DOMESTIC SECURITY ENHANCEMENT ACT OF 2003
SECTION-BY-SECTION ANALYSIS
Title I: Enhancing National Security Authorities
Subtitle A: Foreign Intelligence Surveillance Act Amendments
Section 101: Individual Terrorists as Foreign Powers.
Under 50 U.S.C. § 1801(a)(4), the definition of "foreign power"
includes groups that engage in international terrorism, but does not
reach unaffiliated individuals who do so. As a result, investigations
of "lone wolf" terrorists or "sleeper cells" may not be authorized
under FISA. Such investigations therefore must proceed under the
stricter standards and shorter time periods set forth in Title III,
potentially resulting in unnecessary and dangerous delays and greater
administrative burden. This provision would expand FISA's definition of
"foreign power" to include all persons, regardless of whether
they are affiliated with an international terrorist group, who engage
in international terrorism.
Section 102: Clandestine Intelligence Activities by Agent of a Foreign Power.
FISA currently defines "agent of a foreign power" to include a
person who knowingly engages in clandestine intelligence gathering
activities on behalf of a foreign power--but only if those activities
"involve or may involve a violation of" federal criminal law. Requiring
the additional showing that the intelligence gathering violates the
laws of the United States is both unnecessary and counterproductive, as
such activities threaten the national security regardless of whether
they are illegal. This provision would expand the definitions contained
in 50 U.S.C. § 1801(b)(2)(A) & (B). Any person who engages in
clandestine intelligence gathering activities for a foreign power would
qualify as an "agent of a foreign power," regardless of whether those
activities are federal crimes.
Section 103: Strengthening Wartime Authorities Under FISA.
Under 50 U.S.C. §§ 1811, 1829 & 1844, the Attorney General may
authorize, without the prior approval of the FISA Court, electronic
surveillance, physical searches, or the use of pen registers for a
period of 15 days following a congressional declaration of war. This
wartime exception is unnecessarily narrow; it may be invoked only when
Congress formally has declared war, a rare event in the nation's
history and something that has not occurred in more than sixty years.
This provision would expand FISA's wartime exception by allowing the
wartime exception
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to be invoked after Congress authorizes the use of military force,
or after the United States has suffered an attack creating an national
emergency.
Section 104: Strengthening FISA's Presidential Authorization Exception.
50 U.S.C. § 1802 allows the Attorney General to authorize electronic
surveillance for up to a year, without the FISA Court's prior approval,
in two narrow circumstances: (1) if the surveillance is are directed
solely at communications between foreign powers; or (2) if the
surveillance is directed solely at the acquisition of technical
intelligence, other than spoken communications, from property under the
exclusive control of a foreign power. In addition, the Attorney General
must certify that there is no substantial likelihood that such
surveillance will acquire the communications of U.S. persons. (In
essence, § 1802 authorizes the surveillance of communications between
foreign governments, and between a foreign government and its embassy.)
Section 1802 is of limited use, however, because it explicitly
prohibits efforts to acquire spoken communications. (No such limitation
exists in the parallel exception for physical searches, 50 U.S.C. §
1822(a), under which agents presumably could infiltrate a foreign
power's property for the purpose of overhearing conversations.) This
provision would enhance the presidential authorization exception by
eliminating the requirement that electronic surveillance cannot be
directed at the spoken communications of foreign powers.
Section 105: Law Enforcement Use of FISA Information.
50 U.S.C. § 1806(b) currently prohibits the disclosure of
information "for law enforcement purposes" unless the disclosure
includes a statement that the information cannot be used in a criminal
proceeding without the Attorney General's advance authorization. This
provision would amend § 1806(b) to give federal investigators and
prosecutors greater flexibility to use FISA-obtained information.
Specifically, it would eliminate the requirement that the Attorney
General personally approve the use of such information in the criminal
context, and would substitute a requirement that such use be approved
by the Attorney General, the Deputy Attorney General, the Associate
Attorney General, or an Assistant Attorney General designated by the
Attorney General.
Section 106: Defense of Reliance on Authorization.
50 U.S.C. § 1809(b) and 1827(b) create a defense for agents who
engage in unauthorized surveillance or searches, or who disclose
information without authorization, if they were relying on an order
issued by the FISA Court. However, there does not appear to be a
statutory defense for agents who engage in surveillance or searches
pursuant to FISA authorities under which no prior court approval is
required--e.g., pursuant to FISA's wartime exception (50 U. S.C. §§
1811, 1829 & 1844), or FISA's presidential authorization exception
(50 U.S.C. § 1802 & 1822(a)). This provision would clarify that the
"good faith reliance" defense is available, not just when
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agents are acting pursuant to a FISA Court order, but also when they
are acting pursuant to a lawful authorization from the President or the
Attorney General.
Section 107: Pen Registers in FISA Investigations.
50 U.S.C. § 1842(a)(1) makes FISA pen registers available in
investigations of non-U.S. persons to "obtain foreign intelligence
information." But for U.S. persons, the standard is much higher: in
cases involving U.S. persons, pen registers are only available "to
protect against international terrorism or clandestine intelligence
activities." Perversely, this appears to be stricter than the standard
for pen registers under Title III, which requires only that it be shown
that the information "is relevant to an ongoing criminal
investigation." 18 U.S.C. § 3123(a)(1). This provision would amend §
1842(a)(1) by eliminating the stricter standard for U.S. persons.
Specifically, FISA pen registers would be available in investigations
of both U.S. persons and non-U.S. persons whenever they could be used
"to obtain foreign intelligence information."
Section 108: Appointed Counsel in Appeals to FISA Court of Review.
Under FISA, proceedings before the FISA Court and the Court of
Review are conducted ex parte. As a result, when the Court of Review
meets to consider an appeal by the United States, there is no party to
defend the judgment of the court below. The FISA Court of Review thus
is obliged to interpret sensitive and complicated statutes without the
benefit of the adversary process. This provision would amend FISA to
permit the FISA Court of Review, in its discretion, to appoint a
lawyer, with appropriate security credentials, to defend the judgment
of the FISA Court, when the United States appeals a ruling to the FISA
Court of Review. It would also provide for the compensation of a lawyer
so appointed by the FISA Court of Review.
Sec. 109: Enforcement of Foreign Intelligence Surveillance Court Orders.
The Foreign Intelligence Surveillance Act does not specify the means
for enforcement of orders issued by the Foreign Intelligence
Surveillance Court. Thus, for example, if a person refuses to comply
with an order of the court to cooperate in the installation of a pen
register or trap and trace device under 50 U.S.C. § 1842(d), or an
order to produce records under 50 U.S.C. § 1861, existing law provides
no clearly defined recourse to secure compliance with the court's
order. This section remedies this omission by providing that the
Foreign Intelligence Surveillance Court has the same authority as a
United States district court to enforce its orders, including the
authority to impose contempt sanctions in case of disobedience.
Sec. 110: Technical Correction Related to the USA PATRIOT Act.
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Section 204 of the USA PATRIOT Act clarified that intelligence
exceptions from the limitations on interception and disclosure of wire,
oral, and electronic communications continue to apply, notwithstanding
section 216 of the Act. Section 224 sunsetted several provisions of the
Act on December 31, 2005. Although section 216 was not included in the
sunset provision, section 204's clarifying language was sunsetted. If
not corrected, this anomaly will result in the loss of valuable and
necessary intelligence exemptions to the pen register and trap and
trace provisions after December 31, 2005. This provision would
eliminate this anomaly and treat the clarifying language of section 204
the same as section 216.
Sec. 111. International Terrorist Organizations as Foreign Powers.
Groups engaged in international terrorism are included under the
definition of "foreign power" in FISA. See 50 U.S.C. § 1801(a)(4).
However, for certain purposes--including the duration of surveillance
orders and the definition of what constitutes a "United States
person"--they are effectively excluded from the concept of foreign
powers, and accorded the more protected treatment that FISA provides to
other entities. This section amends FISA so that international
terrorist organizations are consistently treated as foreign powers for
these purposes.
More specifically, there are basically two sets within the FISA
definition of "foreign power" under 50 U.S.C. § 1801(a): (i) A
paragraph (1)-(3) set, which includes foreign governments, foreign
factions, and entities that foreign governments openly acknowledge they
direct and control. (ii) A paragraph (4)-(6) set, which includes groups
engaged in international terrorism or preparations therefor,
foreign-based political organizations not substantially composed of
U.S. persons, and entities directed and controlled by foreign
governments.
50 U.S.C. §§ 1805(e) and 1824(d) define the authorization periods
for electronic surveillance and physical searches under FISA. The basic
authorization and extension periods are 90 days, but longer for
surveillance and searches relating to certain foreign powers.
Specifically, the authorization and extension periods for foreign
powers in the paragraph (1)(3) set--foreign governments, foreign
factions, and entities for which foreign governments openly acknowledge
direction and control--are up to a year. In contrast, for foreign
powers in the paragraph (4)-(6) set--international terrorist
organizations, foreign-base political organizations not substantially
composed of U.S. persons, and entities directed and controlled by
foreign governments--the initial authorization period is no more than
90 days. The extension period for foreign powers in the paragraph
(4)-(6) set is also no more than 90 days, unless certain restrictions
and special finding requirements are satisfied. (Specifically, the
extension period may be up to a year for an order relating to a
foreign-based political organization not substantially composed of U.S.
persons or an order relating to an entity directed and controlled by a
foreign government, and up to a year for an order relating to an
international terrorist organization that is not a U.S. person, if the
judge finds probable cause to believe that no communication or property
of any individual U.S. person will be acquired.)
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Another context in which different types of "foreign powers" are
treated differently is the FISA definition of "United States person."
United States persons have a more protected status under FISA for
certain purposes, such as dissemination of information. The existing
definition of "United States person" in 50 U.S.C. § 1801(i)
categorically excludes a corporation or association which is a foreign
power--but only if it falls in the paragraph (1)-(3) set.
The effect of the foregoing provisions is that, even if probable
cause is established that a group is an international terrorist
organization, it may be subject only to brief periods of surveillance
absent renewal, and it may be accorded the protected status of a United
States person. The amendments in this section will facilitate the
investigation of threats to the national security posed by such groups
by reassigning them to the less protected status now accorded to
foreign powers in the paragraph (1)-(3) set. Thus, the normal
authorization and extension periods for surveillance of international
terrorist organizations would be up to a year, and corporations and
associations which are international terrorist organizations would not
be treated as United States persons under FISA.
Subtitle B: Enhancement of Law Enforcement Investigative Tools
Section 121: Definition of Terrorist Activities.
This section adds a definition of "terrorist activities" to the
definitional section for the chapter of the criminal code governing
electronic surveillance (chapter 119). The definition encompasses
criminal acts of domestic and international terrorism as defined in 18
U.S.C. § 2331, together with related preparatory, material support, and
criminal activities. The same definition of terrorist activities would
also apply through cross-referencing provisions, see 18 U.S.C.
§ 2711(1) and 3127(1) (as amended), in the chapters of the criminal
code that govern accessing stored communications and the use of pen
registers and trap and trace devices (chapters 121 and 206).
The surveillance chapters of the criminal code contain many
provisions which state that the authorized surveillance activities may
be carried out as part of "criminal investigations." Section 121 also
adds a provision to 18 U.S.C. § 2510 which specifies that "criminal
investigations" include all investigations of criminal terrorist
activities, to make it clear that the full range of authorized
surveillance techniques are available in investigations of "terrorist
activities" under the new definition.
Section 122: Inclusion of Terrorist Activities as Surveillance Predicates.
This section adds terrorist activities, as defined under the
amendment of section 121, and four specific offenses that are likely to
be committed by terrorists (the offenses defined by 18 U.S.C. § 37,
930(c), 956, and 1993), as explicit predicates for electronic
surveillance and monitoring. It further adds an explicit reference to
terrorist activities to the provision authorizing electronic
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surveillance without a court order in emergency situations--18
U.S.C. § 2518(7)--and makes conforming changes in the corresponding
provision (18 U.S.C. § 3125) for using pen registers and trap and trace
devices without a court order in emergency situations.
