nor any other judicial account of discretion to deny leave under Rule
48(a) is bounded by the Government’s newly minted theory. Rule 48(a) is therefore properly
read as guarding against corrupt, politically motivated dismissals—the very concern that
II. THE COURT SHOULD DENY THE GOVERNMENT’S MOTION FOR LEAVE
TO DISMISS UNDER RULE 48(a)
Under a correct interpretation of Rule 48(a), the Government’s request for leave of court
should be denied. I have already demonstrated that the Government’s stated reasons for seeking
dismissal are pretextual. The Government does not even respond to most of my points. Instead, it
ignores the heart of my argument, makes several key concessions, and adheres to a few notable
errors. It also pivots away from its earlier reasons, proposing a new ground for dismissal—“the
interests of justice”—that it addresses in just one short paragraph that fails to actually explain
anything. See ECF No. 227 at 25–26. All this irregularity is still more evidence of pretext—
which itself is a basis to deny the motion—and also reinforces my second argument for denying
4
The Government implies these examples, and the “authoritative” position theory, have some
basis in a Seventh Circuit decision. But Judge Posner’s opinion discussed bribed and vacationing
prosecutors only to suggest that in such cases the Government would presumably intercede and
continue with the prosecution. See In re United States, 345 F.3d 450, 454 (7th Cir. 2003).
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If the Government’s reasons for moving to dismiss the case against Flynn were legitimate
and not pretextual, “we would expect at least one of the two purportedly principal justifications
for the [motion] to withstand closer scrutiny.” Foster v. Chatman, 136 S. Ct. 1737, 1752 (2016)
my filing confirms that neither of the reasons it offered for dismissal was credible. And its
attempt to advance a brand-new rationale for dismissal in a reply brief only further underscores
the pretextual nature of the original motion and demonstrates that its reasons crumble upon
scrutiny.
1. Materiality
The primary rationale set forth in the Government’s motion was a claim that it does not
believe it can prove Flynn’s lies were material to the FBI’s investigation. See ECF No. 198 at 2,
13–18. In response, I identified a host of extraordinary legal and factual errors in the
Government’s position, as well as arbitrary departures from its prior positions in this case and its
positions in many other cases. As to each point, the Government has either offered no response at
all or responded with the same errors and irrelevancies evident in its original motion. I will
identify four particularly striking examples of the Government’s failure to defend its own claims.
First, and most fundamentally, I have explained that the Government’s motion misstated
the legal standard governing materiality. See ECF No. 225 at 40–41. This was no minor error: it
went to the core of an element that the Government now supposedly doubts it can prove.
Contrary to the Government’s motion, which inverts the position it routinely takes elsewhere
(and previously took here), the materiality standard is an objective one. The correct standard asks
only whether the kind of statements Flynn made were “capable of affecting” the “general
function” that the FBI was carrying out when it interviewed him. United States v. Verrusio, 762
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F.3d 1, 21 (D.C. Cir. 2014). And on the facts of this case, the materiality analysis could not be
more straightforward. Flynn lied about the nature and extent of his communications with a senior
official of a hostile foreign power that had been sanctioned for interfering with the U.S.
presidential election. He lied to FBI agents carrying out the FBI’s general function of
investigating potential threats to national security. Lies about such communications could
adversely affect the ability of the FBI to perform this function. Those lies were obviously
material.
response here. It does not claim I have misapprehended or misapplied the law. It never explains
why one legal rule—the one set forth in its motion—applies to Flynn, while a different legal rule
applies to everyone else. It never explains why its own lawyers erred so grievously in stating the
law. It never explains why Flynn’s statements, in this setting, were not even capable of affecting
the FBI’s general function. The Government’s silence on these crucial points is, by itself,
Second, I have explained that the evidence demonstrating materiality here is so strong
that the Government could satisfy an even tougher standard than the law requires—specifically,
by demonstrating that Flynn’s statements had an actual effect on a specific FBI investigation.
