Full Text: The US DoD Torture Memo
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UNCLASSIFIED WHEN SEPARATED FROM ATTACHMENT
Working Group
Report
On
Detainee Interrogations in the Global War
on
Terrorism;
Assessment of Legal, Historical, Policy,
and
Operational Considerations
6 March
2003
Classified by:
Secretary Rumsfeld
Reason: 1.5 (C)
Declassify on: 10
years
UNCLASSIFIED WHEN SEPARATED FROM ATTACHMENT
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II.
International Law
(U) The following discussion addresses the requirements of international law, as it pertains to the Armed Forces of the United States, as interpreted by the United States. As will be apparent in other sections of this analysis, other nations and international bodies may take a more restrictive view, which may affect our policy analysis and thus is considered elsewhere.
A.
The Geneva
Conventions
(U) The laws of war contain obligations relevant to the issue of interrogation techniques and methods. It should be noted, however, that it is the position of the U.S. Government that none of the provisions of the Geneva Convention Relative to the Treatment of Prisoners of War of August 12, 1949 (Third Geneva Convention) apply to al Qaida detainees because, inter alia, al Qaida is not a High Contracting Party to the Convention. As to the Taliban, the U.S. Position is that the provisions of Geneva apply to our present conflict with the Taliban, but that Taliban detainees do not qualify as prisoners of war under Article 4 of the Geneva Convention. The Department of Justice has opined that the Geneva Convention Relative to the Protection of Civilian Personnel in time of War (Fourth Geneva Convention) does not apply to unlawful combatants.
B.
The 1994 Convention
Against Torture
(U) the United States’ primary obligation concerning torture and related practices derives from the Convention Against Torture and Other Cruel, Inhuman, or Degrading Treatment or Punishment (commonly referred to as "the Torture Convention"). The United States Ratified the Convention in 1994, but did so with a variety of Reservations and Understandings.
(U) Article 1 of the Convention defines the term "torture" for purpose of the treaty. The United States conditioned its ratification of the treaty on an understanding that:
…in order to constitute torture, an act must be specifically intended to inflict severe physical or mental pain or suffering and that mental pain or
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(paragraph
redacted).
(U) Article I provides: "For the purpose of this convention, the term "torture" means any act by which severe pain or suffering, whether physical or mental, is intentionally inflicted on a person for such purposes as obtaining from him or a third person information or a confession, punishing him to an act he or a third person has committed or is suspected of having committed, or intimidating or coercing him or a third person, or for any reason based on discrimination of any kind, when such pain or suffering is inflicted by or at the instigation of or with the consensus or acquiescence of a public official acting in an official capacity. It does not include pain or suffering arising only from, inherent in or incidental to lawful sanctions."
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Suffering refers to prolonged mental harm caused by or resulting from the intentional infliction or threatened infliction of severe physical pain or suffering; the administration or application, or threatened administration or application, of mind altering substances or other procedures calculated to disrupt profoundly the senses or the personality; the threat of imminent death; or the threat that another person will imminently be subjected to death, severe physical pain or suffering, or the administration or application of mind altering substances or other procedures calculated to disrupt profoundly the senses or personality.
(U) Article 2 of the Convention requires the Parties to "take effective legislative, administrative, judicial and other measures to prevent acts of torture in any territory under its jurisdiction". The U.S. Government believed existing state and federal criminal law was adequate to fulfill this obligation, and did not enact implementing legislation. Article 2 also provides that acts of torture cannot be justified on the grounds of exigent circumstances, such as state of war or public emergency, or on orders from a superior officer or public authority. The United States did not have an Understanding or Reservation relating to this provision.
(U) Article 3 of the Convention contains an obligation not to expel, return, or extradite a person to another state where there are "substantial grounds" for believing that the person would be in danger of being subjected to torture. The U.S. understanding relating to this article is that it only applies "if it is more likely than not" that the person would be tortured.
(U) Under Article 5, the Parties are obligated to establish jurisdiction over acts of torture when committed in any territory under its jurisdiction or on board a ship or aircraft registered in that state, or by its nationals wherever committed. The "special maritime and territorial jurisdiction of the United States" under 18.U.S.C. § 7 satisfies the U.S. obligation to establish jurisdiction over torture committed in territory under U.S. jurisdiction or on board a U.S. registered ship or aircraft. However, the additional requirement of Article 5 concerning jurisdiction over acts or torture by U.S. nationals "wherever committed" needed legislative implementation. Chapter 113C of Title 18 of the U.S. Code provides federal criminal jurisdiction over an extraterritorial act or attempted act of torture if the offender is a U.S. national. The statute defines "torture" consistent with the U.S. Understanding on Article 1 of the Torture Convention.
(U) The United States is obligated under Article 10 of the Convention to ensure that law enforcement and military personnel involved in interrogations are educated and informed regarding the prohibition against torture. Under Article 11, systematic reviews of interrogation rules, methods, and practices are also required.
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(U) 18 U.S.C. § 2340
tracks this language. For a further discussion of the U.S.
understandings and reservations, see the Initial Report of
the U.S. to the U.N. Committee Against Torture, dated
October 15, 1999.
(U) But see discussion to the contrary
at the Domestic Law section on the necessity defense.
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(U) In addition to torture, the Convention prohibits cruel, inhuman and degrading treatment or punishment within territories under a Party’s jurisdiction (Art 16). Primarily because the meaning of the term "degrading treatment" was vague and ambiguous, the United States imposed a Reservation on this article to the effect that it considers itself bound only to the extent that such treatment or punishment means the cruel, unusual and inhuman treatment or punishment prohibited by the 5th, 8th, and 14th Amendments to the U.S. Constitution (see discussion infra, in the Domestic Law section),
(U) In sum, the obligations under the Torture Convention apply to the interrogation of unlawful combatant detainees, but the Torture Convention prohibits torture only as defined in the U.S. Understanding, and prohibits "cruel, inhuman, and degrading treatment and punishment" only to the extent of the U.S. Reservation relating to the U.S. Constitution.
(U) An additional treaty to which the United States is a party is the International Covenant on Political and Civil Rights, ratified by the United States in 1992. Article 7 of this treaty provides that "No one shall be subjected to torture or to cruel, inhuman or degrading treatment or punishment." The United States’ ratification of the Covenant was subject to a Reservation that "the United States considers itself bound by Article 7 only to the extent that cruel, inhuman, or degrading treatment or punishment means the cruel and unusual treatment or punishment prohibited by the Fifth, Eighth, and/or Fourteenth Amendments of the Constitution of the United States." Under this treaty, a "human Rights Committee" may. With the consent of the Party in question, consider allegations that such Party is not fulfilling its obligations under the Covenant. The United States has maintained consistently that the Covenant does not apply outside the United States or its special maritime and territorial jurisdiction, and that it does not apply to operations of the military during an international armed conflict.
C.
Customary International Law
(U) The Department of Justice has concluded that customary international law cannot bind the Executive Branch under the Constitution, because it is not a federal law. In particular, the Department of Justice has opined that "under clear Supreme Court precedent, any presidential decision in the current conflict concerning the detention and trial of al-Qaida or Taliban militia prisoners would constitute a "controlling" Executive act that would immediately and completely override any customary international law."
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(U) Memorandum dated January 22, 2002,
Re: Application of Treaties to al-Qaida and Taliban
detainees at 32.
(U) Memorandum dated January 22, 2002,
Re: Application of Treaties to al-Qaida and Taliban
detainees at 35.
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III.
Domestic Law
A.
Federal Criminal Law
1.
Torture Statute
(U) 18 U.S.C. § 2340 defines as
torture any "act committed by a person acting under the
color of law specifically intended to inflict severe
physical or mental pain…" The intent required is the intent
to inflict severe physical or mental pain. 18 U.S.C. § 2340A
requires that the offense occur "outside the United States".
Jurisdiction over the offense extends to any national of the
United States or any alleged offender present in the United
States, and could, therefore, reach military members,
civilian employees of the United States, or contractor
employees. The "United States" is defined to include all
areas under the jurisdiction of the United States, including
the special maritime and territorial jurisdiction (SMTJ) of
the United States. SMTJ is a statutory creation that extends
the criminal jurisdiction of the United States for
designated crimes to defined areas. The effect is to grant
federal court criminal jurisdiction for the specifically
identified crimes.
(U) Guantanamo Bay Naval Station (GTMO) is included within the definition of the special maritime and territorial jurisdiction of the United States, and accordingly, is within the United States for the purposes of §2340, Thus, the Torture Statue does not apply to the conduct of U.S. personnel at GTMO. That GTMO is within the SMTJ of the United States is manifested by the prosecution of civilian dependents and employees living in GTMO in Federal District Courts based on SMTJ jurisdiction and Department of Justice opinion(11) and the clear intention of Congress as reflected in the 2001 amendment to the SMTJ. The USA Patriot Act (2001) amended § 7 to ad subsection 9, which provides:
"With respect to offenses committed by or against a national of the United States as that term is used in section 101 of the Immigration and Nationality Act--
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(U)
Section 2340A provides, "Whoever outside the Unites States
commits or attempts to commit torture shall be fined or
imprisoned…"(emphasis added).
(U) 18 USC § 7, "Special
maritime and territorial jurisdiction of the United States"
includes and lands under the exclusive or concurrent
jurisdiction of the United States.
(U) Several paragraphs
of 19 USC § 7 are relevant to the issue at hand. Paragraph
7(3) provides: [SMTJ includes:] "Any lands reserved or
acquired for the use of the United States, and under the
exclusive or concurrent jurisdiction thereof, or any place…"
Paragraph 7(7) provides [SMTJ includes:] "Any place outside
the jurisdiction of any nation to an offense by or against a
nation of the United States." Similarly, paragraphs 7(1) and
7(5) extend SMTJ jurisdiction to "the high seas, and other
waters within the admiralty and maritime jurisdiction of the
United States and out of the jurisdiction of any particular
state, and any vessel belonging in whole or in part to the
United States…" and to "any aircraft belonging in whole or
in part in the United States… while such aircraft is in
flight over the high seas, or over any other waters within
the admiralty and maritime jurisdiction of the United States
and out of the jurisdiction of any particular State."