The final subsection of this section modifies the definition of
"court of competent jurisdiction" in 18 U.S.C. § 3127(2), to correct an
unintended effect of amendments in sections 216(c)(1) and 220 of the
USA PATRIOT Act. The purpose of the amendments was to authorize courts
having jurisdiction over an offense to issue orders for pen registers
and trap and trace devices, and search warrants for the disclosure of
e-mails, which could be executed outside of their districts. However,
the language utilized inadvertently created a lack of clarity
concerning the continued validity of the pre-existing authority of the
courts to issue such orders and warrants for execution within their own
districts (regardless of whether they have "jurisdiction over the
offense").
This threatens to be a serious practical problem when information
gathering in the United States is needed in response to requests by
foreign law enforcement agencies to assist in foreign terrorism (or
other criminal investigations) and to fulfill the United States'
obligations under mutual legal assistance treaties, and in the context
of investigations relating to crimes committed on U.S. military bases
abroad, because in those cases the U.S. courts generally do not have
jurisdiction over the offense. This section corrects the problem in
relation to pen register and trap and trace orders through definitional
language that explicitly includes both a court with jurisdiction over
the offense or activities being investigated, and a court in the
district in which the order will be executed. A parallel correction for
the problem relating to search warrants for e-mails appears in section
125(b) of this bill.
Section 123: Extension of Authorized Periods Relating to Surveillance and Searches in Investigations of Terrorist Activities.
In Katz v. United States, 389 U.S. 347 (1967), the Supreme
Court held for the first time that government wiretapping was subject
to the Fourth Amendment. In response, Congress enacted Title III of the
1968 Omnibus Crime Control and Safe Streets Act, 28 U.S.C. §§
2510-2522, which governs electronic surveillance for all federal
criminal offenses. Congress also subsequently enacted the Electronic
Communications Privacy Act (ECPA), 18 U.S.C. §§ 2701-2712, which
addresses government access to stored communications, and established
statutory standards and procedures for the use of pen registers and
trap and trace devices, 18 U.S.C. §§ 3121-3127. Further, because Katz
and progeny specifically stated that the Court did not hold that the
same Fourth Amendment restrictions applied with respect to the
activities of foreign powers and their agents, in 1978 Congress enacted
the Foreign Intelligence Surveillance Act, 50 U.S.C. §§ 1801-1862,
which establishes standards applicable to surveillance of foreign
powers and agents of foreign powers--including electronic surveillance,
physical searches, and use of pen registers and trap and trace
devices--in relation to the investigation of such matters as
international terrorism and espionage.
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Congress has not provided separate statutory standards governing
investigations of wholly domestic threats to the national security,
particularly domestic terrorism. Thus, such investigations are subject
to the time limits set forth in Title III. However, the Supreme Court
in United States v. United States District Court ("Keith"), 407
U.S. 297 (1972), explicitly recognized that domestic security
investigations would require different standards than those set forth
in Title III:
"We recognize that domestic security surveillance may involve different
policy and practical considerations from the surveillance of 'ordinary
crime.' The gathering of security intelligence is often long range and
involves the interrelation of various sources and types of information.
The exact targets of such surveillance may be more difficult to
identify than in surveillance operations against many types of crime
specified in Title III. Often, too, the emphasis of domestic
intelligence gathering is on the prevention of unlawful activity or the
enhancement of the Government's preparedness for some possible future
crisis or emergency. Thus, the focus of domestic surveillance may be
less precise than that directed against more conventional types of
crime."
Id. at 322. Because domestic security investigations were
subject to Title III, despite these considerations, the Court invited
Congress to legislate new and different standards for such
investigations:
"Given [the] potential distinctions between Title III criminal
surveillances and those involving the domestic security, Congress may
wish to consider protective standards for the latter which differ from
those already prescribed for specified crimes in Title III. Different
standards may be compatible with the Fourth Amendment if they are
reasonable both in relation to the legitimate need of Government for
intelligence information and the protected rights of our citizens."
Id.
In Keith, the court noted that, with respect to surveillance
in domestic security cases, "the time and reporting requirements need
not be so strict as those in § 2518." Id. at 323. This section
accepts the Court's invitation and extends, in investigations of
terrorist activities, a number of statutory time limits or periods
relating to electronic surveillance or monitoring and searches. The
specific changes are:
(1) Amend 18 U.S.C. § 2518(5) to extend the normal duration of
electronic surveillance orders in investigations of terrorist
activities from 30 days to 90 days.
(2) Amend 18 U.S.C. § 2518(6), which provides that an electronic
surveillance order may require periodic progress reports to the judge
who issued the order "at such intervals as
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the judge may require." As amended, the provision would not allow
reports to be required at shorter intervals than 30 days in
investigations of terrorist activities.
(3) Amend 18 U.S.C. § 2705, which permits delaying notification
concerning the accessing of a person's stored electronic communications
where specified "adverse results" would result from the notification.
As amended, the provision would include endangerment of the national
security as a specified adverse result that permits delaying
notification.
(4) Amend 18 U.S.C. § 3123 to extend the normal authorization
periods for pen registers and trap and trace devices in investigations
of terrorist activities from 60 days to 120 days.
Section 124: Multi-function Devices
Electronic manufacturers increasingly are producing devices that are
capable of performing multiple functions--e.g., cell phones that also
can send e-mail like a Blackberry, and that include a calendar like a
Palm Pilot. Multiple functions are also illustrated by ordinary home
computers, which may, for example, be used to send and receive e-mail
messages, to engage in oral communications through an Internet phone
service, to store sent and received messages, and to store other
information. Current law does not make it clear that the authorization
(e.g., under an electronic surveillance order) to monitor one of a
device's functions also entails the authority to monitor other
functions.
This section accordingly amends 18 U.S.C. § 2518(4) to make it clear
that authorization of electronic surveillance with respect to a device,
unless otherwise specified, may be relied on to intercept and access
communications through any of the device's functions. The section also
effectively allows a search warrant for other information retrievable
from the device (whether or not related to the intercepted
communications) to be combined with the electronic surveillance order,
and makes conforming changes in the chapters relating to accessing
stored communications and pen registers and trap and trace devices.
The section further incorporates a correction for an unintended
consequence of amendments in section 220 of the USA PATRIOT Act. As
discussed in relation to section 122 of the bill above, amendments
designed to authorize courts having jurisdiction over an offense to
issue search warrants for the disclosure of e-mails outside of their
districts have inadvertently clouded the pre-existing authority of the
courts to issue such orders and warrants for execution within their own
districts. This section corrects the problem by amending the pertinent
language in 18 U.S.C. § 2703(b)(1)(A) and (c)(1)(A) to refer to a court
in a district in which a provider of electronic communications service
is located, as well as a court having jurisdiction over the offense or
activities under investigation.
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Section 125: Nationwide Search Warrants in Terrorism Investigations.
Federal Rule of Criminal Procedure 41(a)(3) currently authorizes
judges in one district to issue search warrants that are valid in
another district, if the crime being investigated is "domestic
terrorism or international terrorism" as defined in 18 U.S.C. § 2331.
But § 2331 sets forth an extremely narrow definition of terrorism, as
it is limited to "violent acts or acts dangerous to human life." Thus
section 2331 arguably does not include investigations into terrorist
financing, or other crimes that terrorists are likely to commit. As a
result, a federal judge sitting in New York would be able to issue a
search warrant that is valid in California in an investigation of a
plot to bomb a building, but arguably could not issue the same warrant
if the investigation concerned the raising of money to support
terrorist operations.
This provision would expand the types of terrorism crimes for which
judges may issue search warrants that are valid nationwide.
Specifically, it would authorize nationwide search warrants in
investigations of the offenses listed in 18 U.S.C. § 2332b(g)(5)(B),
including computer crimes, attacks on communications infrastructure,
and providing material support to terrorists or terrorist organizations.
Section 126: Equal Access to Consumer Credit Reports.
In recent years, it has become increasingly apparent that law
enforcement investigators need access to suspected terrorists' banking
information to determine their connections to terrorist organizations,
including financial ties. The current version of 15 U.S.C. §
1681b(a)(1) allows investigators to obtain a suspect's credit
report-the first step in locating his banking recordsonly in response
to a court order or a federal grand jury subpoena. As a result, law
enforcement cannot obtain a suspect's banking information without
issuing multiple timeconsuming subpoenas. In some cases, it can take a
series of three subpoenas--first to the credit reporting agency, then
to the suspect's creditors, then to the suspect's banks--and a period
of nine to 12 weeks to learn where a suspected terrorist keeps his
accounts. Perversely, the law makes it far easier for private entities
to obtain an individual's credit reports; under 15 U.S.C. §
1681b(a)(3)(F), a private entity can obtain--usually within minutes--a
credit report on anyone in the United States so long as it has a
"legitimate business need" for the information.
This provision would enable the government to obtain credit reports
on virtually the same terms that private entities may. Specifically, it
would amend § 1681b(a)(1) to allow law enforcement officers to obtain
credit reports upon their certification that they will use the
information only in connection with their duties to enforce federal
law. This certification parallels the existing requirement that a
private entity must have a "legitimate business need" before obtaining
a credit report. In addition, to avoid alerting terrorists that they
are under investigation, this provision would prohibit (absent court
approval) disclosing to a consumer the fact that law enforcement has
sought his credit report.
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Section 127: Autopsy Authority.
Autopsies of the victims of terrorist attacks and other deadly
crimes, as well as other persons, can be an effective way of obtaining
information about the perpetrators. In addition to revealing the cause
of death, autopsies sometimes enable law enforcement to retrieve
forensic evidence (such as bomb fragments) from the deceased's body.
The primary need for federal autopsy authority arises in the case of
offenses, including acts of terrorism, outside the United States. At
present, however, except in cases involving military personnel, the
United States has no statutory authority to conduct autopsies. When a
non-military United States national dies abroad as a result of a
possible offense against the United States, the victim's body typically
must be transported back to the United States before an autopsy can be
performed; this may significantly delay both the return of the loved
one's remains to family members, as well as cause significant delays in
the criminal investigation.
This provision would create federal authority, in the Attorney
General, to conduct autopsies when necessary or appropriate in the
conduct of federal criminal investigations. This authority is not
limited and may be delegated to other officers. This proposal is not
intended to result in the hiring of medical examiners by federal law
enforcement agencies. Rather, the autopsies will be performed by local
coroners, private forensics investigators, or the Armed Forces Medical
Examiner and his staff.
Section 128: Administrative Subpoenas in Terrorism Investigations.
The Department of Justice currently has the authority to issue
administrative subpoenas in investigations of a wide variety of federal
offenses, including health-care fraud, see 18 U.S.C. § 3486(a)(1)(A), immigration violations, see 8 U.S.C. § 1225(a), and false claims against the United States, see
31 U.S.C. § 3733. But administrative subpoenas are not available in
investigations of terrorism, even though the consequences of a
terrorist attack are far more dire than committing simple fraud against
the United States government. As a result, lawenforcement personnel are
required to seek grand jury subpoenas before individuals who may have
information relevant to a terrorism investigation can be compelled to
testify or provide documents.
This provision would extend the existing administrative-subpoena
authorities into investigations involving domestic or international
terrorism. It also would prohibit a subpoena recipient from disclosing
to any other person (except to a lawyer in order to obtain legal
advice) the fact that he has received a subpoena. This proposal would
not give the Justice Department a unilateral, unreviewable authority to
compel production of documents relevant to a terrorism investigation.
If recipients refuse to comply with subpoenas, the Justice Department
would have to ask a court to enforce them. And subpoena recipients
would retain the ability, as they do in other contexts, to ask a court
to quash the subpoena. See, e.g., In re Administrative Subpoena, John Doe, D.P.M., 253 F.3d 256 (6th Cir. 2001).
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Sec. 129: Strengthening Access to and Use of Information in National Security Investigations.
This section is primarily concerned with correcting problems and
weaknesses in provisions authorizing the use of "national security
letters." In substance, national security letters are administrative
subpoenas that may be issued by FBI officials--or in some instances,
other authorized government officials-to obtain specified types of
records or information for use in national security investigations. The
existing national security letter provisions include the following:
(1) 18 U.S.C. § 2709--Providing FBI access, in connection with
investigations of international terrorism or espionage, to certain
electronic communication transactional records maintained by
communication service providers.