See ECF No. 225 at 41–42, 48–49. The Court need not take my word alone for this point. It can
take the Government’s own word, as set forth in briefs submitted (unlike the Rule 48(a) motion)
by the prosecutors who actually investigated this case, explaining that Flynn’s lies in fact
affected the FBI’s investigation into contacts between the Trump campaign and the Russian
government (a.k.a. “Crossfire Hurricane”). See ECF No. 132 at 10–11 (stating that Flynn’s “false
statements to the FBI . . . were absolutely material”). The Court has already reached that same
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conclusion in an opinion upholding the Government’s original position. See ECF No. 144 at 49–
53.5
In yet another irregular move, the Government disavowed all this in a single footnote, see
ECF No. 198 at 18 n.6, the incoherence of which I have described in detail, see ECF No. 225 at
47–49. As I explained, Flynn’s lies distorted the Crossfire Hurricane investigation by preventing
the FBI from pursuing leads that would have been exposed to scrutiny if he had answered
truthfully (and that were in fact later opened to scrutiny, once Flynn decided to cooperate). See
id. at 48–49, n.42. These leads included questions like the following: Whom else did Flynn
consult about the requests he made of Kislyak? What did they say to Flynn about his contacts
with Russian officials? And why did Flynn lie to Vice President-Elect Mike Pence and other
Here, too, the Government has no real answer. Rather than show that Flynn’s statements
were not material to the FBI’s overall national security investigation, it asks only whether
Flynn’s lies were material to the FBI’s discrete investigation of bad acts by Flynn himself. See
ECF No. 227 at 26–27. But as the Government is aware, this artificially distorts the materiality
analysis, especially if Flynn’s falsehoods were capable of affecting (and did in fact affect) the
5
In its bipartisan report assessing Russia’s interference with the 2016 presidential election, the
U.S. Senate Intelligence Committee similarly concluded that the “series of communications
between Flynn and Kislyak” on sanctions was relevant to assessing “what Moscow sought to
gain and the counterintelligence vulnerabilities associated with the Transition.” REPORT OF THE
SELECT COMMITTEE ON INTELLIGENCE UNITED STATES SENATE ON RUSSIAN ACTIVE MEASURES
CAMPAIGNS AND INTERFERENCE IN THE 2016 U.S. ELECTION, VOLUME 5: COUNTERINTELLIGENCE
THREATS AND VULNERABILITIES, S. Doc. No. 116-XX, at 702 (1st Session 2020).
6
The Government used to recognize this. See ECF No. 132 at 11 (“It was imperative that the FBI
determine whether and why such communications with the Russian Ambassador had occurred.
The defendant’s false statements inhibited the FBI’s ability to obtain that critical information,
raised questions about why the defendant would lie to the FBI about such communications, and
fundamentally influenced the FBI’s investigative activity going forward.”).
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FBI’s broader investigation. It is hard to imagine another case in which the Government has
employed such specious reasoning to cast doubt on its own case. Its efforts to marginalize its
own prior views and, just as importantly, the Court’s prior holding on materiality are similarly
remarkable. While it is true that a jury will ultimately decide materiality—and in that respect the
Court’s opinion is not dispositive—the jurors will do so within the legal framework established
by this Court, which establishes the law of the case. Yet the Government assiduously ignores that
framework, and doubles down by ignoring this Court’s conclusions as to materiality. These
Third, even accepting the Government’s mistaken view of the law and the facts, I have
shown that the supposed difficulties cited by the Government are either irrelevant, nonexistent,
or both. See ECF No. 225 at 42–50. That is especially true regarding (1) the legally meaningless
bureaucratic formalities that the Government advances as all-important in this case (but not in
any other), see id. at 42–44, and (2) the Government’s claim that Flynn’s lies were not material
because he did not commit any other provable crime before uttering them to the FBI (a claim the
Government could not believe is legally relevant and that courts have rejected), see id. at 44–45.
As to the first point, the Government now abandons any discussion of the supposedly
original motion. See ECF No. 198 at 16; see also id. at 2–5, 13–18. Instead, the Government
protocol, and other supposed “procedural irregularities,” ECF No. 227 at 2, 26–27, none of
which is either particularly irregular or has any legal significance in proving materiality, see ECF
No. 225 at 42–44. The Government seeks to conceal its retreat by kicking up administrative dust,
but the bottom line is that it no longer stands by its own motion’s implausible reasoning.