(U)
6 Op.OLC236 (1982). The issue was the status of GTMO for
purposes of a statute banning slot-machines on "any land
where the United States government exercises exclusive or
concurrent jurisdiction."
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(A) the premises of United States diplomatic, consular, military or other United States Government missions or entities in foreign States, including the buildings, parts of buildings, and land appurtenant or ancillary thereto or used for purposes of maintaining those missions or entities, irrespective of ownership; and
(B) residences in foreign States and the land appurtenant or ancillary thereto, irrespective of ownership, used for purposes of those missions or entities or used by United States personnel assigned to those missions or entities.
Nothing in this paragraph shall be deemed to supercede any treaty or international agreement with which this paragraph conflicts. This paragraph does not apply with respect to an offense committed by a person described in section 3261(a) of this title.
(U) Any person who commits an enumerated offense in a location that is considered within the special maritime and territorial jurisdiction is subject tot the jurisdiction of the United States.
(U) For the purposes of this discussion, it is assumed that an interrogation done for official purposes is under "color of law" and that detainees are in DOD’s custody or control.
(U) Although Section 2340 does not apply to interrogations at GTMO, it would apply to U.S. operations outside U.S. jurisdiction, such as Afghanistan. The following analysis is relevant to such activities.
(U) To convict a defendant of torture, the prosecution must establish that: (1) the torture occurred outside the United States; (2) the defendant acted under color of law; (3) the victim was within the defendant’s custody or physical control; (4) the defendant specifically intended to cause severe physical or mental pain or suffering; and (5) that the act inflicted severe physical or mental pain or suffering. See also S. Exec. Rep. No. 101-30, at 6 (1990). ("For an act to be "torture," it must… cause severe pain and suffering, and be intended to cause severe pain and suffering.")
a.
"Specifically Intended"
(U) To violate Section 2340A, the statute requires that severe pain and suffering must be inflicted with specific intent. See U.S.C. § 2340(1). In order for a defendant to have acted with specific intent, he must have expressly intended to achieve the forbidden act. See United States v. Carter, 530 U.S. 255, 269 (2000); Black’s Law Dictionary at 814 (7th ed. 1999) (defining specific intent as "[t]he intent to accomplish the precise criminal act that one is later charged with".) For example, in Ratzlaf v. United States, 510 U.S. 135, 141 (1994), the statute at issue was construed to require that the defendant act with the "specific intent to commit the crime". (Internal quotation marks and citation omitted). As a result, the defendant had to act with the express "purpose to disobey the law" in order for the mens rea element to be satisfied. Ibid. (Internal quotation marks and citation omitted.)
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(U) Here, because Section 2340 requires that a defendant act with the specific intent to inflict severe pain, the infliction of such pain must be the defendant’s precise objective. If the statute had required only general intent, it would be sufficient to establish guilt by showing the defendant "possessed knowledge with respect to the actus reus of the crime." Carter, 530 U.S. at 268. If the defendant acted knowing that severe pain or suffering was reasonably likely to result from his actions, but no more, he would have acted only with general intent. See id at 269 Black’s Law Dictionary: 813 (7th ed. 1999) (explaining that general intent "usu[ally] takes the form of recklessness (involving actual awareness of a risk and the culpable taking of that risk) or negligence ( involving blameworthy inadvertence)"). The Supreme Court has used the following example to illustrate the difference between these two mental states:
[A] person entered a bank and took money from a teller at gunpoint, but deliberately failed to make a quick getaway from the bank in the hope of being arrested so that he would be returned to prison and treated for alcoholism. Though this defendant knowingly engaged in the acts of using force and taking money (satisfying "general intent"), he did not intend permanently to deprive the bank of its possession of the money (failing to satisfy "specific intent").
Carter, 530 U.S. at 268 (citing 1 W. Lafave & A. Scott, Substantive Criminal Law § 3.5, at 315 (1986).
(U) As a theoretical matter, therefore, knowledge alone that a particular result is certain to occur does not constitute specific intent. As the Supreme Court explained in the context of murder, "the…common law of homicide distinguishes…between a person who knows that another person will be killed as a result of his conduct and a person who acts with the specific purpose of taking another’s life[.]" United States v. Bailey, 444 U.S. 394, 405 (1980). "put differently, the law distinguishes actions taken ‘because of’ a given end from actions taken ‘in spite’ of their unintended but foreseen consequences." Vacco v. Quill, 521 U.S. 793, 802-03 (1997). Thus, even if the defendant knows that severe pain will result from his actions, if causing such harm is not his objective, he lacks the requisite specific intent even though the defendant did not act in good faith. Instead, a defendant is guilty of torture only if he acts with the express purpose of inflicting severe pain or suffering on a person within his custody or physical control. While as a theoretical matter such knowledge does not constitute specific intent, juries are permitted to infer from the factual circumstances that such intent is present. See, e.g., United States v. Godwin, 272 F.3d 659, 666 (4th Cir, 2001); United States v. Karro, 257 F.3d 112, 118 (2d Cir. 2001); United States V. Wood, 207 F.3d 1222, 1232 (10th Cir. 2000); Henderson v. United States, 202 F.2d 400, 403 (6th Cir. 1953). Therefore when a defendant knows that his actions will produce the prohibited result, a jury will in all likelihood conclude that the defendant acted with specific intent.
(U) Further, a showing that an individual acted with a good faith belief that his conduct would not produce the result that the law prohibits negates specific interest. See, e.g. South Atl. Lmtd. Ptrshp. Of Tenn v. Reise, 218 F.3d 518, 531 (4th Cir. 2002). Where
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c.
Severe Mental Pain or Suffering
(U) Section 2340 gives further guidance as to the meaning of "severe mental pain or suffering" as distinguished from severe physical pain and suffering. The statute defines "severe mental pain or suffering" as:
the prolonged mental
harm caused by or resulting from -
(A) the intentional
infliction or threatened infliction of severe physical pain
or suffering;
(B) the administration or application, or
threatened administration or application, of mind-altering
substances or other procedures calculated to disrupt
profoundly the senses or the personality’
(C) the threat
of imminent death; or
(D) the threat that another person
will imminently be subjected to death, severe physical pain
or suffering, or the administration or application of
mind-altering substances or other procedures calculated to
disrupt profoundly the senses or personality.
18 U.S.C.§ 2340(2). In order to prove "severe mental pain or suffering", the statute requires proof of "prolonged mental harm" that was caused by or resulted from one of four enumerated acts. We consider each of these elements.
i.
"Prolonged Mental Harm"
(U) As an initial matter, Section 2340(2) requires that the severe mental pain must be evidenced by "prolonged mental harm". To prolong is to "lengthen in time" or to "extend the duration of, to draw out". Webster’s Third New International Dictionary 1815 (1988); Webster’s New International Dictionary 1980 (2d ed. 1935). Accordingly, "prolong" adds a temporal dimension to the harm to the individual, namely, that the harm must be one that is endured over some period of time. Put another way, the acts giving rise to the harm must cause some lasting, though not necessarily permanent, damage. For example, the mental strain experienced by an individual during a length and intense interrogation such as one that state or local police might conduct upon a criminal suspect, would not violate Section 2340(2). On the other hand, the development of a mental disorder such as posttraumatic stress disorder, which can last months or even years, or even chronic depression, which can also last for a considerable period of time is untreated, might satisfy the prolonged hard requirement. See American Psychiatric Association, Diagnostic and Statistical Manual of Mental Disorders 426, 439-45 (4th ed. 1994) ("DSM-IV"). See also Craig Haney & Mona Lynch, Regulating Prisons of the Future: A Psychological Analysis of Supermax and Solitary Confinement, 23 N.Y.U. Rev. L. & Soc. Change 477, 509 (1977) (noting that posttraumatic stress disorder is frequently found in torture victims); cf Sana Loue, Immigration Law and Health § 10:46 (2001) (recommending evaluating for post-traumatic stress disorder immigrant-client
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who has experienced torture). By contrast to "severe pain" the phrase "prolonged mental harm" appears nowhere else in the U.S. Code nor does it appear in relevant medical literature or international human rights reports.
(U) Not only must the mental harm be prolonged to amount to severe mental pain and suffering, but also it must be caused by or result from one of the acts listed in the statute. In the absence of a catchall provision, the most natural reading of the predicate acts listed in Section 2340(2)(A)(D) is that Congress intended the list to be exhaustive. In other words, other acts not included within Section 2340(2)’s enumeration are not within the statutory prohibition. See Leatherman v. Tarrant County Narcotics Intelligence & Coordination Unit, 507 U.S. 163, 168 (1993) ("Expressio unius est exclusion alterius"); Norman Singer, 2A Sutherland on Statutory Construction § 47, 23 (6th ed. 2000) ("[W]here a form of conduct the manner of its performance and operation, and the persons and things to which it refers are designated, there is an inference that all omissions should be understood as exclusions.") (footnotes omitted). We conclude that torture within the meaning of the statute requires the specific intent to cause prolonged mental harm by one of those acts listed in Section 2340(2).
(U) A defendant must specifically intend to cause prolonged mental harm for the defendant to have committed torture. It could be argued that a defendant needs to have specific intent only to commit the predicate acts that give rise to prolonged mental harm. Under that view, so long as the defendant specifically intended to, for example, threaten a victim with imminent death, he would have sufficient mens rea for a conviction. According to this view, it would be further necessary for a conviction to show only that the victim factually suffered prolonged mental harm, rather than that the defendant intended to cause it. We believe that this approach is contrary to the text of the statute. The statute requires that the defendant specifically intend to inflict severe mental pain or suffering. Because that statute requires this mental state with respect to the infliction of severe mental pain and because is expressly defines severe mental pain in terms of prolonged mental harm, that mental state must be present with respect to prolonged mental harm. To read the statute otherwise would read the phrase "prolonged mental harm caused by or resulting from" out of the definition of "severe mental pain or suffering".