(2) Section 625(a)-(b) of the Fair Credit Reporting Act (15 U.S.C. §
168 Iu(a)(b))--Providing FBI access, in connection with investigations
of international terrorism or espionage, to certain consumer
information maintained by consumer reporting agencies.
(3) Section 626 of the Fair Credit Reporting Act (15 U.S.C. §
1681v)--Providing access to consumer reports and other consumer
information maintained by consumer reporting agencies, where needed by
government agencies authorized to investigate or carry out intelligence
or analysis activities related to international terrorism.
(4) Section 1114(a)(5) of the Right to Financial Privacy Act (12
U.S.C. § 3414(a)(5))--Providing FBI access, in connection with
investigations of international terrorism or espionage, to financial
records maintained by financial institutions.
(5) Section 802(a) of the National Security Act of 1947 (50 U.S.C. §
436(a))--Providing access by authorized investigative agencies to
financial records and information, consumer reports, and travel records
in relation to a person having access to classified information, based
on indications that the person has disclosed or may disclose classified
information to a foreign power.
Problems under these provisions include the following: (1) The
statutes in which the national security letter provisions appear
generally prohibit persons from disclosing that they have received
these requests for information, to safeguard the integrity of the
terrorism and espionage investigations in which national security
letters are used. However, they specify no penalty for persons who make
such unlawful disclosures. (2) While these statutes create a legal
obligation for the recipient to provide the requested information, they
do not specify any procedures for judicial enforcement in case the
recipient refuses to comply with the request. (3) The scope of the
national security letter provisions on the terrorism side is generally
limited to international
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terrorism; however, the distinction between international and
domestic terrorism is increasingly elusive in contemporary
circumstances. (4) These provisions are restrictive regarding the
sharing of information among federal agencies with relevant
responsibilities. This is in conflict with current needs and with the
broad principles favoring the sharing of intelligence among federal
agencies under the USA PATRIOT Act.
Subsection (a) of this section provides appropriate penalties for
violations of the nondisclosure provisions of the national security
letter provisions. Currently, 18 U. S.C. § 1510(b) makes it an offense
for an officer of a financial institution to notify other persons about
a grand jury subpoena or an administrative subpoena issued by the
Department of Justice for records of the financial institution. The
offense is punishable by up to a year of imprisonment, or up to five
years of imprisonment if the disclosure was made with the intent to
obstruct a judicial proceeding. Similarly, 18 U.S.C. § 1510(d) makes it
an offense, punishable by up to five years of imprisonment, for an
insurance company employee to notify other persons about a grand jury
subpoena for records with intent to obstruct a judicial proceeding.
Subsection (a) of this section adds a parallel offense (proposed 18
U.S.C. § 1510(e)) covering violations of the non-disclosure
requirements of the national security letter provisions described
above. As with current 18 U.S.C. § 1510(b), the offense would be a
misdemeanor punishable by up to a year of imprisonment, but would be
punishable by up to five years of imprisonment if the unlawful
disclosure was committed with the intent to obstruct the terrorism or
espionage investigation. In addition to providing appropriate penalties
for unlawful disclosure of national security letter requests, the same
penalties would apply to: (i) violation of the non-disclosure
requirement under 50, U. S .C. § 1861(d) for orders of the Foreign
Intelligence Surveillance Court requiring the production of records,
documents, and other tangible things in connection with investigations
to obtain foreign intelligence information about non-United States
persons or to protect against international terrorism or espionage, and
(ii) violation of the non-disclosure provision of proposed 18 U.S.C. §
2332f(d) in section 129 of this bill, relating to administrative
subpoenas in terrorism investigations.
The national security letter provisions make compliance with the
request for information mandatory. See 12 U.S.C. § 3414(a)(5)(A); 15
U.S.C. § 1681u(a)-(b), 1681v(a); 18 U.S.C. § 2709(a); 50 U.S.C. §
436(c). However, they make no provision for judicial enforcement in
case this legal obligation is not met. Subsection (b) of this section
authorizes the Attorney General to seek judicial enforcement in such
cases. This is similar, for example, to the existing judicial
enforcement provision in 18 U.S.C. § 3486(c) for administrative
subpoenas under that section.
Subsection (c) of this section amends the national security letter
provisions relating to electronic communication transactional records,
consumer credit information, and financial institution records, so that
they apply in investigations of all types of terrorist activities. The
specific amendments involve substituting, for current references in
these provisions to
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investigations relating to "international terrorism," references to
investigations relating to "terrorist activities." The latter notion is
defined in proposed 18 U.S.C. § 2510(20) in section 121 of this bill so
as to include domestic, as well as international, terrorism. The
limitation to international terrorism in existing law is an impediment
to the effective use of national security letters because it may not be
apparent in the early stages of a terrorism investigation-or even after
it has continued for some time-whether domestic or international
terrorism is involved. The Oklahoma City bombing and the anthrax letter
incidents illustrate this point. Moreover, in the current
circumstances, domestic terrorists who attempt to ally with or are
inspired to emulate international terrorists are an increasing concern.
The dangers posed to the national security by such persons may be
comparable to those posed by international terrorists, and national
security letters should likewise be an available tool in the
investigation of their criminal activities.
Subsection (d) of this section deletes or modifies language in the
national security letter provisions which unduly limits information
sharing among federal agencies. For example, 18 U.S.C. § 2709 is the
national security letter provision for electronic communication
transactional records. Subsection (d) of § 2709 states that the FBI may
disseminate information and records obtained pursuant to that section
only as provided in guidelines approved by the Attorney General "for
foreign intelligence collection and foreign counterintelligence
investigations conducted by the Federal Bureau of Investigation, and,
with respect to dissemination to an agency of the United States, only
if such information is clearly relevant to the authorized
responsibilities of such agency." The reference to guidelines that
relate to "foreign intelligence collection and foreign
counterintelligence investigations" is inconsistent with the amendment
proposed in subsection (c) of this section to extend the scope of 18
U.S.C. § 2709 to include investigations of domestic terrorism, as well
as international terrorism. The restrictive language regarding
information sharing with other federal agencies is in conflict with the
principles favoring broad sharing of intelligence among federal
agencies under section 203 of the USA PATRIOT Act (Pub. L. 107-56).
Subsection (c) of this section accordingly deletes the restrictive
language quoted above in 18 U.S.C. § 2709(d), so that it states simply
that the FBI may disseminate information and records obtained under §
2709 only as provided in guidelines approved by the Attorney General.
Subsection (c) also makes similar changes in the other national
security letter provisions. The general effect of the amendments is to
remove existing impediments to the sharing of information obtained by
means of national security letters in terrorism and espionage
investigations with other federal agencies having relevant
responsibilities.
Title II: Protecting National Security Information
Section 201: Prohibition of Disclosure of Terrorism Investigation Detainee Information.
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In certain instances, the release of information about persons
detained in connection with terrorism investigations could have a
substantial adverse impact on the United States' security interests, as
well as the detainee's privacy. Cf. North Jersey Media Group, Inc. v. Ashcroft,
308 F.3d 198, 217-19 (3d Cir. 2002). Publicizing the fact that a
particular alien has been detained could alert his coconspirators about
the extent of the federal investigation and the imminence of their own
detention, thus provoking them to flee to avoid detention and
prosecution or to accelerate their terrorist plans before they can be
disrupted.
Although existing Freedom of Information Act (FOIA) exemptions 7(A),
7(C), and 7(F) (5 U.S.C. § 552(b)(7)) permit the government to protect
information relating to detainees, defending this interpretation
through litigation requires extensive Department of Justice resources,
which would be better spent detecting and incapacitate terrorists. This
provision thus establishes a specific authority under Exemption 3 of
the FOIA to clarify what is already implicit in various FOIA
exemptions: the government need not disclose information about
individuals detained in investigations of terrorism until disclosure
occurs routinely upon the initiation of criminal charges.
Section 202: Distribution of "Worst Case Scenario" Information.
Section 112(r) of the Clean Air Act, 42 U. S.C. § 7412(r), requires
private companies that use potentially dangerous chemicals to submit to
the Environmental Protection Agency a "worst case scenario" report
detailing what would be the impact on the surrounding community of
release of the specified chemicals. Such reports are a roadmap for
terrorists, who could use the information to plan attacks on the
facilities.
This provision would revise section 112(r)(7)(H) of the Clean Air
Act to better manage access to information contained in "worst case
scenario" reports. This revised section would continue to allow such
information to be shared with federal and state officials who are
responsible for preventing or responding to accidental or criminal
releases. However, the revised section will require that public access
be limited to "read-only" methods, and only to those persons who live
or work in the geographical area likely to be affected by a worst-case
release from a facility.
Section 203: Information Relating to Capitol Buildings.
The Congressional Accountability Act of 1995, 2 U.S.C. § 1301 et
seq., establishes the Office of Compliance, a congressional office that
has the power to enforce OSHA standards with respect to the working
conditions of legislative branch employees. OSHA often assists the
Office in its work, see 2 USC. § 1382(e) & 1385(b), and
therefore the agency sometimes obtains securitysensitive information
(e.g., the layout of government buildings, and the location of air
circulation equipment and ventilation ducts). Terrorists may be able to
obtain this information from OSHA via a FOIA request. To ensure that
congressional officials can provide necessary information with
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the assurance that it will not be publicly released, this provision
makes clear that such information is exempt from disclosure under FOIA
Exemption 3.
Section 204: Ex Parte Authorizations Under Classified Information Procedures Act.
Under the current version of the Classified Information Procedures
Act, 18 U.S.C. App. 3 § 116, courts have discretion over whether to
approve the government's request for a CIPA authorization-which enables
the submission of sensitive evidence ex parte and in camera. See 18
U.S.C. App. 3 § 4 ("The court may permit the United States to make a
request for such authorization [for a protective order] in the form of
a written statement to be inspected by the court alone." (emphasis
added)). As a result, the government is forced to divert valuable
resources to litigating this question. And even worse, a request for
confidentiality itself can be a security breach: the government risks
disclosing sensitive national-security information simply by explaining
in open court why the information should be redacted. See, e.g., United States v. Rezaq,
899 F. Supp. 697, 707 (D.D.C. 1995) (government's CIPA pleadings must
be served "on the defendant and then litigated in an adversarial
hearing").
This provision would amend CIPA to provide that courts shall allow
the United States to make a request for a CIPA authorization ex parte
and in camera. This amendment would not affect the showing that the
United States is required to make in order to obtain a protective
order, but by replacing "may" with "shall," the United States will be
able to obtain the court's guidance in every case in which classified
information may potentially be discoverable, without risking disclosure
of the very secrets that it seeks to protect. See United States v. Klimavicius-Viloria,
144 F.3d 1249, 1261 (9th Cir. 1998) (upholding the use under CIPA of ex
parte, in camera hearings and written submissions by the government
when the court is required to make discovery determinations).
Section 205: Exclusion of United States Security Requirements from Gross Income of Protected Officials.
Under current tax law, certain federal officials--those whose
movements are restricted, or who are required to use specific
facilities, for their physical protection in the interest of the United
States' national security--may be taxed on the value of these
protective "services." See 26 C.F.R. 1.132-5(m) (describing the
circumstances under which police protection and related transportation
expenses may be deemed to be working condition fringe benefits). Due to
the recent terrorist threats, an increasing and variable number of
government officials--including Cabinet and subcabinet officers,
congressional leaders, and Justices of the Supreme Court--have begun to
receive protective services, and now find themselves taxed on the value
of these services.
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Accordingly, this provision would add a provision to the Internal
Revenue Code to clarify that required security measures jointly
determined by the Secretary of the Treasury, the Attorney General, and
the Director of Central Intelligence, are excludable from the gross
income of the protected officials. This provision is limited to
provisions from appropriate fluids to be consistent with restrictions
on the receipt of private funds for public purposes, and to ensure that
the exclusion is limited to the public security purpose.
Section 206: Grand Jury Information in Terrorism Cases.