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Turning to the second point, the Government implies—inconsistently with the law, logic,
and its own positions elsewhere—that Flynn’s false statements could be material only if he was
“an agent of Russia” at the time he made them. See ECF No. 227 at 26. But even here, the
Government remains unwilling to say—and surely does not believe—that guilt of some other
crime is a prerequisite for false statements liability, particularly in the counterintelligence arena,
where the goal is often to rule out or neutralize possible national security threats. See ECF No.
225 at 44–45; see also United States v. Dale, 782 F. Supp. 615, 625–26 (D.D.C. 1991). And so
the Government’s arguments on this point are window dressing, lacking any legal significance
and serving only to confirm that its supposed concern about materiality is pretextual.
The Government retreats on other points as well. For example, it acknowledges (as it
must, in the face of its own positions) that the agents’ knowledge of what was said on the call
does not absolve Flynn of liability. ECF No. 227 at 29. It then characterizes this fact as bearing
indirectly on “the jury’s assessment of the significance a reasonable decisionmaker would attach
to the information.” Id. Of course, as explained above, a jury would not hesitate to conclude that
“reasonable decisionmaker[s]” who knew what Flynn said on the call would still be affected by
his lie, as the FBI was here: those decisionmakers would have many questions about why Flynn
decided to lie to others in the White House (and, for that matter, to the FBI) about his contacts
with a senior official of a hostile foreign government that had just been sanctioned for interfering
Finally, the Government trots out a new explanation for its materiality rationale. The
Government previously claimed to believe that the available evidence, taken at face value,
showed Flynn’s statements to be immaterial. But it now says it has a different concern: that the
witnesses it would rely upon to introduce the evidence might lack credibility with a jury. ECF
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No. 227 at 27–28. As this Court well knows, shifting explanations are classic red flags of pretext.
See, e.g., Foster, 136 S. Ct. at 1751; Geleta v. Gray, 645 F.3d 408, 413 (D.C. Cir. 2011).
In any event, this claim makes no sense. The Government asserts without explanation
that it “would need to prove its case” by calling as witnesses individuals from the FBI whose
credibility could be impeached. ECF No. 227 at 27. But two of these “witnesses” were not
present for Flynn’s false statements, so it is entirely unclear why their testimony would be
required or even permitted (under evidentiary rules) in the Government’s case-in-chief. And
more generally the Government’s professed credibility concerns are not plausible. They center
on professed evidence of political bias by an interviewing agent that both the Government and
Flynn have known about from the start of the case, see ECF No. 122 at 8–9; ECF No. 144 at 25–
34 (this Court discussing, at length, the history of the referenced text messages and why they do
not cast doubt on Flynn’s guilty plea), and two pages after assailing the agents’ credibility, the
Government does a back-flip to proclaim the very same agents “highly experienced
investigators” whose assessment of the interview should be credited, see ECF No. 227 at 30. As I
In sum, the Government has offered no response at all to most of my explanation of the
many errors, irrelevancies, and arbitrary departures in its Rule 48(a) motion—and it offers
wholly deficient responses to the remainder. This is powerful confirmation that its professed
concerns about materiality are insubstantial, manufactured, and deficient under Rule 48(a).
2. Falsity
The same is true of the Government’s supposed concerns about proving falsity. In my
brief, I pointed out that Flynn has repeatedly confessed (including under oath and penalty of
perjury) that he knew full well he was lying to the FBI. ECF No. 225 at 18–21, 51. Moreover, he
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has made such confessions in a multitude of settings, and to multiple investigators and officials,
before and after his guilty plea. See id. Those numerous and consistent confessions should all but
settle the question of whether the Government can prove falsity. The Government has no
response. It does not clarify the nature or extent of those past admissions of guilt. It does not
discuss the circumstances under which they could be used against Flynn or explain why they
would lack probative force. It does not even try to explain how they are consistent with the
Government’s professed doubts that Flynn is in fact guilty. If the Government doubted its ability
to prove falsity, it would have said something here. Instead, it said nothing.