(U) A defendant could negate a showing of specific intent to cause severe mental pain or suffering by showing that he had acted in good faith that his conduct would not
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the DSM-IV explains that posttraumatic
stress disorder )"PTSD") is brought on by exposure to
traumatic events, such as serious physical injury or
witnessing the deaths of others and during those events the
individual felt "intense fear" or "horror." Id at 424. Those
suffering from this disorder re-experience the trauma
through, inter alia, "recurrent and intrusive distressing
recollections of the event", "recurrent distressing dreams
of the event", or "intense psychological distress at
exposure to internal or external cues that symbolize or
resemble an aspect of the traumatic event," Id at 428.
Additionally, a person with PTSD "[p]ersistently" avoids
stimuli associated with the trauma, including avoiding
conversations about the trauma, places that stimulate
recollections about the trauma, and they experience a
numbing of general responsiveness, such as a "restricted
range of affect (e.g., unable to have living feelings)", and
"the feeling of detachment or estrangement from others."
Ibid. Finally, an individual with PTSD has "[p]ersistent
symptoms of increased arousal," as evidenced by
"irritability or outbursts of anger", "hypervigilance",
"exaggerate startle response", and difficulty sleeping or
concentrating. Ibid.
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amount to the acts prohibited by the statute. Thus, if as defendant has a good faith belief that his actions will not result in prolonged mental harm, he lacks the mental state necessary for his actions to constitute torture. A defendant could show that he acted in good faith by taking such steps as surveying professional literature, consulting with experts, or reviewing evidence gained from past experience. See, e.g., Ratlzlaf, 510 U.S. at 142 n.10 (noting that where the statute required that the defendant act with the specific intent to violate the law, the specific intent element "might be negated by, e.g., proof that defendant relied in good faith on advice of counsel.") (citations omitted). All of these steps would allow that he had drawn on the relevant body of knowledge concerning the result proscribed by the statute, namely prolonged mental harm. Because the presence of good faith would negate the specific intent element of torture, good faith may be a complete defense to such a charge. See, e.g., United States v. Wall, 130 F. 3d 739, 746 (6th Cir. 1997); United States v. Casperson, 773 f.2d 216, 222.23 (8th Cir. 1985).
ii.
Harm Caused By Or Resulting From Predicate Acts
(U) Section 2340(2) sets forth four basic categories of predicate acts. The first category is the "intentional infliction or threatened infliction of severe physical pain or suffering". The might at first appear superfluous because the statute already provides that the infliction of severe physical pain or suffering can amount to torture. This provision, however, actually captures the infliction of physical pain or suffering when the defendant inflicts physical pain or suffering with general intent rather than the specific intent that is required where severe physical pain or suffering alone is the basis for the charge. Hence, this subsection reaches the infliction of severe physical pain or suffering when it is only the means of causing prolonged mental harm. Or put another way, a defendant has committed torture when he intentionally inflicts severe physical pain or suffering with the specific intent of causing prolonged mental harm. As for the acts themselves, acts that cause "severe physical pain or suffering" can satisfy this provision.
(U) Additionally, the threat of inflicting such pain is a predicate act under the statute. A threat may be implicit or explicit. See, e.g., United States v. Sachdev, 279 F.3d 25, 29 (1st Cir. 2002). In criminal law, courts generally determine whether and individual’s word or actions constitute a threat by examining whether a reasonable person in the same circumstances would conclude that a threat had been made. See, e.g., Watts v. United States, 394 U.S. 705, 708 (1969) (holding that whether a statement constituted a threat against the president’s life had to be determined in light of all the surrounding circumstances); Sachdev, 279 F.3d at 29 ("a reasonable person in defendant’s position would perceive there to be a threat, explicit or implied, of physical injury"); United States v. Khorrami, 895 F2.d 1186, 1190 (7th Cir. 1990) (to establish that a threat was made, the statement must be made "in a context or under such circumstances wherein a reasonable person would foresee that the statement would be interpreted by those to whom the maker communicates a statement as a serious expression of an intention to inflict bodily harm upon [another individual]") (citation and internal quotation marks omitted): United States v. Peterson, 483 F.2d 1222, 1230 (D.C. Cir. 1973) (perception of threat of imminent harm necessary to establish self-defense had to be "objectively reasonable in light of the surrounding circumstances"). Based on this common approach,
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we believe that the existence of a threat of severe pain or suffering should be assessed from the standpoint of a reasonable person in the same circumstances.
(U) Second, Section 2340(2)(B) provides that prolonged mental harm, constituting torture, can be caused by "the administration or application or threatened administration or application of mind-altering substances or other procedures calculated to disrupt profoundly the senses or the personality". The statute provides no further definition of what constitutes a mind-altering substance. The phrase "mind-altering substances" is found nowhere else in the U.S. Code, nor is it found in dictionaries. It is, however, a commonly used synonym for drugs. See, e.g. United States v. Kingsley, 241 F.3d 828, 834 (6th Cir.) (referring to controlled substances as "mind-altering substance[s]"), cert, denied, 122 S. Ct. 137 (2001); Hogue V. Johnson, 131 f.3d 466, 501 (5th Cir. 1997) (referring to drugs and alcohol as "mind-altering substance[s]"), cert denied, 523 U.S. 1014 (1998). In addition, the phrase appears in a number of state statutes, and the context in which it appears confirms this understanding of the phrase. See, e.g. Cal. Penal Code § 3500 (c) (West Supp. 2000)(Psychotropic drugs also include mind-altering… drugs…"); Minn. Stat. Ann. § 260B.201(b) (West Supp. 2002) ("chemical dependency treatment" define as programs designed to "reduce[e] the risk of the use of alcohol, drugs, or other mind-altering substances").
(U) This subparagraph, section 2340(2)(B), however, does not preclude any and all use of drugs. Instead, it prohibits the use of drugs that "disrupt profoundly the senses or the personality". To be sure, one could argue that this phrase applies only to "other procedures", not the application of mind-altering substances. We reject this interpretation because the terms of Section 2340(2) expressly indicate that the qualifying phrase applies to both "other procedures" and the "application of mind-altering substances." The word "other" modifies "procedures calculated to disrupt profoundly the senses". As an adjective, "other" indicates that the term or phrase it modifies is the remainder of several things. See Webster’s Third New International Dictionary 1598 (1986) (defining "other" as "being the one (as of two or more) remaining or not included"). Or put another way, "other" signals that the words to which it attaches are of the same kind, type, or class as the more specific item previously listed. Moreover, where a statute couple words or phrases together, it "denotes an intention that they should be understood in the same general sense." Norman Singer, 2A Sutherland on Statutory Construction § 47:16 (6th ed. 2000); see also Beecham v. United States, 511 U.S. 368, 371 (1994) (that several items in a list share an attribute counsels in favor of interpreting the other items as possessing that attribute as well.") Thus, the pairing of mind-altering substances with procedures calculated to disrupt profoundly the sense or personality and the use of "other" to modify "procedures" shows that the use of such substances must also cause a profound disruption of the senses or personality.
(U) For drugs or procedures to rise to the level of "disrupt[ing] profoundly the sense or personality", they must produce an extreme effect. And by requiring that they be "calculated" to produce such an effect, the statute requires that the defendant has consciously designed the acts to produce such an effect. 28 U.S.C. § 2340(2)(B). The word "disrupt" is defined as "to break asunder; to part forcibly; rend," imbuing the verb
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with a connotation of violence. Webster’s New International Dictionary 753 (2d ed 1935); see Webster’s Third new International Dictionary 656 (1986) (defining disrupt as "to break apart: Rupture" or "destroy the unity or wholeness of"); IV the Oxford English Dictionary 832 (1989) (defining disrupt as"[t]o break or burst asunder, to break in pieces; to separate forcibly"). Moreover, disruption of the senses or personality alone is insufficient to fall within the scope of this subsection; instead, that disruption must be profound. The word "profound" has a number of meanings, all of which convey a significant depth. Webster’s New International Dictionary 1977 (2 ed. 1935 defines profound as: "Of very great depth; extending far below the surface or top; unfathomable [:]…[c]oming from, reaching to, or situated at a depth of more than ordinary depth; not superficial; deep-seated; chiefly with reference to the body; as a profound sigh, wounded, or pain[;]…[c]haracterized by intensity, as of feeling or quality; deeply felt or realized; as, profound respect, fear, or melancholy; hence, encompassing; thoroughgoing; complete; as, profound sleep, silence, or ignorance." See Webster’s Third New International Dictionary 1812 (1986) ("having very great depth: extending far below the surface…not superficial"). Random House Webster’s Unabridged Dictionary 1545 (2d ed. 1999) also defines profound as "originating in or penetrating to the depths of one’s being" or "pervasive or intensive; thorough; complete" or "extending, situated, or originating far down, or far beneath the surface." By requiring that the procedures and the drugs create a profound disruption, the statute requires more than the acts "forcibly separate" or "rend" the senses or personality. Those acts must penetrate to the core of an individual’s ability to perceive the world around him, substantially interfering with his cognitive abilities, or fundamentally alter his personality.