This section amends Rule 6(e)(2)(B) of the Federal Rules of Criminal
Procedure to make witnesses and persons to whom subpoenas are directed
subject to grand jury secrecy rules in cases where serious adverse
consequences may otherwise result, including danger to the national
security or to the life or physical safety of an individual, flight
from prosecution, destruction of or tampering with evidence,
intimidation of a potential witness, or other serious jeopardy to an
investigation. The provision would permit witnesses and recipients of
grand jury subpoenas to consult with counsel regarding the subpoena and
any testimony, but would impose the same secrecy obligations on counsel.
Title III: Enhancing Investigations of Terrorist Plots
Subtitle A: Terrorism Identification Database
Section 301: Short Title.
This provision indicates that Title III, Subtitle B may be referred to as the "Terrorist Identification Database Act of 2003."
Section 302: Collection and Use of Identification Information from Suspected Terrorists and Other Sources.
Current law permits the FBI to establish an index to collect DNA
identification records of persons convicted of certain crimes, and DNA
samples recovered from crime scenes and unidentified human remains. 42
U.S.C. § 14132. However, the law does not directly address the FBI's
authority to collect and use DNA samples of terrorists or those
suspected of terrorism. It would be extremely beneficial to clarify how
DNA samples from suspects, such as samples taken from unlawful
combatants at Guantanaino Bay, can be used as necessary for
counterterrorism and law-enforcement purposes. Section 302 would allow
the Attorney General or Secretary of Defense to collect, analyze, and
maintain DNA samples and other identification information from
"suspected terrorists"--i.e., (1) persons suspected of engaging in
terrorism as defined in 18 U.S.C. § 2331 (1) & (5), or committing
an offense described in 18 U.S.C. § 2332b(g)(5)(B), or persons
conspiring or attempting to do so; (2) enemy combatants or other
battlefield detainees;
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(3) persons suspected of being members of a terrorist organization;
and (4) certain classes of aliens including those engaged in activity
that endangers national security.
Section 303: Establishment of Database to Facilitate Investigation and Prevention of Terrorist Activities.
This provision would allow the Attorney General to establish
databases of DNA records pertaining to the terrorists or suspected
terrorists from whom DNA samples or other identification information
have been collected. All federal agencies, including the Department of
Defense and probation offices, would be required to give the Attorney
General, for inclusion in the databases, any DNA records, fingerprints,
or other identification information that can be collected under this
Subtitle. This provision also allows the Attorney General to use the
information to detect, investigate, prosecute, prevent, or respond to
terrorist activities, or other unlawful activities by suspected
terrorists. In addition, the Attorney General would be able to share
the information with other federal, state, local, or foreign agencies
for the same purposes.
Section 304: Definitions.
This section would establish definitions for the terms "DNA sample"
and "DNA analysis." It also would define "suspected terrorist," which
describes the class of individuals from whom the Attorney General may
acquire DNA samples and other identification information, and whose
information may be included in DNA databases.
Section 305: Existing Authorities.
This provision would establish that the new authorities created by
this Subtitle are in addition toy authorities that may exist under any
other source of law. It also would provide that this Subtitle shall not
construed to preclude the receipt, collection, analysis, maintenance,
or dissemination of evidence or information pursuant to any other
source of law.
Section 306: Conditions of Release.
This provision would amend several portions of the United States
Code to clarify that terrorists or suspected terrorists who are under
any form of federal supervision or conditional release, including
parole, are subject to this Subtitle's provisions. These individuals
would be in the physical custody of the United States but for an act of
governmental discretion. This section would require such individuals to
cooperate in the collection of a DNA sample as a condition of
supervision or conditional release.
Subtitle B: Facilitating Information Sharing and Cooperation
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Section 311: State and Local Information Sharing.
Section 203 and other provisions of the USA PATRIOT Act broadened
authority to share information among federal agencies that may be
relevant to the detection and prevention of terrorism, and to obtain
otherwise confidential information for use in terrorism investigations.
That Act, however, did not adequately address the need for enhanced
information sharing authority in relation to state and local officials
and foreign governments, who are the critical partners of the United
States in investigating terrorist crimes and preventing future
terrorist attacks. This section of the bill would provide further
authority for sharing of consumer credit information, visa-related
information, and educational records information with state and local
law enforcement, thereby enacting the remainder of the information
sharing proposals that have been proposed legislatively and endorsed by
the Administration and the Department of Justice. See Letter of
Assistant Attorney General Daniel J. Bryant to Honorable Patrick J.
Leahy concerning S. 1615 (April 30, 2002).
Section 312: Appropriate Remedies with Respect to Law Enforcement Surveillance Activities.
During the 1970s and 1980s, some law enforcement agencies--e.g., the
New York City Police Department--entered consent decrees that limit
such agencies from gathering information about organizations and
individuals that may be engaged in terrorist activities and other
criminal wrongdoing. See, e.g., Handschu v. Special Servs. Div., 605 F. Supp. 1384 (S.D.N.Y. 1985), aff'd,
787 F.2d 828 (2d Cir. 1986). As a result, they lack the ability to use
the full range of investigative techniques that are lawful under the
Constitution, and that are available to the FBI. (For example, the
Attorney General's investigative guidelines authorize agents, subject
to certain restrictions, to attend public places and events "on the
same terms and conditions as members of the public generally.") The
consent decrees also handicap officers in their efforts to share
information with other law enforcement agencies, including federal law
enforcement agencies such as the FBI. These problems threaten to
frustrate the operations of the federal-state-local Joint Terrorism
Task Forces, and could prevent effective cooperation at all levels of
government in antiterrorism efforts. As the United States Court of
Appeals for the Seventh Circuit explained (before September 11) in
discussing one consent decree, as a result of such a decree "the public
safety is insecure and the prerogatives of local government scorned. To
continue federal judicial micromanagement of local investigations of
domestic and international terrorist activities ... is to undermine the
federal system and to trifle with the public safety." Alliance to End Repression v. City of Chicago, 237 F.3d 799, 802 (7th Cir. 2001).
This proposal would discontinue most consent decrees that could
impede terrorism investigations conducted by federal, state or local
law enforcement agencies. It would immediately terminate most decrees
that were enacted before September 11, 2001 (including New York
City's). All surviving decrees would have to be necessary to correct a
current and ongoing
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violation of a Federal right, extend no further than necessary to
correct the violation of the Federal right, and be narrowly drawn and
the least intrusive means to correct the violation. This provision is
modeled on the Prison Litigation Reform Act, 18 U.S.C. § 3626, which
terminated many prison-related consent decrees and which repeatedly has
been upheld by the courts. Section 312 does not apply to consent
decrees or injunctions remedying discrimination based on race, color,
religion, sex, or national origin, and therefore would not affect
decrees or injunctions involving allegations of racial profiling.
Section 313: Disclosure of Information.
This provision provides protection against civil liability for
businesses and their personnel who voluntarily provide information to
federal law enforcement agencies to assist in the investigation and
prevention of terrorist activities. The purpose of the provision is to
encourage voluntary cooperation and assistance in counterterrorism
efforts by private entities and individuals.
Subtitle C: Facilitating International Terrorism Investigations
Section 321: Authority to Seek Search Warrants and Orders to Assist Foreign States.
28 U.S.C. § 1782 does not clearly authorize the United States to
obtain search warrants in response to requests from foreign
governments; it only clearly applies to subpoenas. Nor is it clear that
federal law enforcement can obtain orders under the pen register/trap
and trace statute at foreign governments' requests. As a result, the
United States can seek search warrants only if we have entered into a
treaty with the foreign government that contains a provision
authorizing us to do so (and, naturally, only if the foreign government
has set forth facts sufficient to establish probable cause). The same
is true of pen./trap orders. The United States therefore may find
itself in a situation where it cannot assist a foreign government in
one of its criminal investigations, which is hardly an effective way of
encouraging foreign allies to assist our own counterterrorism
investigations.
This provision would modify federal law to clarify that the United
States may seek search warrants, pen/trap orders, and ECPA orders, in
response to the requests of foreign governments. Doing so will enhance
our ability to assist foreign law enforcement investigations, as well
as promote better cooperation from foreign allies when we seek evidence
from within their borders.
Section 322: Extradition Without Treaties and for Offenses Not Covered by an Existing Treaty.
Many of the United States' older extradition treaties contain
"lists" or "schedules" of extraditable offenses that reflect only those
serious crimes in existence at the time the treaties
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were negotiated. (For. example, our treaty with Egypt dates from
1874, and our treaty with Great Britain which includes Pakistan dates
from the 1930s.) As a result, these older treaties often fail to
include more modern offenses, such as money laundering, computer
crimes, and certain crimes against children. While some old treaties
are supplemented by newer multilateral terrorism treaties, extradition
is possible under these newer treaties only if the other country is
also a party to the multinational treaty, leaving gaps in coverage.
Additionally, absent a few narrow exceptions, U.S. law permits the
extradition of offenders to a foreign nation only when there is a
treaty or convention in force with that country or a statute conferring
such authority upon the executive branch. See Valentine v. United States,
299 U.S. 5, 8 (1936). At present, there are close to seventy countries
in the world with which the U.S. has no extradition treaty at all. This
means that the U.S. can become a "safe haven" for some foreign
criminals, and that we cannot take advantage of some countries'
willingness to surrender fugitives to us in the absence of an
extradition treaty these nations usually require at least the
possibility of reciprocity.
This provision would amend current extradition law to: (1) authorize
the U.S. to extradite offenders to treaty partners for modern crimes
that may not be included in our older list treaties with those
countries; and (2) provide for on a case-by-case basis and with the
approval of the Attorney General and the Secretary of State extradition
from the United States for serious crimes even in the absence of an
extradition treaty.
Title IV: Enhancing Prosecution and Prevention of Terrorist Crimes
Subtitle A: Increased Penalties and Protections Against Terrorist Acts
Section 401: Terrorism Hoaxes.
In the wake of the anthrax attacks in the fall of 2001, a number of
individuals chose to perpetrate terrorism hoaxes (e.g., sending
unidentified white powder in a letter with the intent that the
recipient believe it to be anthrax). Such hoaxes divert law-enforcement
and emergencyservices resources, and thus impede our ability to respond
to actual terrorist events. Current federal law does not adequately
address the problem of hoaxes relating to various weapons of mass
destruction. At present, the primary way to prosecute terrorism hoaxes
is to use "threat" statutes--e.g., 18 U.S.C. § 2332a, which
criminalizes certain threats to use a weapon of mass destruction, and
18 U.S.C. § 876, which criminalizes the use of the mails to threaten
injury to a person. But some terrorism hoaxes are simply false reports
that cannot easily be characterized as outright threats.
This section would amend federal law to create a new prohibition on
terrorism hoaxes. In particular, it would (1) make it unlawful to
knowingly convey false or misleading information, where the information
reasonably may be believed, and concerns criminal activity relating to
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weapons of mass destruction; (2) require criminal defendants to
reimburse any person, including the United States, State and local
first responders who incur expenses incident to an emergency or
investigative response to the terrorism hoax; and (3) authorize a civil
action for such expenses.
Section 402: Providing Material Support to Terrorism.
18 U.S.C. § 2339A's prohibition on providing material support to
terrorists is unnecessarily narrow; it currently does not reach all
situations where material support o resources are provided to
facilitate the commission of "international terrorism." Rather, § 2339A
only encompasses those acts of international terrorism which are
prohibited by some other federal statute. Because, unlike the existing
underlying offenses in § 2339A(a), "international terrorism" per se is
not an offense under Title 18, it is prudent to establish unassailable
constitutional bases for prohibiting such support. The first basis is
if the material support is in or affects interstate or foreign
commerce. The second basis is the regulation and control over the
activities of U.S. nationals and U.S. legal entities who are outside
the United States. Such control is based on, among others, the United
States' constitutional foreign affairs power. In addition, this section
amends the definition of "international terrorism" to make it clear
that it covers acts which by their nature appear to be intended for the
stated purposes. Hence, there would be no requirement to show that the
defendants actually had such an intent. (There is a conforming
amendment to the definition of "domestic terrorism" to maintain the
existing parallel between the two definitions.)