As if that were not enough to dismiss the Government’s Rule 48(a) motion as pretextual,
the Government affirmatively rejects Flynn’s own principal account of why his prior admissions
of falsity should not be credited: namely, that prosecutors had threatened him with charges
against his son. Compare ECF No. 160-23 at 8 ¶ 34 (Flynn Declaration describing “intense
pressure,” including “a threat to indict my son Michael”), and id. at 11 ¶ 46 (“I allowed myself to
succumb to the threats from the government to save my family . . . .”), with ECF No. 227 at 28
n.1 (“[T]he [G]overnment’s motion is not based on defendant Flynn’s broad allegations of
Given that Flynn repeatedly admitted to lying—and given that the Government is
unwilling to accept Flynn’s claims about why those admissions were untrue—the Government
struggles to offer a coherent account of why it doubts its ability to prove falsity. So it simply
asserts, once again, that the FBI agents’ notes of Flynn’s interview statements might be partially
inaccurate and that Flynn might have forgotten the conversations with Kislyak here at issue. This
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claim is not credible for many reasons, which I set out in my brief and which the Government
wholesale fails to address, let alone refute. See ECF No. 225 at 52–55.7
The Government has now had two chances to explain why its sudden doubt that Flynn
lied is worthy of credence. It has failed. It is not entitled to leave of court on this basis.
3. Interests of Justice
The Government’s Rule 48(a) motion stated that “continued prosecution of Mr. Flynn
would not serve the interests of justice.” ECF No. 198 at 12. It then elaborated on the reason:
“the Government does not have a substantial federal interest in penalizing a defendant for a
crime that it is not satisfied occurred and that it does not believe it can prove beyond a reasonable
doubt.” Id. The Government thus asserted that the “interests of justice” would not be served by
pursuing a case in which the Government doubts it could prove materiality or falsity. See id. at
motion.
But the Government now insists otherwise, asserting that it has always advanced a third
“separate” and “alternative” reason for dismissal wholly unrelated to the difficulty of proving the
elements of its case. ECF No. 227 at 23, 25–26. While this conclusion would come as a surprise
7
With respect to the notes of Flynn’s statements, as I explained previously, there is nothing
unusual about the fact that certain questions that appear in the agents’ detailed FD-302 may not
be readily apparent from their contemporaneous handwritten notes, which are non-verbatim aids
of the agents’ independent recollections. ECF No. 225 at 54 (citing ECF No. 144 at 41). The
Government now concedes that such minor “discrepancies would not always be significant” in
other cases, see ECF No. 227 at 31—presumably those not involving the President’s political
allies—and thus that these purported concerns have no independent force. But the Government
now implies that the jury would have to “trust the interviewing agents’ account” of the questions
it says do not appear in the notes in order to convict Flynn. Id. That is wrong. Even if a jury were
to disregard aspects of the FD-302 that lack a direct analog in both agents’ contemporaneous
notes, it would still have before it multiple material false statements on which to convict Flynn
on the counts to which he has twice pleaded guilty. ECF No. 132 at 4–6; ECF No. 144 at 42–49.
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to any careful reader of the Government’s motion, it would not surprise anyone familiar with
doctrines designed to uncover pretext. See Foster, 136 S. Ct. at 1751 (where a party’s “principal
reasons” have “shifted over time,” it can be inferred “that those reasons may be pretextual”).
And what exactly is the Government’s non-merits reason for dismissal? The answer is
unclear, since the Government never quite explains its newly minted rationale in the sole
paragraph devoted to it. See ECF No. 227 at 25–26. It gestures vaguely at “enforcement
priorities” and “policy assessments,” id. at 24, then rattles off a disjointed string of allegations
regarding “circumstances surrounding the interview,” id. at 25. But these are just the same facts
that are legally irrelevant to its materiality and falsity assertions. The Government does not
explain what additional supposed significance it has suddenly “assess[ed]” those facts to have, or
why Flynn’s conviction disserves the “interests of justice,” see id. at 23, given that his guilt is
both conceded and readily provable. While the Government conveniently asserts that these
“policy assessments” are “quintessentially unreviewable,” id. at 24, it never actually explains
what the policy is, what judgment it made, or why the conduct of the FBI agents in question
would warrant dismissal of this case given Flynn’s demonstrable and confessed guilt. See id. at
23–26.