(U) The phrase "disrupt profoundly the senses or personality" is not used in mental health literature nor is it derived from elsewhere in U.S. law. Nonetheless, we think the following examples would constitute a profound disruption of the senses or personality. Such an effect might be seen in a drug-induced dementia. In such a state, the individual suffers from significant memory impairment, such as the inability to retain any new information or recall information about things previously of interest to the individual. See DSM-IV at 134. This impairment is accompanied by one or more of the following: deterioration of language function, e.g., repeating sounds or words over and over again; impaired ability to execute simple motor activities, e.g., inability to dress or wave goodbye; "[in]ability to recognize [and identify] objects such as chairs or pencils" despite normal visual functioning, or "[d]isturbances in executive level functioning", i.e., serious impairment of abstract thinking. Id. At 134-35. Similarly, we think that the onset of "brief psychotic disorder" would satisfy this standard. See id. At 302-03. I this disorder, the individual suffers psychotic symptoms, including among other things, delusions, hallucinations, or even a catatonic state. This can last for one day
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(U) Published by the American
Psychiatric Association, and written as a collaboration of
over a thousand psychiatrists, the DSM-IV is commonly used
in U.S. courts as a source of information regarding mental
health issues and is likely to be used in trial should
charges be brought that allege this predicate act. See,
e.g., Atkins v. Virginia, 122 S. Ct. 2242, 2245 n. 3 (2002);
Kansas V. Crane, 122 S. Ct. 867, 871 (2002); Kansas v.
Hendricks, 521 U.S. 346, 359-60 )1997); McClean v.
Merrifield, No. 00-CV-0120E (SC), 2002 WI 1477607 at #2n.7
(W.D.N.Y. June 28, 2002); Peeples v. Coastal Office Prods.,
203 F. Supp 2d 432, 439 (D. Md 2002); Lassiegne v. Taco Bell
Corp., 202 F. Supp 2d 512, 519 (E.D. La. 2002).
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or even one month. See id. We likewise think that the onset of obsessive-compulsive disorder behaviors would rise to this level. Obsessions are intrusive thoughts unrelated to reality. They are not simple worries, but are repeated doubts or even "aggressive or horrific impulses." See id. at 418. The DSM-IV further explains that compulsions include "repetitive behaviors" (e.g., hand washing, ordering, checking)" and that "[b]y definition, [they] are either clearly excessive or are not connected in a realistic way with what they are designed to neutralize or prevent", See id. Such compulsions or obsessions must be "time-consuming", See is at 419. Moreover, we think that pushing someone to the brink of suicide (which could be evidenced by acts of self-mutilation). Would be a sufficient disruption of the personality to constitute a "profound disruption". These examples, of course, are in no way intended to be an exhaustive list. Instead they are merely intended to illustrate the sort of mental health effects that we believe would accompany an action severe enough to amount to one that "disrupt[s] profoundly the sense or the personality."
(U) The third predicate act listed in Section 2340 (2) is threatening an individual with "imminent death", 18 U.S.C. § 2340(2)©. The plain text makes clear that a threat of death alone is insufficient; the threat must indicate that death is "imminent". The "threat of imminent death" is found in the common law as an element of the defense of duress. See Bailey, 444 U.S. at 409. "[W]here Congress borrows terms of art in which are accumulated the legal tradition and meaning of centuries of practice, it presumably knows and adopts the cluster of ideas that were attached to each borrowed word in the body of learning from which it was taken and the meaning its use will convey to the judicial mind unless otherwise instructed. In such case, absence of contrary direction may be taken as satisfaction with widely accepted definitions, not as a departure from them." Morissette v. United States, 342 U.S. 246, 263 (1952). Common law cases and legislation generally define "imminence" as requiring that the threat be almost immediately forthcoming. 1 Wayne R. LaFave & Austin W. Scott, Jr., Substantive Criminal Law § 5.7, at 655 (19860. By contrast, threats referring vaguely to things that might happen in the future do not satisfy this immediacy requirement. See United States v. Fiore, 178 F. 3rd 917, 923 (7th Cir. 1999). Such a threat fails to satisfy this requirement not because is it too remote in time but because there is a lack of certainty that it will occur. Indeed, timing is an indicator of certainty that the harm will be fall the defendant. Thus, a vague threat that someday the prisoner might be killed would not suffice. Instead, subjecting a prisoner to mock executions or playing Russian roulette with him would have sufficient immediacy to constitute a threat of imminent death. Additionally, as discussed earlier, we believe that the existence of a threat must be assessed from the perspective of a reasonable person in the same circumstances.
(U) Fourth, if the official threatens to do anything previously described to a third party, or commits such an act against a third party, that threat or action san serve as the necessary predicate for prolonged mental harm. See 18 U.S.C. § 2340 (2)(D). The statute does not require any relationship between the prisoner and the third party.
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2.
Other Federal Crimes that Could Relate to Interrogation Techniques
(U) Through the SMTJ, the following federal crimes are generally applicable to actions by military or civilian personnel; murder (18 U.S.C. § 1111), manslaughter (18 U.S.C. § 1112, assault (18 U.S.C. § 113), maiming (18 U.S.C. § 114), kidnapping (18 U.S.C. § 1201). These, as well as war crimes (18 U.S.C. § 2441)14 and conspiracy (18 U.S.C. § 371), are discussed below.
a.
Assaults within maritime and territorial jurisdiction, 18 U.S.C. § 1139
(U) 18 U.S.C. § 113 proscribes assault within the special maritime and territorial jurisdiction. Although section 113 does not define assault, courts have construed the term "assault" in accordance with that term’s common law meaning. See, e.g., United States v. Estrada-Fernandez, 150F.3d 491,494 n.1 (5th Cir. 1998); United States v., 150 Juvenile-Male, 930 F.2d 727, 728 (9th Cir. 1991). At common law an assault is an attempted battery or an act that puts another person in reasonable apprehension of bodily harm. See e.g., United States v. Bayes, 210 F.3d 64, 68 (1st Cir. 2000). Section 113 reaches more than simple assault, sweeping within its ambit acts that would at common law constitute battery.
(U) 18 U.S.C § 113 proscribes several specific forms of assault. Certain variations require specific intent, to wit: assault with intent to commit murder (imprisonment for not more than twenty years); assault with intent to commit any felony (except murder and certain sexual offenses) (fine and/or imprisonment for not more than ten years); assault with a dangerous weapon, with intent to do bodily harm, and without just cause or excuse (fine and/or imprisonment for not more than ten years, or both). Other defined crimes require only general intent, it wit: assault by striking, beating, or wounding(fine and/or imprisonment for not more than six months); simple assault (fine and/or imprisonment for not more than six months), or if the victim of the assault is an individual who has not attained the age of 16 years (fine and/or imprisonment for not more than 1 year); assault resulting in serious bodily injury (fine and/or imprisonment for not more than ten years); assault resulting in serious bodily injury to an individual who has not attained the age of 16 years (fine and/or imprisonment for not more than 5 years). "Substantial bosily injury" means bodily injury which involves (A) temporary but substantial disfigurement; (B) extreme physical pain; (C) protracted and obvious disfigurement; or (D) protracted loss or impairment of the function of a bodily member, organ, or mental faculty. "Bodily injury" means (A) a cut, abrasion, bruise, burn, or disfigurement; (B) physical pain; (C) illness; (D) impairment of
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14 (U) 18 U.S.C. § 2441
criminalizes the commission of war crimes by U.S. national
and members of the U.S. Armed Forces. Subsection (c) defines
war crimes as (1) grave breaches of any of the Geneva
Conventions: (2) conduct prohibited by the Hague Convention
IV, Respecting the Law and Customs of War on Land, signed 18
October 1907; or (3) conduct that constitutes a violation of
common Article 3 of the Geneva Conventions. The Department
of Justice has opined that this statute does not apply
toward al-Qaida or Taliban operatives because the President
has determined that they are not entitled to the protections
of Geneva and Hague Regulations.
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the function of a bodily member, organ, or mental faculty; or (E) any other injury to the body, no matter how temporary.
b.
Maiming, 18 U.S.C. § 114
(U) Whoever with intent to torture (as defined in section 2340), maims, or disfigures, cuts, bites, or slits the nose, ear, or lip, or cuts out or disables the tongue, or puts out or destroys and eye, or cuts off or disables a limb or any member of another person’ or whoever, and with like intent, throws or pours upon another person, any scalding water, corrosive acid, or caustic substance shall be fines and/or imprisoned not more than twenty years. This is a specific intent crime.
c.
Murder, 18 U.S.C. § 1111
(U) Murder is the unlawful killing of another human being with malice aforethought. Every murder perpetrated by poison, lying in wait, or nay other kind of willful, deliberate, malicious, and premeditated killing; or committed in the perpetration of, or attempt to perpetrate, any arson, escape, murder, kidnapping, treason, espionage, sabotage, aggravated sexual abuse or sexual abuse, burglary, or robbery; or perpetrated from a premeditated design unlawfully and maliciously to effect the death of any human being other than him who is killed, is murder in the first degree. Any other murder is murder in the second degree. If within the SMTJ, whoever is guilty of murder in the first degree shall be punished by death or by imprisonment for life; whoever is guilty of murder in the second degree, shall be imprisoned for any term of years or for life. Murder is a specific intent crime.
d.
Manslaughter, 18 U.S.C. § 1112
(U) Manslaughter is the unlawful killing of a human being without malice. It is of two kinds: (A) voluntary, upon a sudden quarrel or heat of passion and (B) involuntary, in the commission of an unlawful act amounting to a felony, or in the commission in an unlawful manner, or without due caution and circumspection, of a lawful act which might produce death.
(U) If within the SMTJ whoever is guilty of voluntary manslaughter, shall be fined and/or imprisoned not more than ten years; whoever is guilty of involuntary manslaughter, shall be fined and/or imprisoned not more than six years. Manslaughter is a general intent crime. A death resulting from the exceptional interrogation techniques may subject the interrogator to a charge of manslaughter, most likely of the involuntary sort.
e.
Interstate Stalking, 18 U.S.C. § 2261A
(U) 18 U.S.C. § 2261A provides that "[w]hoever…travels…within the special maritime and territorial jurisdiction of the United States…with the intent to kill, injure, harass, or intimidate another person, and in the course of or as a result of, such travel
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places that person in reasonable fear of the death of, or serious bodily injury of that person." Thus there are three elements to a violation of 2261A: (1) defendant traveled in interstate commerce; (2) he did do with the intent to injure, harass, intimidate another person; (3) the person he intended to harass or injure was reasonably place in fear of death or serious bodily injury as a result of that travel. See United States v. Al-Zubaidy, 283 F.3d 804, 808 (6th Cir, 2002).