Second, one court of appeals recently has questioned whether the
current prohibition in 18 U.S.C. § 2339B on providing "training" or
"personnel" to terrorist organizations designated under section 219 of
the Immigration and Nationality Act are unconstitutionally vague. See Humanitarian Law Project v. Reno, 205 F.3d 1130 (9th Cir. 2000), cert. denied, 121 S. Ct. 1226 (2001). But see United States v. Lindh,
___ F. Supp. 2d (E.D. Va. 2002) (rejecting the holding of Humanitarian
Law Project). Subsection (b) would amend the pertinent statutes to
remove any possible doubts about the scope of the prohibition. In
particular, "training" would now be defined as "instruction or teaching
designed to impart a specific skill." And criminal liability for
"personnel" would apply to "knowingly provid[ing], attempt[ing] to
provide, or conspir[ing] to provide a terrorist organization with one
or more individuals (including himself) to work in concert with it or
under its direction or control."
Section 403: Weapons of Mass Destruction.
At present, the federal weapons of mass destruction statute, 18
U.S.C. § 2332a, contains only one of the several constitutional bases
for asserting federal jurisdiction over a terrorist attack involving
weapons of mass destruction in certain circumstances: if the attack is
against a person or property and "affect[s] interstate commerce." Id. §
2332a(a)(2). This provision would amend the statute to specifically
cover property and persons in three other circumstances where federal
jurisdiction constitutionally can be asserted: (1) if the mail or any
facility of interstate or foreign
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commerce is used in furtherance of the offense; (2) if the attacked
property is used in interstate or foreign commerce, or in an activity
that affects interstate or foreign commerce; or (3) if any perpetrator
travels in or causes another to travel in interstate or foreign
commerce in furtherance of the offense.
Second, with respect to attacks on government buildings, the WMD
statute only applies to attacks on property owned by the United States.
It currently does not directly criminalize attacks on foreign
governments' property in the United States. This section therefore
amends the statute, in new Subsection 2332a(a)(4), to provide for
jurisdiction where the property against which the weapon of mass
destruction is directed is property within the United States that is
owned, leased, or used by a foreign government. (The term "foreign
government" is defined in 18 U.S.C. § 11.)
Third, the current version of the WMD statute does not prohibit the
use of chemical weapons; in fact, it expressly states that it does not
apply to attacks carried out with "a chemical weapon as that term is
defined in section 229F." 18 U.S.C. § 2332a(a), (b). This restriction
was added in the implementing legislation for the Chemical Weapons
Convention on October 22, 1998. Removing "chemical weapons" from the
ambit of the WMD statute has proven improvident, as it has created
needless factual confusion in situations where the WMD contains
explosive materials but no toxic chemicals, and where it contains toxic
chemicals in addition to the explosive material. Since most chemical
weapons will always contain some explosive material in order to cause
the dispersal of the toxic chemical, it makes little sense to
arbitrarily limit the scope of the use of WMD statute since the damage
resulting from its use can be caused by either the explosive material,
or the toxic chemicals, or a combination of both. Restoring "chemical
weapons" to the scope of the WMD statute eliminates a defendant's
ability to make technical arguments that the prosecutor has charged
under the wrong statute.
In addition to making the foregoing changes in the WMD statute, this
section includes a technical amendment to 18 U.S.C. 175b (relating to
biological agents and toxins), to correct a cross-reference to a
related regulation which has been modified.
Section 404: Use of Encryption to Conceal Criminal Activity.
In recent years, terrorists and other criminals have begun to use
encryption technology to conceal their communications when planning and
conducting criminal activity. Title 18 of the United States Code
currently contains no prohibition on the use of encrypted
communications to plan or facilitate crimes. This proposal would amend
federal law to provide that any person who, during the commission of or
the attempt to commit a federal felony, knowingly and willfully uses
encryption technology to conceal any incriminating communication or
information relating to that felony, be imprisoned for an additional
period of not fewer than 5 years. These additional penalties are
warranted to deter the use of encryption technology to conceal criminal
activity. In addition, it does not address the issue of whether
software companies and internet service
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providers should give law enforcement access to "keys" for the purposes of decoding intercepted communications.
Sec. 405. Presumption for Pretrial Detention in Cases Involving Terrorism
Defendants in federal cases who are accused of certain crimes are
presumptively denied pretrial release. 18 U.S.C. § 3142(e).
Specifically, for these crimes, there is a rebuttable presumption that
"no condition or combination of conditions will reasonably assure the
appearance of the person as required and the safety of the community."
The list of crimes currently includes drug offenses carrying maximum
prison terms of 10 years or more, but it does not include most
terrorism offenses. Thus, persons accused of many drug offenses are
presumptively to be detained before trial, but no comparable
presumption exists for persons accused of most terrorist crimes.
This section would amend 18 U.S.C. § 3142(e) to presumptively deny
release to persons charged with crimes listed in 18 U.S.C. §
2332b(g)(5)(B), which contains a standard list of offenses that are
likely to be committed by terrorists. This presumption is warranted
because of the unparalleled magnitude of the danger to the United
States and its people posed by acts of terrorism, and because terrorism
is typically engaged in by groups -- many with international
connections -- that are often in a position to help their members flee
or go into hiding.
In addition to adding terrorism offenses to those creating a
presumption in favor of detention, this section makes conforming
changes in a provision describing offenses for which pretrial detention
may be considered (§ 3142(f)(1)) and in a provision identifying factors
to be considered by the judicial officer in determining whether the
defendant's appearance and public safety can reasonably be assured
through release conditions (§ 3142(g)(1)).
Section 406: "Mass Transportation Vehicle" Technical Correction.
Richard Colvin Reid has been charged with attempting to blow up
American Airlines Flight 63 with bombs concealed in his shoes, while
over the Atlantic Ocean en route from Paris to Miami. The plane was
immediately diverted to Boston. A federal grand jury sitting in the
District of Massachusetts promptly indicted Reid on a variety of
federal charges, including 18 U.S.C. § 1993, which prohibits wrecking a
"mass transportation vehicle." (Section 1993 authorizes an aggravated
penalty of up to life imprisonment when a passenger was on the mass
transportation vehicle, whereas an ordinary charge under 18 U.S.C. §
32(b) permits only a 20-year prison term where no death resulted.)
The phrase "mass transportation" in section 1993 is defined by a
cross-reference to 49 U.S.C. § 5302(a)(7) (the term also includes
schoolbus, charter, and sightseeing transportation, 18 U.S.C. §
1993(c)(5)). In contrast to the phrase "mass transportation," the word
"vehicle" has no
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explicit definition in section 1993, nor is it defined in section
5302. Reid argued that an airplane is not a "vehicle" as that term is
used in section 1993, and the district court dismissed that count of
the indictment. See United States v. Reid, 206 F. Supp. 2d 132 (D. Mass. 2002) (citing McBoyle v. United States,
283 U.S. 25 (1931) (holding that an "aircraft" is not a "vehicle" under
1 U.S.C. § 4)). This proposal specifically provides a definition of
"vehicle" for the purpose of 18 U.s.c. § 1993. This definition is
broad, including any apparatus that may be used as a vehicle. This
provision also would make technical amendments to the relevant chapter
and section names.
Section 407: Acts of Terrorism Transcending National Boundaries.
18 U.S.C. § 2332b covers killings and other serious violent crimes
against persons in the United States, where "conduct transcending
national boundaries" is involved. Among other grounds, federal
jurisdiction exists if "any facility of interstate or foreign commerce
is used in furtherance of the offense," or if the offense affects
interstate or foreign commerce. However, the statute's jurisdictional
predicates are narrower than the limits contained in the Constitution.
For example, the predicates do not include travel in interstate or
foreign commerce in furtherance of the offense. This proposal would
expand the bases for federal jurisdiction under § 2332b, including as a
jurisdictional predicate travel in interstate or foreign commerce in
furtherance of the offense.
The current version of § 2332b is deficient for the additional
reason that it defines "facility of interstate or foreign commerce" to
have the same meaning given that term in 18 U.S.C. § 1958(b)(2). But §
1958(b)(2) only defines "facility of interstate commerce" (to include "means of transportation and communication"), and makes no mention of foreign
commerce. As a result, § 2332b is ambiguous on whether the same
stipulation--that "means of transportation and communication"
constitute a "facility of... commerce"--applies with respect to
facilities of foreign commerce. This section therefore would correct 18
U.S.C. § 1958(b)(2) so that it refers to "facility of interstate or
foreign commerce" rather than simply "facility of interstate commerce."
Section 408: Postrelease Supervision of Terrorists.
Section 812 of the USA PATRIOT Act added 18 U.S.C. § 3583(j), which
authorizes up to lifetime postrelease supervision for the perpetrators
of terrorist offenses. In contrast, the maximum supervision period for
the most serious crimes under the general rule of 18 U.S.C. § 3583(b)
is five years, and for most offenses it is three years or less. The
reform adopted in the USA PATRIOT Act reflects the continuing danger to
the United States and its people that convicted terrorists may pose
even after completion of a term of imprisonment, and legislative
recognition that involvement by offenders in terrorism may be the
result of persistent (or lifelong) ideological commitments that will
not simply disappear within a few years of release.
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This section of the bill makes conforming amendments needed to
ensure the effectiveness of the. USA PATRIOT Act reform. In part, it
makes conforming amendments in provisions affecting reimprisonment on
revocation of supervised release based on violations of release
conditions. Currently, 18 U.S.C. § 3583(e)(3) limits imprisonment
following revocation to five years in case of a class A felony, three
years in case of a class B felony, two years in case of a class C or D
felony, and one year otherwise. The amendments in this section do not
change these maximum periods of reimprisonment, but they amend §
3583(e)(3) to make it clear that they are limitations on reimprisonment
based on a particular revocation, rather than limits on aggregate
reimprisonment for an offender who persistently violates release
conditions and is subject to multiple revocations on that basis.
The bill also makes a complementary change in 18 U.S.C. § 3583(h).
Section 3583(h) currently provides that the court may impose a term of
supervised release to follow reimprisonment based on revocation of
release--but not if the maximum reimprisonment term allowed by §
3583(e)(3) was imposed. Thus, the court is barred from imposing the
maximum reimprisonment term--even if the maximum term is fully
warranted by the nature of the offender's violation of release
conditions and resulting danger to the public--if the court wants to
preserve the option of providing further supervision for the offender
once the term of reimprisonment is over. Since this limitation works
against the effective supervision of released terrorists and protection
of the public, the bill proposes that it be eliminated.
In addition, this section provides that the sentence for a terrorist
offense within the scope of 18 U.S.C. § 3583(j) must include a term of
supervised release of at least 10 years. By way of comparison,
provisions of the drug laws that authorize extended postrelease
supervision periods for certain drug offenses mandate that the sentence
impose supervision terms of at least 10 years, eight years, six years,
five years, four years, three years, two years, or one year for various
offenses and offenders. See 21 U.S.C. § 841. The corresponding proposal
for terrorists in this bill reflects the judgment that persons
convicted of terrorist crimes generally pose a sufficient public safety
concern that they should uniformly be subject to observation for a
substantial period of time following release. This does not curtail the
court's normal authority to revisit the period of supervision imposed
in the sentence at any time after one year of release, and to shorten
or terminate supervision if appropriate. See 18 U.S.C. § 3583(e)(1). It
does, however, reflect a judgment that the period of monitoring and
oversight for offenders convicted of terrorist crimes should at least
be 10 years following release, unless the court affirmatively
determines thereafter that further supervision is unwarranted.
This section broadens the class of offenses subject to extended
supervision periods under 18 U.S.C. § 3583(j) by deleting a limitation
to offenses which result in, or create a foreseeable risk of, death or
serious injury. With this amendment, the provision includes all
offenses in the standard list of crimes likely to be committed by
terrorists and supporters of terrorism (see 18 U.S.C. §
2332b(g)(5)(B)). The existing limitation could complicate or prevent
the imposition of
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appropriate supervision periods on persons convicted of non-violent
terrorist offenses--such as a cyberterrorism attack on the United
States that results in tens of billions of dollars of economic
damage--and on persons who provide the essential financial or other
material support for the apparatus of terrorism, but do not directly
engage themselves in violent terrorist acts. The continuing danger
posed to the national security by such persons may be no less than that
posed by the direct perpetrators of terrorist violence, and the courts
should be afforded the same degree of discretion in prescribing
postrelease supervision in their cases.