As I have already shown, Rule 48(a) requires the Government to explain its reasons; a
conclusory assertion that dismissal advances the public interest does not suffice. Decorating such
an assertion with several unexplained and legally irrelevant facts does not transform it into a
“policy judgment.” That is particularly true where the rationale appears nowhere in the
Government’s Motion to Dismiss and does nothing more than reflect the Government’s inability
to sustain its pretexts. The Government’s attempt to dress up a politically motivated dismissal
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The Government’s failure to defend its own pretextual reasoning is matched by its silence
on the subject of abuse of power. The Government makes virtually no effort to deny or rebut the
powerful evidence that its Rule 48(a) motion improperly seeks to place this Court’s imprimatur
on a corrupt, politically motivated favor for the President’s friend and ally.
As detailed in my opening brief, Flynn is a close ally of President Trump, who personally
pressured the FBI director to “let this go” within weeks of Flynn’s crime, who has since
repeatedly made clear his desire for Flynn to avoid criminal liability, see ECF No. 225 at 17, 56–
59, and who has expressed a desire to re-hire Flynn within his administration, see Max Cohen,
Trump Says He Would Welcome Michael Flynn Back to His Administration, POLITICO (July 15,
reasons would necessarily “implicate this Court” in denigrating “settled, foundational norms of
The Government does not disagree with any of this—presumably because it cannot.
Indeed, the Government nowhere even mentions the President’s personal lobbying, let alone his
virulent attacks on those previously involved in this prosecution. Based entirely on evidence
already in the public view, the only coherent explanation for the Government’s exceedingly
irregular motion—as well as its demonstrable pretexts—is that the Justice Department has
yielded to a pressure campaign led by the President for his political associate. This Court need
not “exhibit a naiveté from which ordinary citizens are free” by pretending otherwise. United
States v. Stanchich, 550 F.2d 1294, 1300 (2d Cir. 1977). It should instead deny the
Government’s request for leave under Rule 48(a) and proceed to sentencing.
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My opening brief explained why the Court should adhere to standard practice in handling
Flynn’s perjury. In a case in which the Government is trying to give special treatment to a
criminal defendant because he is favored by the President, the Court would send an important
message about the rule of law by refusing to accord special treatment to that defendant’s perjury.
Rather, as it would in other like cases, the Court should take Flynn’s perjury into account in
applying the U.S. Sentencing Guidelines and in considering the sentencing factors set forth in 18
U.S.C. § 3553(a) when Flynn is sentenced. See ECF No. 225 at 60–72.
The Government does not respond to that recommendation. It instead argues at length
available but unnecessary here. See ECF No. 227 at 32–41. In opposing an argument that I do not
First, the Government evidently agrees (because it could not dispute) that district courts
regularly calculate a defendant’s sentence based upon—and make adjustments to account for—
the submission of false testimony in an attempt to withdraw a plea. See ECF No. 225 at 71 n.70
Second, the Government does not challenge the fact that Flynn has deliberately made
multiple false statements to this Court. While the Government phrases that concession in the
After all, Flynn himself has admitted under oath on multiple occasions that he knowingly lied to
8
ECF No. 227 at 33; see also id. at 32 (“Even if Flynn committed perjury before this Court”), 38
(“Even assuming that Flynn had the intent to commit perjury”), 40 (“[E]ven if Flynn committed
criminal contempt”), 40 (“Even if Flynn made false statements before this Court”).
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the FBI in multiple ways—but has then claimed under oath that he never lied to the FBI. See
ECF No. 225 at 18–25, 62–65. Flynn argues that he should not be held accountable because his
statements were the product of “stunning” prosecutorial misconduct and “wrongful pressure . . .
applied to coerce” the first set of statements under oath. ECF No. 228 at 17. But the Government
categorically rejects these accusations, assuring the Court that Flynn’s “broad allegations of
Third, and most telling, the Government does not address Flynn’s perjurious sworn
statement that the Justice Department engaged in misconduct that coerced him into pleading
guilty by threatening to prosecute his son.9 See ECF No. 225 at 64. But in refuting Flynn’s
claims of prosecutorial misconduct as “unfounded,” the Government makes clear there was no
prosecutorial misconduct, coercion, or secret deals. Thus, in defense of its Rule 48(a) motion, the
Government confirms that Flynn not only lied to this Court but is now doubling down by
continuing to submit false allegations of prosecutorial misconduct to excuse his false denial of
guilt.