(U) The travel itself must have been undertaken with the specific intent to harass or intimidate another. Or put another way, at the time of the travel itself, the defendant must have engaged in that travel for the precise purpose of harassing another person. See Al-Zubaidy, 283 F.3d at 809 (the defendant "must have intended to harass or injure [the victim] at the time he crossed the state line").
(U) The third element is not fulfilled by the mere act of travel itself. See United States v. Crawford, No. 00-Cr-59-B-S, 2001 WL 185140 (D. Me. Jan. 26, 2991) ("A plain reading of the statute makes clear that the stature requires the actor to place the victim in reasonable fear, rather than, as Defendant would have it, that his travel place the victim in reasonable fear.")
(U) It is unlikely that this statute’s purpose is aimed at interrogations.
f.
Conspiracy, 18 U.S.C. § 2 and 18 U.S.C. § 371(15)
(U) Conspiracy to commit crime is a separate offense from crime that is the object of conspiracy.(16) Therefore, where someone is charged with conspiracy, a conviction cannot be sustained unless the Government establishes beyond a reasonable doubt that the defendant had the specific intent to violate the substantive statute.(17)
(U) As the Supreme Court most recently stated, "the essence of a conspiracy is ‘an agreement to commit an unlawful act.’" Untied States v. Jimenez Recio, --S.Ct. - , 2003 WL 139612 at *-- (Jan. 12, 2003) (quoting Iannelli V. United States, 420 U.S. 770, 777 (1975). Moreover, "[t]hat agreement is a ‘distinct evil,’ which ‘may exist and be punished
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(U) 18 U.S.C. § 2. Principals
(a)
Whoever commits an offense against the United States or
aids, abets, counsels, commands, induces or procures its
commission, is punishable as a principal.
(b) Whoever
willfully causes an act to be done which if directly
performed by him or another would be an offense against the
United States, is punishable as a principal.
18 U.S.C. §
371. Conspiracy to commit offense or to defraud the United
States.
If two or more persons conspire either to commit
any offense against the United States, or to defraud the
United States, or any agency thereof in any manner for any
purpose, and one or more of such persons do any act to
effect the object of the conspiracy, each shall be fined
under this title or imprisoned not more than five years, or
both.
If, however, the offense, the commission of which
is the object of the conspiracy, is a misdemeanor only, the
punishment for such conspiracy shall not exceed the maximum
punishment provided for such misdemeanor.
(U) United
States v. Rabbinowich, 238 US 78, 59, 35 S.Ct 682, L. Ed
1211 (1915).
(U) United States v. Cangiano, 491 F.2d 906
(2nd Cir, 1974), next denied 419 U.S. 904 (1974).
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Whether or not the substantive crime ensues", Id at* (quoting Salinas v. United States, 522 U.S. 52, 65 (1977).
3.
Legal
doctrines under the Federal Criminal Law that could render
specific
conduct, otherwise criminal, not unlawful
(U) Generally, the following discussion identifies legal doctrines and defenses applicable to the interrogation of unlawful combatants, and the decision process related to them. In practice, their efficacy as to any person or circumstances will be fact-dependent.
a.
Commander-in-Chief Authority
(U) As the Supreme Court has recognized, and as we will explain further below, the President enjoys complete discretion in the exercise of his Commander-in-Chief authority including in conducting operations against hostile forces. Because both "[t]he executive power and the command of the military and naval forces is vested in the President," the Supreme Court has unanimously stated that it is "the President alone who is constitutionally invested with the entire charge of hostile operations." Hamilton v. Dillin, 88 U.S. (21 Wall.) 73 (1874) (emphasis added).
(U) In light of the President’s complete authority over the conduct of war, without a clear statement otherwise, criminal statutes are not read as infringing on the President’s ultimate authority in these areas. The Supreme Court has established a canon of statutory construction that statutes are to be constructed in a manner that avoids constitutional difficulties so long as a reasonable alternative construction is available, See, e.g., Edward J. DeBartolo Corp. v. Florida Gulf Coast Bldg. & Constr. Trades Council, 485 U.S. 568, 575 (1988) (citing NLRB v. Catholic Bishop of Chicago, 440 U.S. 490, 499-501 (1979) ) ("[W]here an otherwise acceptable construction of a statute would raise serious constitutional problems, [courts] will construe [a] statute to avoid such problems unless such construction is plainly contrary to the intent of Congress.") this canon of construction applies especially where an act of Congress could be read to encroach upon powers constitutionally committed to a coordinate branch of government. See, e.g. Franklin v. Massachusetts, 505 U.S. 788, 800-1 (1992) (citation omitted) ("Out of respect for the separation of powers and the unique constitutional position of the President, we find that textual silence is not enough to subject the President to the provisions of the [Administrative Procedure Act]. We would require an express statement by Congress before assuming it intended for the President’s performance of this statutory duties to be reviewed for abuse of discretion."); Public Citizen V. United States Dep’t of Justice, 491 U.S. 440, 465-67 (19890 (construing Federal Advisory Committee Act not to apply to advice given by American Bar Association to the President on judicial nominations, to avoid potential constitutional question regarding encroachment on Presidential power to appoint judges).
(U) In the area of foreign affairs, and war powers in particular, the avoidance canon has special force. See, e.g., Dept of Navy v. Egan 484 U.S. 518, 530 (1988) ("unless Congress specifically has provided otherwise, courts traditionally have been
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Reluctant to intrude upon the authority of the Executive in military and national security affairs."); in Japan Whaling Ass’n v. American Cemcean Socy, 478 U.S. 221, 232-33 (1986) (construing federal statutes to avoid curtailment of traditional presidential prerogatives in foreign affairs). It should not be lightly assumed that Congress has acted to interfere with the President’s constitutionally superior position as Chief Executive and Commander-in-Chief in the area of military operations. See Egan, 484 U.S. at 529 (quoting haig V. Agee, 1453 U.S. 280, 293-94 (1981). See also Agee, 453 U.S. at 291 (deference to Executive Branch is "especially" appropriate "in the area of national security").
(U) In order to respect the President’s inherent constitutional authority to manage a military campaign, 18 U.S.C. § 2340A (the prohibition against torture) must be construed as inapplicable to interrogations undertaken pursuant to his Commander-in-Chief authority. Congress lacks authority under Article I to set the terms and conditions under which the President may exercise his authority as Commander-in-Chief to control the conduct of operations during a war. The President’s power to detain and interrogate enemy combatants arises out of his constitutional authority as Commander-in-Chief. A construction of Section 2340A that applied the provision to regulate the President’s authority as Commander-in-Chief to determine the interrogation and treatment of enemy combatants would raise serious constitutional questions. Congress may no more regulate the President’s ability to detain and interrogate enemy combatants than it may regulate his ability to direct troop movements on the battlefield. Accordingly, we would construe Section 2340A to avoid this constitutional difficulty, and conclude it does not apply to the President’s detention and interrogation of enemy combatants pursuant to his Commander-in-Chief authority.
(U) This approach is consistent with previous decisions of the DOJ involving the application of federal criminal law. For example, DOJ has previously construes the congressional contempt statute as inapplicable to executive branch officials who refuse to comply with congressional subpoenas because of an assertion of executive privilege. In a 1984 opinion, DOJ concluded that
if executive officials were subject to prosecution for criminal contempt whenever they carried out the President’s claim of executive privilege, it would significantly burden and immeasurably impair the President’s ability to fulfill his constitutional duties. Therefore, the separation of powers principles that underlie the doctrine of executive privilege also would preclude an application of the contempt of Congress to punish officials for aiding the President in asserting his constitutional privilege.
Prosecution for Contempt of Congress of an Executive Branch Official Who Has Asserted A Claim of Executive Privilege, 8:Op O.L.C. 101, 143 (May 30, 1984). Likewise, if executive officials were subject to prosecution for conducting interrogations when they were carrying out the President’s Commander-in-Chief powers, "it would significantly burden and immeasurably impair the President’s ability to fulfill his constitutional duties." These constitutional principles preclude an application of Section 2340A to
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punish officials for aiding the President in exercising his exclusive constitutional authorities. Id.
(U) It could be argued that Congress enacted 18 U.S.C. § 2340A with full knowledge and consideration of the President’s Commander-in-Chief power, and that Congress intended to restrict his discretion; however, the Department of Justice could not enforce Section 2340A against federal officials acting pursuant to the president’s constitutional authority to wage a military campaign. Indeed, in a different context, DOJ has concluded that both courts and prosecutors should reject prosecutions that apply federal criminal laws to activity that is authorized pursuant to one of the President’s constitutional powers. DOJ, for example, has previously concluded that Congress could not constitutionally extend the congressional contempt statute to executive branch officials who refuse to comply with congressional subpoenas because of an assertion of executive privilege. They opined that "courts…would surely conclude that a criminal prosecution for the exercise of a presumptively valid, constitutionally based privilege is not consistent with the Constitution." 8 Op O.L.C. at 141. Further, DOJ concluded that it could not bring a criminal prosecution against a defendant who had acted pursuant to an exercise of the President’s constitutional power. "The President, through a United States Attorney, need not, indeed may not, prosecute criminally a subordinate for asserting on his behalf a claim of executive privilege. Nor could the Legislative Branch or the courts require or implement the prosecution of such an individual." Id. Although Congress may define federal crimes that the President, through the Take Care Clause, should prosecute, Congress cannot compel the President to prosecute outcomes taken pursuant to the President’s own constitutional authority. If Congress could do so, it could control the President’s authority through the manipulation of federal criminal law.