Section 409: Suspension, Revocation, and Denial of Certificates for Civil Aviation or National Security Reasons.
This section provides procedures for the suspension, revocation, and
denial of pilot certificates in relation to persons who pose a threat
to civil aviation or national security. There is an immediate practical
need for clarification and confirmation of the authority of the Under
Secretary of Transportation for Security and the Federal Aviation
Administration (FAA) in this area because there are several pending
challenges to FAA revocations by persons whose certificates were
revoked following notification that they "were known to pose, or
suspected of posing, a risk of air piracy or terrorism or a threat to
airline or passenger safety" (49 U.S.C. § 114(h)(2)).
Section 410: No Statute of Limitations for Terrorism Crimes.
This section broadens the class of offenses that may be prosecuted
without limitation of time under 18 U.S.C. § 3286(b) by deleting a
limitation to offenses which result in, or create a foreseeable risk
of, death or serious injury. With this amendment, the provision
includes all offenses in the standard list of crimes likely to be
committed by terrorists and supporters of terrorism (see 18 U.S.C. §
2332b(g)(5)(B)). The existing limitation could complicate or prevent
the prosecution of persons convicted of non-violent terrorist
offenses--such as a cyberterrorism attack on the United States that
results in tens of billions of dollars of economic damage--and of
persons who provide the essential financial or other material support
for the apparatus of terrorism, but do not directly engage themselves
in violent terrorist acts. The continuing danger posed to the national
security by such persons may be no less than that posed by the direct
perpetrators of terrorist violence, and they should not be entitled to
permanent immunity from prosecution merely because they have succeeded
in avoiding identification and apprehension for some period of time.
Section 411: Penalties for terrorist murders.
Existing law does not consistently provide adequate maximum
penalties for fatal acts of terrorism. For example, in a case in which
a terrorist caused massive loss of life by sabotaging a national
defense installation in violation of 18 U.S.C. § 2155, sabotaging a
nuclear facility in
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violation of 42 U.S.C. § 2284, or destroying an energy facility in
violation of 18 U.S.C. § 1366, there would be no possibility of
imposing the death penalty under the statutes defining these offenses
because they contain no death penalty authorizations.
In contrast, dozens of other federal violent crime provisions
authorize up to life imprisonment or the death penalty in cases where
victims are killed. There are also cross-cutting provisions which
authorize these sanctions for specified classes of offenses whenever
death results, such as 18 U.S.C. § 2245, which provides that a person
who, in the course of a sexual abuse offense, "engages in conduct that
results in the death of a person, shall be punished by death or
imprisoned for any term of years or for life."
This section similarly authorizes uniformly up to life imprisonment
or the death penalty for conduct resulting in death that occurs in the
course of the offenses likely to be committed by terrorists that are
listed in 18 U.S.C. § 2232b(g)(5)(B) or in the course of terrorist
activities as defined in 18 U.S.C. § 2510 under the amendment in
section 121 of this bill.
This section also adds the new provision covering terrorist offenses
resulting in death (proposed 18 U.S.C. § 2339D) to the list of offenses
in 18 U.S.C. § 3592(c)(1) whose commission permits the jury to consider
imposition of the death penalty. This will make the option of capital
punishment available more consistently in cases involving fatal
terrorist crimes. The imposition of capital punishment in such cases
will continue to be subject to the requirement under 18 U.S.C. § 3591
that the offender have a high degree of culpability with respect to the
death of the victim or victims, and to the requirement that the jury
conclude that the death penalty is warranted under the standards and
procedures of 18 U.S.C. § 3593.
Subtitle B: Incapacitating Terrorism Financing
Section 421: Increased Penalties for Terrorism Financing.
At present, the maximum civil penalty for violations of the
International Emergency Economic Powers Act, 50 U.S.C. § 1701 et seq.,
is only $10,000 per violation, see 50 U.S.C. § 1705. This is a
relatively mild maximum fine; the civil penalty for violations of the
Clean Water Act, for example, is filly $25,000 for each day the
violation persists. See 33 U.S.C. § 1319(d). IEEPA's modest civil
penalty may not adequately deter individuals who are considering
engaging in economic transactions that finance terrorist organizations,
or otherwise trading with prohibited persons. And given the severity of
terrorist threats, and the consequences of a successful terrorist
attack, the United States should be able to punish those who finance
terrorism at least as severely as it can punish polluters. This
proposal therefore would amend IEEPA to increase the maximum civil
penalty amount from $10,000 per violation to $50,000 per violation.
Section 422: Money Laundering Through Hawalas
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Under federal law, a financial transaction constitutes a money
laundering offense only if the funds involved in the transaction
represent the proceeds of some criminal offense. See 18 U.S.C. §
1956(a)(1) ("represents the proceeds of some form of unlawful
activity"); 18 U.S.C. § 1957(f)(2) ("property constituting, or derived
from, proceeds obtained from a criminal offense"). There is some
uncertainty, however, as to whether the "proceeds element" is satisfied
as to all aspects of a money laundering scheme when two or more
transactions are conducted in parallel. For example, consider the
following transaction: A sends drug proceeds to B, who deposits the
money in Bank Account 1. Simultaneously or subsequently, B takes an
equal amount of money from Bank Account 2 and sends it to A, or to a
person designated by A. The first transaction from A to B clearly
satisfies the proceeds element of the money laundering statute, but
there is some question as to whether second transaction--the one that
involves only funds withdrawn from Bank Account 2--does so. The
question has become increasingly important because such parallel
transactions are the technique used to launder money through hawalas
and the Black Market Peso Exchange.
Several courts have addressed related issues, holding that both
parts of the parallel or later transaction (sometimes called a
"dependent" transaction because it would not have occurred but for the
first transaction) involve criminal proceeds for purposes of the money
laundering statute. See United States v. Covey, 232 F.3d 641
(8th Cir. 2000) (where defendant receives cash from drug dealer, and
gives drug dealer checks drawn on own funds in return, transfer of
checks is a money laundering offense involving SUA proceeds); United States v. Mankarious,
151 F.3d 694 (7th Cir. 1998) (if check constituting SUA proceeds is
deposited in bank account, and second check is written on that account,
second check constitutes proceeds, even if first check has not yet
cleared); United States v. Farrington, 2000 WL 1751996 (D.V.I.
2000) (if check constituting SUA proceeds is deposited into bank
account, and second check is drawn on same account on same day, second
check is SUA proceeds, even though first check has not yet cleared).
This proposal is intended to remove all uncertainty on this point by
providing that all constitute parts of a set of parallel or dependent
transactions involve criminal proceeds if one such transaction does so.
Section 423: Suspension of Tax-Exempt Status of Designated Foreign Terrorist Organizations.
A group that the United States formally designates as a "terrorist
organization" is liable, among many measures, to have their assets
frozen and their members barred from entering the United States.
However, under current law, "terrorist organizations" that have
registered as taxexempt organizations under section 501 of the Internal
Revenue Code can retain their taxexempt status. And individuals who
contribute to these designated "terrorist organizations" still are able
to deduct those contributions.
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This section amends section 501 of the Internal Revenue Code to
suspend automatically the tax exempt status of any group upon its
designation as a "terrorist organization" under the several
authorities. It also denies deductions for any donations made to such
organizations during the period of suspension.
Section 424: Denial of Federal Benefits to Terrorists.
Current law allows federal courts to deny federal benefits to
persons who have been convicted of drug-trafficking or drug-possession
crimes. 21 U.S.C. § 862. As a result, these convicts can be prohibited,
for periods of up to life, from receiving grants, contracts, loans,
professional licenses, or commercial licenses that are provided by a
federal, agency or out of appropriated funds. But despite the fact that
terrorism is at least as dangerous to the United States' national
security as drug offenses, there presently is no legal authority to
deny federal benefits to persons who have been convicted of terrorism
crimes. This section would eliminate this inconsistency, and ensure
that the same disincentives that the law creates with respect to drug
crimes are available in the terrorism context, as well. Specifically,
it would give federal courts the authority to deny federal benefits to
any person convicted of an offense listed in 18 U.S.C. § 2332b(g)(5)(B).
Section 425: Corrections to Financing of Terrorism Statute.
This section corrects a number of drafting errors in the recently
enacted financing of terrorism statute, 18 U.S.C. § 2339C, and supplies
a definition for the term "material support or resources" as used in
that statute by cross-referencing the existing definition in 18 U.S.C.
§ 2339A(b).
Section 426: Terrorism-related specified activities for money laundering.
This section adds three terrorism-related provisions to the list of
specified unlawful activities that serve as predicates for the money
laundering statute, 18 U.S.C. § 1956. Subsection (a) adds as a RICO
predicate the offense in 18 U.S.C. § 1960 (relating to illegal money
transmitting businesses), which has the effect of making this offense a
money laundering predicate through the cross-reference in 18 U.S.C. §
1956(b)(7)(A). Subsection (b) directly adds as money laundering
predicates the new terrorist-financing offense in 18 U.S.C. § 2339C and
the offense of misusing social security numbers under 42 U.S.C. § 408.
Section 427: Assets of Persons Committing Terrorist Acts Against Foreign Countries or International Organizations.
The USA PATRIOT Act enacted a new forfeiture provision at 18 U.S.C.
§ 981(a)(1)(G) pertaining to the assets of any person planning or
perpetrating an act of terrorism against the
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United States. This section adds a parallel provision pertaining to
the assets of any person planning or perpetrating an act of terrorism
against a foreign state or international organization while acting
within the jurisdiction of the United States.
Section 428: Technical and Conforming Amendments Relating to the USA PATRIOT Act.
This section makes a number of corrections relating to provisions of
the USA PATRIOT Act, mostly affecting money laundering or asset
forfeiture. While essentially technical in nature, these amendments are
critical, because typographical and other errors in the USA PATRIOT Act
provisions are preventing prosecutors from fully utilizing that Act's
tools. For example, certain new forfeiture authorities enacted by that
Act refer to a non-existent statute, 31 U.S.C. § 5333, where 31 U.S.C.
§ 5331 is intended.
Subsection (a) makes technical corrections to a number of provisions
in the USA PATRIOT Act. Subsection (b) codifies section 316(a)-(c) of
that Act as 18 U.S.C. § 987. Subsection (c) adds explicit language
covering conspiracies to two offenses likely to be committed by
terrorists (18 U.S.C. § 33 and 1366), conforming to section 811 of the
USA PATRIOT Act, which added conspiracy language to other terrorism
offense provisions.
Title V: Enhancing Immigration and Border Security
Section 501: Expatriation of Terrorists.
Under 8 U.S.C. § 1481, an American can lose his citizenship by
voluntarily, and with the intent to relinquish nationality, taking any
of a number of actions, including: (1) obtaining Nationality in a
foreign state; (2) taking an oath of allegiance to a foreign state;
and, most importantly, (3) serving in the armed forces of a foreign
state that are engaged in hostilities against the United States. The
current expatriation statute does not, however, provide for the
relinquishing of citizenship in cases where an American serves in a
hostile foreign terrorist organization. It thus fails to take account
of the myriad ways in which, in the modern world, war can be waged
against the United States.
This provision would amend 8 U.S.C. § 1481 to make clear that, just
as an American can relinquish his citizenship by serving in a hostile
foreign army, so can he relinquish his citizenship by serving in a
hostile terrorist organization. Specifically, an American could be
expatriated if, with the intent to relinquish nationality, he becomes a
member of, or provides material support to, a group that the United
States has designated as a "terrorist organization," if that group is
engaged in hostilities against the United States.
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This provision also would make explicit that the intent to
relinquish nationality need not be manifested in words, but can be
inferred from conduct. The Supreme Court already has recognized that
intent can be inferred from conduct. See, e.g., Vance v. Terrazas,
444 U.S. 252, 260 (1980) (recognizing that the "intent to relinquish
citizenship ... . [can be] expressed in words or. . . found as a fair
inference from proved conduct"); see also King v. Rogers, 463
F.2d 1188, 1189 (9th Cir. 1972) ("[S]pecific subjective intent to
renounce United States citizenship... may [be] prove[d].. . by evidence
of an explicit renunciation, acts inconsistent with United States
citizenship, or by affirmative voluntary act[s] clearly manifesting a
decision to accept [foreign] nationality." (citations omitted)); United States v. Schffer,
831 F. Supp. 1166, 1194 (E.D. Pa. 1993) ("Specific intent may.. . be
proven by evidence of what steps the alleged expatriate did or did not
take in connection with his expatriating acts."), aff'd without
opinion, 31 F.3d 1175 (3rd Cir. 1994). Specifically, this proposal
would make service in a hostile army or terrorist group prima facie
evidence of an intent to renounce citizenship.