Ultimately, the Government’s efforts to dodge the key facts and legal issues applicable to
Flynn’s lies under oath are emblematic of its broader effort to scuttle this case, in a stark
abdication of its own Mission Statement: to “seek just punishment for those guilty of unlawful
behavior[,] and to ensure fair and impartial administration of justice for all Americans.”10 The
Court can now restore fairness and impartiality to the administration of justice by denying the
Government’s motion and accounting for Flynn’s perjurious conduct at the sentencing stage.
* * * * *
9
Of course, this allegation of misconduct directly contradicts Flynn’s repeated statements under
oath that there were no such threats. See ECF No. 225 at 18–21, 63–64.
10
U.S. DEP’T OF JUSTICE, MISSION STATEMENT, https://perma.cc/Z64L-6P44.
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from mine. We both agree that Rule 48(a) motions should be granted in the ordinary case
because prosecutors can be presumed to act consistently with their duty as officers of the Court
and stewards of the public interest. This presumption is grounded in our separation of powers
and in the finest traditions of federal prosecution. But as the Government is loath to admit here,
that principle includes a corollary: in the extraordinary case, where the Justice Department seeks
to mislead the Court and the public about its reasons for dismissing criminal charges, and where
clear evidence indicates that corrupt motives have undermined the Justice Department’s proper
role, this Court has an independent obligation to guard against such abuse. That duty arises from
the text and history of Rule 48(a)—it is, quite literally, why Rule 48(a) exists—and that duty is
The record before the Court demonstrates conclusively that this case is extraordinary. No
other evidence is necessary or need be relied upon to reach that conclusion. Yet this motion does
not arise in a vacuum. Each passing day brings troubling indications of improper interference
with criminal cases involving the President’s personal and political associates.
Most notably, there is now concrete evidence of another prosecutorial decision infected
by “heavy pressure from the highest levels of the Department of Justice . . . based on political
considerations.” See Oversight of the Department of Justice: Political Interference and Threats
to Prosecutorial Independence: Hearing Before the H. Comm. on the Judiciary, 116th Cong. 2
This prosecutorial decision concerned the Government’s sentencing recommendation for Roger
Stone, another well-connected political ally of the President who committed serious crimes.
There, as here, the President publicly assailed the Department of Justice for pursuing the
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prosecution. And there, as here, the Department of Justice succumbed to that corrupt pressure—
though only after all four career prosecutors resigned from the case. As one of those career
prosecutors later testified, senior officials at the Department of Justice exerted “significant
pressure” to go easy on Stone, against the record of the case, customary prosecutorial practice,
and departmental policy. Id. at 2. This occurred “because of [Stone’s] relationship to the
President,” id., and “because the U.S. Attorney”—who also signed the Rule 48(a) motion in
Of course, those examples merely provide context. In resolving the Government’s request
for leave, the only evidence that ultimately matters is the record I have outlined above: a record
replete with patently pretextual attempts to justify what is plainly a corrupt political errand for
the President. Given this evidence, the Court should not allow itself to become an instrument of
the Government’s abuse of the judicial process or the public trust. That would sully Article III.
Under Rule 48(a), the Court can—and should—deny the Government’s motion, adjudicate any
other pending motions, and then proceed to sentence Flynn for his crime.
CONCLUSION
For the foregoing reasons, the court-appointed amicus curiae respectfully submits that the
Government’s Motion to Dismiss should be denied and no Order to Show Cause should issue.
11
Perhaps those officials had reason to worry: the President recently fired a prominent and well-
respected U.S. Attorney who was investigating his associates. See Paul Le Blanc et al., White
House Admits Trump Was Involved in Firing of Top US Attorney After Trump Claimed He
Wasn’t, CNN (June 22, 2020), https://perma.cc/TPB5-ZXGQ.
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Daniel Aun
Elizabeth Nielsen
Tara P. Ganapathy
Natascha Born
DEBEVOISE & PLIMPTON LLP
919 Third Avenue
New York, New York 10022
(212) 909-6000
[email protected]
[email protected]
[email protected]
[email protected]
12
On May 18, 2020, the Court ordered that I be admitted pro hac vice to appear in this matter, be
conferred full privileges to file and receive papers through the Court’s CM/ECF system in this
proceeding, and be excused from the local counsel requirement of Local Criminal Rule
44.1(c)(1). See Minute Order of May 18, 2020.
25