(U) There are even greater concerns with respect to prosecutions arising out of the exercise of the President’s express authority as Commander-in-Chief than with prosecutions arising out of the assertion of executive privilege. In a series of opinions examining various legal questions arising after September 11, 2001, DOJ explained the scope of the President’s Commander-in-Chief power. We briefly summarize the findings of those opinions here. The President’s constitutional power to protect the security of the United States and the lives and safety of it’s people must be understood in light of the Founder’s intention to create a federal government "cloathed with all the powers requisite to the complete execution of It’s trust." The Federalist No. 23, at 147 (Alexander Hamilton) (Jacob E. Cooke ed. 1961). Foremost among the objectives committed to that trust by the Constitution is the security of the nation. As Hamilton explained in arguing for the Constitution’s adoption, because "the circumstances which may affect the public safety" are not reducible within certain determinate limits,
it must be admitted, as necessary consequences, that there can be no limitations of that authority, which is to provide for the defense and protection of the community, in any matter essential to its efficacy.
Id. at 147-48. Within the limits that the Constitution itself imposes, the scope and distribution of the powers to protect national security must be construed to authorize the
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most efficacious defense of the nation and its interests in accordance "with the realistic purposes of the entire instrument." Lichter v. United States, 334 U.S. 742, 782 (1948).
(U) The text, structure, and history of the Constitution establish that the Founders entrusted the President with the primary responsibility, and therefore the power, to ensure the security of United States in situations of grave and unforeseen emergencies. The decision to deploy military force in the defense of the United States interests is expressly placed under Presidential Authority by the Vesting Clause, U.S. Const. Art I § 1, cl. 1, and by the Commander-in-Chief Clause, id., § 2, cl. 1. (18) DOJ has long understood the Commander-in-Chief Clause in particular as an affirmative grant of authority to the President. The Framers understood the Clause as investing the President with the fullest range of power understood at the time of the ratification of the Constitution as belonging to the military commander. In addition, the Structure of the Constitution demonstrates that any power traditionally understood as pertaining to the executive which includes the conduct of warfare and the defense of the nation unless expressly assigned in the Constitution to Congress, is vested in the President. Article II, Section 1 makes this clear by stating that the "executive Power shall be vested in a President of the United States of America." That sweeping grant vests in the President an unenumerated "executive power" and contrasts with the specific enumeration of the powers-those "herein" granted to Congress in Article I. The implications of constitutional text and structure are confirmed by the practical consideration that national security decisions require the unity in purpose and energy in action that characterize the Presidency rather than Congress. (19)
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(U) See Johnson
v. Eisentrager, 339 U.S. 763, 789 (1950) (President has
authority to deploy United States armed forces "abroad or to
any particular region"); Fleming v. Page, 50 U.S. (9 Flow)
603, 614-15 (1950) ("As commander-in-chief, [the President]
is authorized to direct the movements of the naval and
military forces placed by law at his command, and to employ
them in a manner he may deem most effective") Loving v.
United States, 517 U.S. 748, 776 (1996) (Scalia, J.,
concurring in part and concurring in judgment)(The inherent
powers of the Commander-in-Chief "are clearly extensive."):
Maul v. United States, 274 U.S. 501, 515-16 (1927) (Brandeis
& Holmes J.T., concurring)(President "may direct any revenue
cutter to cruise in any water in order to perform any duty
of the service"); Commonwealth Massachusetts v. Laird, 451
F.2d 26, 32 (1st Cir. 1971) (the President has "power as
Commander-in-Chief to station forces abroad"); Ex parte
Vallandigham, 28 F. Cas. 874, 922 (C.C.B.D. Ohio (1863)(No.
16,816) (in acting "under his power where there is no
express legislative declaration, the president is guided
solely by his own judgement and discretion"); Authority to
Use United States Military Forces in Somalia, 16 Op. O.L.C.
6,G (Dec. 4, 1992) (Barr, attorney General).
(U) Judicial
decisions since the beginning of the Republic confirm the
President’s constitutional power and duty to repel military
action against the United States and to take measures to
prevent the reoccurrence of an attack. As Justice Joseph
Story said long ago, "[I]t may be fit and proper for the
government, in the exercise of the high discretion confided
to the executive, for great public purposes, to act on a
sudden emergency, or to prevent an irreparable mischief, by
summoning measures, which are not found in the text of the
laws." The Apallon, 22 U.S. (9 Wheat) 362, 366-67 (1824). If
the President is confronted with an unforeseen attack on the
territory and people of the United States, or other
immediate dangerous threat to American interests and
security, it is his constitutional responsibility to respond
to that threat with whatever means are necessary. See e.g.,
The Prize Cases, 67 U.S. (2 Black) 635, 668 (1862)("If a war
be made by invasion or a foreign nation, the President is
not only authorized but bound to resist force by
force…without waiting for any special legislative
authority."); United States v. Smith, 27 F. Cas; 1192,
1229-30 (C.C.D.N.Y., 1.-06)(No. 16,342)(Paterson, Circuit
Justice)(regardless of statutory authorization, it is "the
duty…of the executive magistrate - to repel an invading
foe") see also 3 Story, Commentaries 6, 1485 ("[t]he command
and application of the public force…to maintain peace, and
to resist foreign invasion" are executive powers).
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(U) As the Supreme Court has recognized, the Commander-in-Chief power and the President’s obligation to protect the nation imply the ancillary powers necessary to their successful exercise. "The first of the enumerated powers of the President is that he shall be Commander-in-Chief of the Army and Navy of the United States. And of course, the grant of war power includes all that is necessary and proper for carrying those powers into execution." Johnson v. Eisentrager, 339 U.S. 763, 788 (1950). In wartime it is for the President alone to decide what methods to use to best prevail against the enemy. The President’s complete discretion in exercising the Commander-in-Chief power has been recognized by the courts. In the Prize Cases, 67 U.S. (2 Black) 635, 670 (1862), for example, the Court explained that whether the President, "in fulfilling his duties as Commander in Chief", had appropriately responded to the rebellion of the southern states was a question" to be decided by him" and which the Court could not question, but must leave to "the political department of the Government to which this power was entrusted".
(U) One of the core functions of the Commander-in-Chief is that of capturing, detaining, and interrogating members of the enemy. It is well settled that the President may seize and detain enemy combatants, at least for the duration of the conflict, and the laws of war make clear that prisoners-may be interrogated for information concerning the enemy, its strength, and its plans. Numerous Presidents have ordered the capture, detention, and questioning of enemy combatants during virtually every major conflict in the Nation’s history, including recent conflicts in Korea, Vietnam, and the Persian Gulf. Recognizing this authority, Congress has never attempted to restrict or interfere with the President’s authority on this score.
(U) Any effort by Congress to regulate the interrogation of unlawful combatants would violate the Constitution’s sole vesting of the Commander-in-Chief authority in the President. There can be little doubt that intelligence operations, such as the detention and interrogation of enemy combatants and leaders, are both necessary and proper for the effective conduct of a military campaign. Indeed, such operations may be of more importance in a war with an international terrorist organization than one with conventional armed forces of a nation-state, due to the former’s emphasis on secret operations and surprise attacks against civilians. It may be the case that only successful interrogations can provide the information necessary to prevent the success of covert terrorist attacks upon the United States and its citizens. Congress can no more interfere with the President’s conduct of the interrogation of enemy combatants than it can dictate strategy or tactical decisions on the battlefield. Just as statutes that order the president to conduct warfare in a certain manner or for specific goals would be unconstitutional, so too are laws that seek to prevent the President from gaining the intelligence he believes necessary to prevent attacks upon the United States.
(U) As this authority is inherent in the President, exercise of it by subordinates would be best if it can be shown to have been derived from the President’s authority through Presidential directive or other writing.
----------
(U) We note that this view is consistent
with that of the Department of Justice.
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b.
Necessity
(U) The defense of necessity could be raised, under the current circumstances, to an allegation of a violation of a criminal statute. Often referred to as the "choice of evils" defense, necessity has been defined as follows:
conduct that the actor believes to be necessary to avoid a harm or evil to himself or to another is justifiable, provided that:
(a) the harm or evil sought to be
avoided by such conduct is greater than that sought to be
prevented by the law defining the offense charged;
and
(b) neither the Code nor other law defining the
offense provides exceptions or defenses dealing with the
specific situation involved; and
(c) a legislative
purpose to exclude the justification claimed does not
otherwise plainly appear.
Model Penal Code 3.02. See also Wayne R. LaFave & Austin W. Scott. I Substantive Criminal Law 5.4 at 627 (1986 &2002 app:)("LaFave & Scott"). Although there is no federal statute that generally establishes necessity or other justifications as defenses to federal criminal laws, the Supreme Court has recognized the defense. See United States v. Bailey, 444 U.S. 394, 410 (1980) (relying on LaFave & Scott and Model Penal Code definitions of necessity defense).
(U) The necessity defense may prove especially relevant in the current circumstances. As it has been described in the case law and literature, the purpose4 behind necessity is one of public policy. According to LaFave & Scott, "the law ought to promote the achievement of higher values at the expense of lesser values, and sometimes the greater good for society will be accomplished by violating the literal language of the criminal law." LaFave & Scott, at 629. In particular, the necessity defense can justify the intentional killing of one person to save two others because "it is better that two lives be saved and one lost than that two be lost and one saved" Id. or, put in the language of choice of evils, "the evil involved in violating the terms of the criminal law (…even taking another’s life) may be less than that which would result from literal compliance with the law (…two lives lost)". Id.
(U) Additional elements of necessity defense are worth noting here. First, the defense is not limited to certain types of harms. Therefore, the harm inflicted by necessity may include intentional homicide, so long as the harm avoided is greater (i.e., preventing more deaths) Id. at 634. Second, it must actually be the defendant’s intention to avoid the greater harm: intending to commit murder and then learning only later that the death had the fortuitous result of saving other lives will not support a necessity defense. Id. at 635. third, if the defendant reasonably believes that the lesser harm as necessary, even if, unknown to him, it was not, he may still avail himself of the defense,. As LaFave and Scott explain, "if A kills B reasonably believing it to be necessary to save C and D, he is not guilty of murder eve though, unknown to A. C and D could have been
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Rescued without the necessity of killing B," Id. Fourth, it is for the court, and not the defendant to judge whether the harm avoided outweighed the harm done. Id. at 636. fifth, the defendant cannot rely upon the necessity defense if a third alternative that will cause less harm is open and known to him.