Section 502: Enhanced Criminal Penalties for Violations of Immigration and Nationality Act.
Aliens all too frequently flaunt the requirements of the Immigration
and Nationality Act because that statute does not include effective
criminal deterrence. There are minimal criminal penalties directly
attached to fundamental violations, or there is no effective
prosecution of fraudulent documents, marriage fraud, or unlawful
employment of aliens. Criminal penalties in some cases are misdemeanors
or require that a pattern and practice of violations be shown to
warrant felony punishment. This provision would amend the INA to
increase the penalties for a number of immigration crimes, including
unlawful entries, alien-smuggling crimes, crimes involving fraud, and
failures to depart.
Section 503: Inadmissibility and Removability of National Security Aliens or Criminally Charged Aliens.
The Attorney General does not have sufficient authority to bar an
alien from the United States, or to remove an alien from the United
States, on the basis of national security. The direct authority for
barring admission or removing an alien does not provide sufficient
authority for action based strictly on national security grounds. This
provision would give the Attorney General sufficient authority to deny
admission to the United States, or to remove from the United States,
those individuals whom the Attorney General has reason to believe would
pose a danger to the national security of the United States, based on
the statutory definition of "national security" under the Act in
connection with the designation of foreign terrorist organizations. The
new ground of admissibility, and the new ground of removal, would
parallel the authority currently granted to the Secretary of State in
INA § 212(a)(3)(C)(i) to determine that an alien's entry or activities
the Secretary has reasonable grounds to believe would have potentially
serious adverse foreign policy consequences for the United States,
thereby making the alien excludable.
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In this case, the Attorney General must have reason to believe that
the alien poses a danger to the national security of the United States
and may deny admission. In addition, this provision would give the
Attorney General the authority to bar from the United States aliens who
have been convicted of, or charged with, serious crimes in other
countries.
Section 504: Expedited Removal of Criminal Aliens.
Current law provides for the expedited removal of aliens in very
limited circumstances. Expedited removal enables the government to
quickly remove from the United States certain aliens who have been
convicted of certain crimes, and renders the aliens ineligible for
"discretionary relief." The expedited removal authorities (set forth in
section 238(b) of the Immigration and Nationality Act, 8 U.S.C. §
1228(b)) only apply to nonpermanent resident aliens. In addition, only
"aggravated felonies" can trigger expedited removal. But once an alien
has been convicted of a criminal offense, any additional administrative
process is unnecessary: a court has already found, beyond a reasonable
doubt, that the alien has committed the acts which render him
removable. Nor is there any reason to distinguish between aliens who
are permanent residents and aliens who are not: for both types of
aliens, the fact of a criminal conviction suffices to establish that a
person is removable.
This provision would strengthen the existing expedited removal
authorities in several ways. First, it would expand the individuals
subject to expedited removal to include all aliens, not just
nonpermanent residents. Second, it would expand the
expedited-removal-triggering crimes to include some of the offenses
listed in INA § 237(a)(2)(A), (B), (C) & (D), including possession
of controlled substances, firearms offenses, espionage, sabotage,
treason, threats against the President, violations of the Trading with
the Enemy Act, draft evasion, and certain alien smuggling crimes.
Perversely, many of these offenses are far more serious than
"aggravated felonies," and yet at present do not trigger expedited
removal.
In addition, this provision would curtail the authorities for
contested judicial removal currently codified at INA § 238(c) (8 U.S.C.
§ 1228(c)). Contested judicial removal has been seldom utilized because
its procedures are unduly cumbersome. They require the prosecutor and
district judge to try immigration relief issues which are outside their
areas of expertiseissues that particularly in the criminal context are
properly committed to the Attorney General's discretion. The existing
process also requires the INS Commissioner to make multiple
submissions, once in presenting the immigration charges and basis, and
then in responding to any relief request the aliens might make in the
proceeding. The entire process significantly expands the scope of the
criminal trial. The proposal to expand the streamlined administrative
process to cover more aliens and more crimes would render contested
judicial removal largely superfluous. This amendment would, however,
preserve stipulated judicial orders as under existing subsection
(c)(5). The amendment also would correct a technical error in the
section numbering.
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Section 505: Clarification of Continuing Nature of
Failure-to-Depart Offense, and Deletion of Provisions on Suspension of
Sentence.
The existing offense of failing to depart is defined in section
243(a)(1)(A) of the Immigration and Nationality Act (8 U.S.C. §
1253(a)(1)(A)). The statute applies to an alien's failure to depart
"within a period of 90 days from the date of the final order." While
this provision reasonably can be interpreted as a continuing offense,
it is conceivable that aliens who have willfully remained in the United
States for several years after a final order of removal might claim
that prosecution is barred by the 5 year period of limitations. (18
U.S.C. § 3282).
This amendment would clarify existing law by making it explicit that
a willful failure to depart is a continuing offense. Specifically, it
would amend section 243(a)(1)(A) to expressly state that it is unlawful
for any alien against whom a final order of removal is outstanding
willfully to remain in the United States more than 90 days after the
date of the final order of removal under administrative processes, or
if judicial review is had, then more than 90 days after the final order
of the court.
Subsection (b) of this proposal eliminates the authority of courts
under 8 U.S.C. § 1253(a) to suspend for good cause the sentence of an
alien convicted of failure to depart. This authority is inconsistent
with the general principles of federal sentencing law, including the
1984 Sentencing Reform Act which, among other things, abolished
suspension of sentence generally for federal offenses. The ability of
courts to suspend sentences for failure to depart renders the potential
criminal penalties for this offense ineffective. The Department does
not expect that subsection (b) would be applied retroactively to
offenders whose offenses occurred prior to the date of enactment.
Section 506: Additional Removal Authorities.
This section augments the specification of places to which aliens
may be removed under 8 U.S.C. § 123 1(b), to provide additional options
where the alien cannot be removed to any country currently specified in
the statute.
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A BILL
To enhance the domestic security of the United States of America, and for other purposes.
- Be it enacted by the Senate and House of Representatives of the United States of
- America in Congress assembled,
- SECTION 1. SHORT TITLE; TABLE OF CONTENTS.
- (a) SHORT TITLE. -- This Act may be cited as the "Domestic Security Enhancement Act
- of 2003."
- (b) TABLE OF CONTENTS. -- The table of contents of this Act is as follows:
- Sec. 1. Short Title; Table of Contents.
- TITLE I -- ENHANCING NATIONAL SECURITY AUTHORITIES
- Subtitle A: Foreign Intelligence Surveillance Act Amendments
- Sec. 101. Individual Terrorists as Foreign Powers.
- Sec. 102. Clandestine Intelligence Activities by Agent of a Foreign Power.
- Sec. 103. Strengthening Wartime Authorities Under FISA.
- Sec. 104. Strengthening FISA's Presidential Authorization Exception.
- Sec. 105. Law Enforcement Use of FISA Information.
- Sec. 106. Defense of Reliance on Authorization.
- Sec. 107. Pen Registers in FISA Investigations.
- Sec. 108. Appointed Counsel in Appeals to FISA Court of Review.
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- Sec. 109. Enforcement of Foreign Intelligence Surveillance Court Orders.
- Sec. 110. Technical Correction Related to the USA PATRIOT Act.
- Sec. 111. International Terrorist Organizations as Foreign Powers.
- Subtitle B: Enhancement of Law Enforcement Investigative Tools
- Sec. 121. Definition of Terrorist Activities.
- Sec. 122. Inclusion of Terrorist Activities as Surveillance Predicates.
- Sec. 123. Extension of Authorized Periods Relating to Surveillance and Searches in
- Investigations of Terrorist Activities.
- Sec. 124. Multi-function Devices.
- Sec. 125. Nationwide Search Warrants in Terrorism Investigations.
- Sec. 126. Equal Access to Consumer Credit Reports.
- Sec. 127. Autopsy Authority.
- Sec. 128. Administrative Subpoenas in Terrorism Investigations
- Sec. 129. Strengthening Access to and Use of Information in National Security
- Investigations.
- TITLE II -- PROTECTING NATIONAL SECURITY INFORMATION
- Sec. 201. Prohibition of Disclosure of Terrorism Investigation Detainee Information.
- Sec. 202. Distribution of "Worst Case Scenario" Information.
- Sec. 203. Information Relating to Capitol Buildings.
- Sec. 204. Ex Parte Authorizations Under Classified Information Procedures Act.
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- Sec. 205. Exclusion of United States Security Requirements from Gross Income of
- Protected Officials.
- Sec. 206. Grand Jury Information in Terrorism Cases.
- TITLE III -- ENHANCING INVESTIGATIONS OF TERRORIST PLOTS
- Subtitle A: Terrorism Identification Database
- Sec. 301. Short Title.
- Sec. 302. Collection and Use of Identification Information from Suspected Terrorists and
- Other Sources.
- Sec. 303. Establishment of Database to Facilitate Investigation and Prevention of Terrorist
- Activities.
- Sec. 304. Definitions.
- Sec. 305. Existing Authorities.
- Sec. 306. Conditions of Release.
- Subtitle B: Facilitating Information Sharing and Cooperation
- Sec. 311. State and Local Information Sharing.
- Sec. 312. Appropriate Remedies with Respect to Law Enforcement Surveillance Activities.
- Sec. 313. Disclosure of Information.
- Subtitle C: Facilitating International Terrorism Investigations
- Sec. 321 Authority to Seek Search Warrants and Orders to Assist Foreign States.
- Sec. 322. Extradition Without Treaties and for Offenses Not Covered by an Existing Treaty.
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- TITLE IV -- ENHANCING PROSECUTION AND PREVENTION OF TERRORIST
- CRIMES
- Subtitle A: Increased Penalties and Protections Against Terrorist Acts
- Sec. 401. Terrorism Hoaxes.
- Sec. 402. Providing Material Support to Terrorism.
- Sec. 403. Weapons of Mass Destruction.
- Sec. 404. Use of Encryption to Conceal Criminal Activity.
- Sec. 405. Presumption for Pretrial Detention in Cases Involving Terrorism, Firearms,
- Explosives, or Serious Violent Felonies.
- Sec. 406. "Mass Transportation Vehicle" Technical Correction.
- Sec. 407. Acts of Terrorism Transcending National Boundaries.
- Sec. 408. Postrelease Supervision of Terrorists.
- Sec. 409. Suspension, revocation, and denial of certificates for civil aviation or national
- security reasons.
- Sec. 410. No Statute of Limitations for Terrorism Offenses.
- Sec. 411. Penalties for Terrorist Murders.
- Subtitle B: Incapacitating Terrorism Financing
- Sec. 421. Increased Penalties for Terrorism Financing.
- Sec. 422. Money Laundering Through Hawalas.
- Sec. 423. Suspension of Tax-Exempt Status of Designated Terrorist Organizations.
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- Sec. 424. Denial of Federal Benefits to Terrorists.
- Sec. 425. Corrections to Financing of Terrorism Statute.
- Sec. 426: Terrorism-Related Specified Activities for Money Laundering.
- Sec. 427: Assets of Persons Committing Terrorist Acts Against Foreign Countries or
- International Organizations.
- Sec. 428: Technical and Conforming Amendments Relating to the USA PATRIOT ACT.
- TITLE V -- ENHANCING IMMIGRATION AND BORDER SECURITY
- Sec. 501. Expatriation of Terrorists.
- Sec. 502. Enhanced Criminal Penalties for Violations of Immigration and Nationality Act.
- Sec. 503. Inadmissibility and Removability of National Security Aliens or Criminally Charged
- Aliens.
- Sec. 504. Expedited Removal of Criminal Aliens.
- Sec. 505. Clarification of Continuing Nature of Failure-to-Depart Offense, and Deletion of
- Provisions on Suspension of Sentence.
- Sec. 506. Additional Countries of Removal.
- Title I: Enhancing National Security Authorities
- Subtitle A: Foreign Intelligence Surveillance Act Amendments
- Sec. 101: Individual Terrorists as Foreign Powers.
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- Section 101(a)(4) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1801(a)(4)) is amended by inserting "or individual" after "group".
- Sec. 102: Clandestine Intelligence Activities by Agent of a Foreign Power.
- Section 101(b)(2)(A) and (B) of the Foreign Intelligence Surveillance Act of 1978 (50
- U.S.C. 1801(b)(2)(A) and (B)) are each amended by striking ", which" and all that follows
- through "States"
- Sec. 103: Strengthening Wartime Authorities Under FISA.
- Sections 111, 309, and 404 of the Foreign Intelligence Surveillance Act of 1978 (50
- U.S.C. 1811, 1829, and 1844) are each amended by inserting after "Congress" the following:
- ", the enactment of legislation authorizing the use of military force, or an attack on the United
- States, its territories or possessions, or its armed forces creating a national emergency."
- Sec. 104: Strengthening FISA's Presidential Authorization Exception.
- Section 102(a)(1)(A)(ii) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1802(a)(1)(A)(ii)) is amended by striking ", other than the spoken communications of
- individuals,".
- Sec. 105: Law Enforcement Use of FISA Information.
- Sections 106(b), 305(c), and 405(b) of the Foreign Intelligence Surveillance Act of 1978
- (50 U.S.C. 1806(b), 1825(c), and 1845(b)) are each amended by striking "the Attorney
- General" and inserting "the Attorney General, the Deputy Attorney General, the Associate
- Attorney General, or an Assistant Attorney General designated by the Attorney General".
- Sec. 106: Defense of Reliance on Authorization.
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- (a) Section 109 of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C. 1809(b))
- is amended by inserting after "jurisdiction" the following: "or was authorized by and
- conducted pursuant to the authorization of the President or the Attorney General".
- (b) Section 307(b) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1827(b)) is amended by inserting after 'jurisdiction" the following: "or was authorized by and
- conducted pursuant to the authorization of the President or the Attorney General".
- Sec. 107: Pen Registers in FISA Investigations.
- Section 402(a)(1) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1842(a)(1)) is amended by striking "not concerning" and all that follows through "intelligence
- activities".
- Sec. 108: Appointed Counsel in Appeals to FISA Court of Review.
- Section 103(b) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C. 1803(b))
- is amended by inserting after the first sentence the following: "The court of review in its
- discretion may appoint counsel, with appropriate security clearance, to defend the denial of
- the application, and such counsel shall be compensated as provided for representation in an
- appellate court case under section 3006A(d) of title 18, United States Code.".
- Sec. 109: Enforcement of Foreign Intelligence Surveillance Court Orders.
- Section 103 of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C. 1803) is
- amended by --
- (1) redesignating subsection (d) as subsection (e); and
- (2) inserting after subsection (c) the following:
- "(d) Enforcement of court's orders.
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- "The court established by subsection (a) shall have the same authority as a United States
- district court to enforce its orders, including the authority to punish any disobedience of such
- orders as contempt of court.".
- Sec. 110: Technical Correction Related to the USA PATRIOT Act.
- Section 224(a) of Pub. L. 107-56 is amended by inserting "204," before "205".
- Sec. 111. International Terrorist Organizations as Foreign Powers.
- (a) Section 101(i) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1801(i)) is amended by striking "or (3)" and inserting "(3), or (4)".
- (b) Section 105(e) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1805(e)) is amended --
- (1) in paragraph (1), by striking "or (3)" and inserting "(3), or (4)"; and
- (2) in paragraph (2), by striking "or against a foreign power as defined in section
- 101(a)(4) that is not a United States person,".
- (c) Section 304(d) of the Foreign Intelligence Surveillance Act of 1978 (50 U.S.C.
- 1824(d)) is amended --
- (1) in paragraph (1), by striking "or (3)" and inserting "(3), or (4)"; and
- (2) in paragraph (2), by striking "or against a foreign power, as defined in section
- 101(a)(4), that is not a United States person,".
- Subtitle B: Enhancement of Law Enforcement Surveillance Tools
- Sec. 121: Definition of Terrorist Activities.
- (a) Section 2510 of title 18, United States Code, is amended --
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- (1) by redesignating paragraphs (20) and (21) as paragraphs (22) and (23)
- respectively; and
- (2) by inserting after paragraph (19) the following:
- "(20) 'terrorist activities' means an offense described in section
- 2332b(g)(5)(B), an offense involved in or related to domestic or international terrorism as
- defined in section 2331, or a conspiracy or attempt to engage in such conduct;
- "(21) 'criminal investigation' includes any investigation of terrorist activities;".
- (b) Section 3127(1) of title 18, United States Code, is amended by inserting "'terrorist
- activities', 'criminal investigation'," after "service',".
- Sec. 122: Inclusion of Terrorist Activities as Surveillance Predicates.
- (a) Section 2516 of title 18, United States Code, is amended --
- (1) in subsection (1)
- (A) in paragraph (c)
- (i) by inserting before "section 1992 (relating to wrecking trains)" the
- following: "section 37 (relating to violence at international airports), section
- 930(c) (relating to attack on federal facility with firearm), section 956 (conspiracy
- to harm persons or property overseas),"; and
- (ii) by inserting before "a felony violation of section 1028" the following:
- "section 1993 (relating to mass transportation systems),".
- (B) in paragraph (q), by striking all that follows the semicolon;
- (C) by redesignating paragraph (r) as paragraph (s); and
- (D) by inserting after paragraph (q) the following:
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- "(r) terrorist activities; or"; and
- (2) in subsection (2)
- (A) by inserting "or activities" before "as to which", and
- (B) by inserting "terrorist activities or" before "the commission".
- (b) Section 2518(7)(a) of title 18, United States Code, is amended --
- (1) by redesignating subparagraphs (ii) and (iii) as subparagraphs (iii) and (iv)
- respectively; and
- (2) by inserting after subparagraph (i) the following:
- "(ii) terrorist activities,".
- (c) Section 3123(b)(1)(D) of title 18, United States Code, is amended by inserting "or
- activities" after "offense".
- (d) Section 3125(a)(1) of title 18, United States Code, is amended --
- (1) in subparagraph (A), by striking "or" at the end;
- (2) by redesignating subparagraph (B) as subparagraph (D); and
- (3) by inserting after subparagraph (A) the following:
- "(B) terrorist activities;
- "(C) conspiratorial activities threatening the national security interest; or".
- (t) Section 3127(2)(A) of title 18, United States Code, is amended to read as
- follows:
- "(A) any district court of the United States (including a magistrate judge of such a
- court) or any United States court of appeals that--
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- "(i) has jurisdiction over the offense or activities being investigated;
- "(ii) is in or for a district in which the provider of wire or electronic
- communication service is located; or
- "(iii) is in or for a district in which a landlord, custodian, or other person
- subject to section 3124(a) or (b) is located; or".
- Sec. 123: Extension of Authorized Periods Relating to Surveillance and Searches in
- Investigations of Terrorist Activities.
- (a) Section 2518 of title 18, United States Code, is amended --
- (1) in subsection (5)
- (A) in the first sentence, by inserting "or, in the case of an interception relating to
- terrorist activities, ninety days" after "thirty days";
- (B) in the second sentence, by striking "Such thirty-day period begins" and
- inserting "These periods begin";
- (C) in the fourth sentence, by inserting "or, in the case of an interception relating
- to terrorist activities, ninety days" after "thirty days"; and
- (D) in the fifth sentence
- (i) by striking "practicable," and inserting "practicable and"; and
- (ii) by striking ", and must terminate" and all that follows through "thirty
- days."; and
- (2) in subsection (6), by inserting in the second sentence after "require" the following:
- "so long as no interval is less than thirty days in the case of an interception relating to
- terrorist activities".
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- (b) Section 2705(a)(2)(A) and (b)(1) of title 18, United States Code, are amended by
- inserting "or the national security" after "individual".
- (c) Section 3123(c)(1) and (2) of title 18, United States Code, are amended by inserting
- after "or, in an investigation of terrorist activities, 120 days" after "sixty days".
- Sec. 124: Multi-function Devices
- (a) Section 2518(4) of title 18, United States Code, is amended by inserting at the end the
- following: "Where a communication device to be monitored under an order authorizing the
- interception of a wire, oral, or electronic communication is capable of performing multiple
- functions, communications transmitted or received through any function performed by the
- device may be intercepted and accessed unless the order specifies otherwise and, upon a
- showing as for a search warrant, the order may authorize the retrieval of other information
- (whether or not constituting or derived from a communication whose interception the order
- authorizes) from the device.".
- (b) Section 2703 of title 18, United States Code, is amended --
- (1) in subsection (a), by striking "court with jurisdiction over the offense under
- investigation or equivalent State warrant" and inserting "court in a district in which the
- provider is located or that has jurisdiction over the offense or activities under
- investigation or equivalent State warrant or pursuant to a court order issued under
- section 2518"; and
- (2) in subsections (b)(1)(A) and (c)(1)(A), by striking "court with jurisdiction over
- the offense under investigation or equivalent State warrant" and inserting "court in a
- district in which the provider is located or that has jurisdiction over the offense or
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- activities under investigation or equivalent State warrant or a court order issued under
- section 2518".
- (c) Section 3123(b) of title 18, United States Code, is amended by inserting at the end the
- following as a flush last sentence: "Where the order relates t& a communication device
- capable of performing multiple functions, a pen register or trap and trace device may be used
- with respect to communications transmitted or received through any function of the device
- unless the order specifies otherwise.".
- Sec. 125: Nationwide Search Warrants in Terrorism Investigations.
- Rule 41 (a)(3) of the Federal Rules of Criminal Procedure is amended --
- (1) by inserting "or of an offense listed in 18 U.S.C. § 2332b(g)(5)(B))" after
- "2331)"; and
- (2) by inserting "or offense" after "the terrorism".
- Sec. 126: Equal Access to Consumer Credit Reports.
- Section 168 1b(a)(1) of title 15, United States Code is amended by striking "grand jury"
- and inserting "grand jury, or the request of a law enforcement officer upon his certification
- that the information will be used only in connection with his duties to enforce federal law, in
- which case the disclosure to such law enforcement officer will not be disclosed to the
- consumer to whom such report relates without further order of a federal court".
- Sec. 127: Autopsy Authority.
- (a) Chapter 31 of title 28, United States Code, is amended by adding at the end the
- following:
- "§ 530C. Autopsy authority in criminal investigations
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- "Notwithstanding any other provision of law, the Attorney General may, when
- deemed necessary or appropriate in the conduct of a criminal investigation, take
- custody of, and order an autopsy and related scientific or medical tests to be
- performed on the body of, a deceased person. To the extent consistent with the needs
- of the autopsy or of specific scientific or medical tests, the Attorney General shall
- take such steps as necessary to respect the provisions of any applicable law protecting
- religious beliefs of the deceased person or the deceased persons family. Before
- ordering an autopsy or related tests under this section, the Attorney General shall
- endeavor to inform the family of the deceased person, if known, that the autopsy shall
- be performed. After the autopsy and any related tests have been performed, the
- remains of the deceased person shall be returned as soon as practicable to that
- deceased person's family, if known.".
- (b) The table of sections for chapter 31 of title 28, United States Code, is amended by
- inserting at the end: "530C. Autopsy authority in criminal investigations.".
- Sec. 128. Administrative Subpoenas in Terrorism Investigations.
- (a) [N GENERAL- Chapter 113B of title 18, United States Code, is amended by inserting
- after section 2332e the following:
- "Sec. 2332f. Administrative subpoenas in terrorism investigations.
- "(a) AUTHORIZATION OF USE--In any investigation with respect an offense listed in
- section 2332b(g)(5)(B) or an offense involved in or related to international or domestic
- terrorism as defined in section 2331, the Attorney General may subpoena witnesses, compel
- the attendance and testimony of witnesses, and require the production of any records
- (including books, papers, documents, electronic data, and other tangible things that constitute
- or contain evidence) that he finds relevant or material to the investigation. A subpoena under
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