[Area Removed from Document]
(U) Legal authorities identify an important exception to the necessity defense. The defense is available "only in situations wherein the legislature has not itself, in its criminal statute, made determination of values." Id. at 629. Thus, if Congress explicitly has made clear that violation of a statute cannot be outweighted by the harm avoided, courts cannot recognize the necessity defense. LaFave and Israel provide as an example an abortion statute that made clear that abortions even to save the life of the mother would still be a crime; in such cases the necessity defense would be unavailable. Id. at 630. Here, however, Congress has not explicitly made a determination of values vis-à-vis torture. In fact, Congress explicitly removed efforts to remove torture from the weighing of values permitted by the necessity defense.
----------
In the CAT, torture
is defined as the intentional infliction of severe pain or
suffering "for such purposes of obtaining from him or a
third person information or a confession." CAT art 1.1 One
could argue that such a definition represented an attempt to
indicate that the good of obtaining information - no matter
what the circumstances - could not justify an act of
torture. In other words, necessity would not be a defense.
In enacting Section 2340, however, Congress removed the
purpose element in the definition of torture, evidencing an
intention to remove any fixing of values by statute. By
leaving, Section 2340 silent6 as to the
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c.
Self-Defense
(U) Even if a court were to find that necessity did not justify the violation of a criminal statue, the defendant could still appropriately raise a claim of self-defense. The right to self-defense, even when it involves deadly force, is deeply embedded in our law, both as to individuals and as to the nation as a whole. As the Court of Appeals for the D.C. Circuit has explained:
More than two centuries ago, Blackstone, best known of the expositors of the English common law taught that "all homicide is malicious, and of course amounts to murder, unless…excused on the account of accident or self preservation". Self-defense, as a doctrine legally exonerating the taking of human life, is as viable now as it was in Blackstone’s time.
United States v. Peterson, 483 F.2d 1222, 1228-29 (D.C. Cir. 1973). Self-defense is a common-law defense to federal criminal law offenses, and nothing in the text, structure or history of Section 2340A precludes its application to a charge of torture. In the absence of any textual provision to the countrary, we assume self-defense can be an appropriate defense to an allegation of torture.
(U) The doctrine of self-defense permits the use of force to prevent harm to another person. As LaFave and Scott explain, one is justified in using reasonable force in defense of another person, even a stranger, when he reasonably believes that the other is in immediate danger of unlawful bodily harm from his adversary and that the use of such force is necessary to avoid this danger." Id. at 663-64. Ultimately, even deadly force is permissible, but "only when the attack of the adversary upon the other, person reasonably appears to the defender to be a deadly attack" Id at 664. As with our discussion of necessity, we will review the significant elements of this defense. According to LaFave and Scott, the elements of the defense of others are the same as those that apply to individual self-defense.
----------
harm done by torture in comparison to
other harms, Congress allowed the necessity defense to apply
when appropriate.
Further, the CAT contains an additional provision that "no exceptional circumstances whatsoever, whether a state of war or a threat of war, internal political instability or any other public emergency, may be invoke4d as a justification of torture," CAT art. 2.2 Aware of this provision of the treaty and of the definition of the necessity defense that allows the legislature to provide for an expection to the defense. See Model Penal Code 3,02(b), Congress did not incorporate CAT article 2.2 into Section 2-4. Given that Congress omitted CAT’s effort to bar a necessity or wartime defense, Section 2340 could be read as permitting defense.
(U) Early cases had suggested that in order to be eligible for defense of another, one should have some personal relationship with the one in need of protection. That view has been discarded. LaFave & Scott at 664.
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(U) First, self-defense requires that the use of force be necessary to avoid the danger of unlawful bodily harm. Id. at 649. a defender may justifiably use deadly force if he reasonably believes that the other person is about to inflict unlawful death or serious bodily harm upon another, and that it is necessary to use such force to prevent it. Id. at 652. Looked at from the opposite perspective, the defender may not use force when the force would bge as equally effective at a later time and the defender suffers no harm or risk by waiting. See Paul H.Robinson, 2 Criminal Law defenses 131(c) at 77 (1984). If, however, other options permit the defender to retreat safely from confrontation without having to resort to deadly force, the use of force may not be necessary in the first place. LaFave and Scott at 659-60.
(U) Second, self-defense requires that
the defendant’s belief in the necessity of using force be
reasonable. If a defendant honestly but unreasonably
believed force was necessary, he will not be able to make
out a successful claim of self-defense. Id. at 654.
Conversely, if a defendant reasonably believed an attack was
to occur, but the facts subsequently showed no attack was
threatened, he may still raise self-defense. As LaFave and
Scott explain, "one may be justified in shooting to death
and adversary who, having threatened to kill him, reaches
for his pocket as if for a gun, thou it later appears that
he had no gun and that he was only reaching for his
handkerchief." Id. Some authorities such as the Model Penal
Code, even eliminate the reasonability element, and require
only that the defender honestly believed regardless of its
reasonableness - that the use of force was necessary.
(U) Third, many legal authorities include the requirement that a defender must reasonably believe that the unlawful violence is "imminent" before he can use force in his defense. It would be a mistake, however, to equate imminence necessarily with timing that an attack is immediately about to occur. Rather, as the Model Penal Code explains, what is essential in that the defensive response must be "immediately necessary." Model Penal Code 3.04(1). Indeed, imminence must be merely another way of expressing the use of force may be justified. To use a well-known hypothetical, if A were to kidnap and confine B, and then tell B he would kill B one week later, B would be justified in using force in self-defense, even if the opportunity arose before the week had passed. Id. at 656; see also Robinson at 131(c)(1) at 78. In this hypothetical, while the attack itself is not imminent, B’s use of force becomes immediately necessary whenever he has an opportunity to save himself from A.
(U) Fourth, the amount of force should be proportional to the threat. As LaFave and Scott explain, "the amount of force which [the defender] may justifiably use must be reasonably related to the threatened harm which he seeks to avoid." LaFave and Scott at 651. thus, one may not use deadly force in response to a threat that does not rise to death or serious bodily harm. If such harm may result however, deadly force is appropriate.
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is almost indispensable to every military system. But this implies obedience to lawful orders only. If the act done pursuant to a superior’s orders be murder, the production of the order will not make it any less so. It may mitigate but it cannot justify the crime. We are of this view, however, that if the illegality of the order was not known to the inferior, and he could not reasonably have been expected to know of its illegality, no wrongful intent necessary to the commission of the crime exists and the inferior [sic] will be protected. But the general rule is the members of the armed forces are bound to obey only the lawful orders of their commanding officers and they cannot escape criminal liability obeying a command which violates international law and outrages fundamental concepts of justice.
The Hostage Case (United States v. Wilhelm List et. al.)
(U) The international Military Tribunal at Nuremberg declared in its judgment that the test of responsibility for superior orders "is not the existence of the order, but whether moral choice was in fact possible."
(U) domestically, the UCMJ discusses the defenses of superior order in The Manual Courts-Martial, which provides in R.C.M. 916(d), MCM 2002:
It is a defense to any offense that the accused was acting pursuant to orders unless the accused know the orders to be unlawful or a person of ordinary sense and understanding would have known the orders to be unlawful. An act performed pursuant to a lawful order is justified. An act performed pursuant to an unlawful order is excused unless the accused knew it to be unlawful or a person of ordinary sense and understanding would have know the orders to be unlawful.
Inference of lawfulness. An order requiring the performance of a military duty or act may be inferred to be lawful and it is disobeyed at the peril of the subordinate.
(U) In sum, the defense of superior orders will generally be available for U.S. Armed Forces personnel engaged in exceptional interrogations except where the conduct goes so far as to be patently unlawful.
----------
(U) Trial of Major War Criminals before
the International Military Tribunal, Nuremberg 14 November
1945-1 October 1946 at 224 (1947), excerpted in U.S. Naval
War College, International Law Documents, 1946-1947, at 260
(1948).
(U) This inference does not apply to a patently
illegal order, such as one that directs the confession of a
crime. (Article 90, UCMJ).
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A.
Lack of DOJ
Representation for DOD Personnel Charged with a Criminal
Offense
(U) DOJ representation of a defendant is generally not available in federal criminal proceedings, even when the defendant’s actions occur within the scope of federal employment.
B. Federal Civil Statutes
1. 28 U.S.C. 1350
(U) 28 U.S.C. 1350 extends the jurisdiction of the U.S. District Courts to "any civil action by an alien for a tort only, committed in violation of the law of nations or a treaty of the United States". Section 1350 is a vehicle by which victims of torture and other human rights violations by their native government and its agents have sought judicial remedy for the wrongs they’ve suffered. However, all the decided cases we have found involve foreign nationals suing in U.S. District Courts for conduct by foreign actors/governments. The District Court for the District of Columbia has determined that section 1350 actions, by the GTMO detainees, against the United States or its agents acting within the scope of employment fail. This is because (1) the United States has not waived sovereign immunity to such suits like those brought by the detainees, and (2) the Eisentrager doctrine barring habeas access also precludes other potential avenues of jurisdiction. This of course leaves interrogators vulnerable in their individual capacity for conduct a court might find tortuous. Assuming a court would take jurisdiction over the matter and grant standing to the detainee, it is possible that this statute would provide an avenue of relief for actions of the United States or its agents found to violate customary international law. The application of international law, specifically that which might be considered custom, is discussed supra in Section IV at "International Considerations that May Affect Policy Determinations";
2. Torture Victims Protection Act (TVPA
(U) In 1992, President Bush signed into law the Torture Victims Protection Act of 1991. Appended to the U.S. Code as a note to section 1350, the TVPA specifically creates a cause of action for individuals (or their successors) who have been subjected to torture or extra-judicial killing by "an individual who, under actual or apparent authority,
----------
(U) 28 CFR
50.15 (a)(4)
(U) 28 U.S.C 1350, the Alien Tort Claim Act
(ATCA).
(U) See, for example, Ababe-Jva v. Negano, No
93-9133. United States Court of Appeals, Eleventh Circuit,
Jan 10, 1996 In this case the 11th Circuit concluded, "the
Alien Tort Claims Act establishes a federal forum where
courts may fashion domestic common law remedies to give
effect to violations of customary international law."
(U) Al Odah v. United States, (D.D.C., 2002)
(U)
Filartiga v Pena-Irale, 630 F.2d 76 (2nd Cir. 1980) 885,
note I, "conduct of the type alleged here [torture] would be
actionable under 42 U.S.C. 1983, or undoubtedly the
Constitution, if performed by a government
official."
(U)Pub. I. No. 102-256, 106 Stal. 73, 28 U.S.C
1350 (note).
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or color of law, of any foreign nation (1) subjects an individual to torture shall in a civil action, be liable for damages to that individual; or (2) subjects an individual to extra judicial in a civil action, be liable for damages…." (emphasis added) It thus appears that the TVPS does not apply to the conduct of U.S. agents acting under the color of law.
C.
Applicability of the United States Constitution
1.
Applicability o the Constitution to aliens Outside the United States
(U) Nonresident enemy aliens do not enjoy constitutional rights outside the sovereign territory of the United States. The courts have held that unlawful combatants do not gain constitutional rights upon transfer to GTMA as unlawful combatants merely because the U.S. exercises extensive dominion and control over GTMA. Moreover, rights apply to aliens only on sovereign U.S. territory. (See discussion under "Jurisdiction of Federal Courts", infra)
(U) Although U.S. cvonstitutional rights do not apply to aliens at GTMO, the Ul.S. criminal laws do apply to acts committed there by virtue of GTMO’s status as within the special maritime and territorial jurisdiction.
2.
The Constitution Defining U.S. Obligations Under International Law
(U) In the course of taking reservations to the Convention Against Torture and Other Cruel, and Inhuman or Degrading Treatment or Punishment, the United States determined that the Conventionw’s prohibitions against cruel, inhuman or degrading treatment or punishment applied only to the extent that such conduct was prohibited by the Fifth, Eighth and Fourteenth Amendments to our Constitition. Consequently, analysis of these amendments is significant in determining the extent to which the United States is bound by the Convention. It should be clear, however, that aliens held at GTMO do not have constitutional rights under the 5th Amendment’s Due Process clause
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(U) The
definition of torture used in PL 102-256(a) "any act,
directed against an individual in the offender’s custody or
physical control, by which severe pain or suffering (other
than pain or suffering arising only from or inherent in, or
incidental to lawful sanctions) whether physical or mental,
is intentionally inflicted on that individual for such
purposes as obtaining from that individual or a third person
information or a confession, punishing that individual for
an act that individual or a third person has committed or is
suspected of having committed,, intimidating or coercing
that individual or a third personk, or for any reason based
on discrimination of any king." This is similar but broader,
than the definition in the Torture Statute. The definition
of mental pain and suffering is the same as in the Torture
Statute.
(U) Eisenstrager 764.
(U) Al Odah v. United
States, (D.D.C., 2002).
(U) Articles of ratification, 21
Oct 1994: "Il. The Senate’s advice and consent is subject to
the following reservations: (1) That the United States
considers itself bound by the obligation under article 16 to
prevent "cruel, inhuman, or degrading treatment or
punishment", means the cruel, unusual and inhumane treatment
or punishment prohibited by the Fifth, Eighth, and/or
Fourteenth Amendments to the Constitution of the United
States" available at the UN documents site:
http://193.194.138.190/html/menu3/treaty12_asp.htm
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or the 8th Amendment. See, Johnson v. Eisenberger, 339 U.S. 763 (1950) and Verdugo-Urquidez, 494 U.S. 259 (1990).
a.
Eighth Amendment
(U) "An examination of the history of the Amendment and the decisions of this [Supreme] Court construing the proscription against cruel and unusual punishment confirms that it was designed to protect those convicted of crimes" The import of this holding is that, assuming a detainee could establish standing to challenge his treatment the claim would not lie under the 8th Amendment. Accordingly, it does not appear detainees could successfully pursue a claim regarding their pre-conviction treatment under the Eighth Amendment.
(U) The standards of the Eighth Amendment are relevant, however, due to the U.S. Reservation to the Torture Convention’s definition of cruel, inhuman, and degrading treatment. Under "cruel and unusual punishment" jurisprudence, there are two lines of analysis: (1) conditions of confinement, and (2) excessive force. As a general matter, the excessive fore analysis applies to the official use of physical force, often in situations in which an inmate has attacked another inmate or a guard whereas the conditions of confinement analysis applies to such things as administrative segregation. Under the excessive force analysis, "a prisoner alleging excessive for4ce must demonstrate that the defendant acted "maliciously and sadistically to cause harm." Porter v. Nussle, 534 U.S. 516, 528 (2002)(quoting Hudson v. McMillan; 503 U.S.. 1, at 7). Excessive force requires the unnecessary and wanton infliction of pain. Whitney v. Albers, 475, U.S. 312, 319 (1986).
(U) A condition of confinement is not "cruel and unusual" unless it (1) is "sufficiently serious" to implicate constitutional protection, id. at 347, and (2) reflects "deliberate indifference" to the prisoner’s health or safety, Farmer v Brennan 511 U.S. 825, 834 (1994). The first element is objective, and inquires whether the challenged condition is cruel and unusual. The second, so-called "subjective’ element requires examination of the actor’s intent and inquires whether the challenged condition is imposed as punishment. Wilson v. Selter, 501 U.S. 294, 300 (1991) ("The source of the intent requirement is not the predilections of this Court, but the Eighth Amendment itself, which bans only cruel and unusual punishment. If the pain inflicted is not formally meted out as punishment by the statute or sentencing judge, some mental element must be attributed to the inflicting officer before it can qualify.")
(U) The Supreme Court has noted that
"[n]o static ‘test’ can exist by which courts determine
whether conditions of confinement are cruel and unusual, for
the Eighth Amendment must draw its meaning from the evolving
standards of decency that mark the progress of a maturing
society." Rhodes, 452 U.S. at 146 (citation omitted). See
also Estelle v. Gamble, 429 U.S. 97, 102 (1976)(stating that
the Eighth Amendment embodies
----------
(U) Ingraham
v. Wright, 430 U.S. 651, 664 (1977). In Ingrahm, a case
about corporal punishment in a public junior high school,
the Court analyzed the claim under the 14th amendment’s Due
Process clause, concluding that the conduct did not violate
the 14th amendment, even though it involved up to 10 whacks
with a wooden paddle.
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"broad and idealistic concepts of dignity, civilized standards, humanity, and decency") Nevertheless, certain guidelines emerge from the Supreme Court’s jurisprudence.
(U) The court has established that "only those deprivations denying "the minimal civilized measures of life’s necessities’ sufficiently grave to form the basis of an Eighth Amendment violation." Wilson, 501 U.S. at 298, quoting Rhodes, 452 U.S. at 347. It is not enough for a prisoner to show that he has been subjected to conditions that are merely "restrictive and even harsh," as such conditions are simply "part of the penalty that criminal offenders pay for their offenses against society." Rhodes, 452 U.S. at 347. See also Wilson at 349 (the Constitution does not mandate comfortable prisons.").. Rather, a prisoner must show that he has suffered a "serious deprivation of basic human needs," Id at 347, such as "essential food, medical care, or sanitation," Id. At 348, See also Wilson, 501 U.S. at 304 (requiring "the deprivation of a single, identifiable human need such as food, warmth, or exercise") "The Amendment also imposes [the duty on officials to] provide humane conditions of confinement; prison officials must ensure that inmates receive adequate food, clothing, shelter, and medical care, and must take reasonable measures to guarantee the safety of the inmates." Farmer, 511 U.S. at 832 (citations omitted). The Court has also articulated an alternative test inquiring whether an inmate was exposed to "a substantial risk or serious harm." Id. At 837. See also DeSpain v. Uphoff, 264 F.3d 965, 971 (10th Cir. 2001)("In order to sati8sfy the [objective] requirement, the inmate must show that he is incarcerated under conditions posing a substantial risk of serious harm.")
(U) The various conditions of confinement are not to be assessed under a totality of the circumstances approach. In Wilson v. Seiter, 501 U.S. 294 (1991), the Supreme Court expressly rejected the contention that "each condition must be considered as part of the overall conditions challenged." Id. At 304 (internal quotation marks and citation omitted), Instead the Court concluded that "Some conditions of confinement may establish an Eighth Amendment violation ‘in combination’ when each would not do so alone, but only when they have a mutually enforcing effect that produces the deprivation of a single identifiable human need such as food, warmth, or exercise - for example, a low cell temperature at night combined with a failure to issue blankets." Id. At 304. As the Court further explained, "Nothing so amorphous as ‘overall conditions’ can rise to the level of cruel and unusual punishment when no specific deprivations of a single human need exists." Id. at 305.
(U) To demonstrate deliberate indifference, a prisoner must demonstrate "that the official was subjectively aware of that risk". Farmer v. Brennan 511 U.S. 125 (1994). As the supreme Court further explained:
We hold… that a prison official cannot be found liable under the Eighth Amendment for denying any inmate humane conditions of confinement unless the official knows of and regards an excessive risk to inmate health or safety; the official must both be aware of facts from which the inference can be drawn that a substantial risk of serious harm exists and he must also draw the inference.
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that "[t]his primitive treatment amount [ed] to [the] gratuitous infliction of ‘wanton and unnecessary’ pain that our precedent clearly prohibits." Id. at 2515. Thus, the necessity of the government action bears upon both the conditions of confinement analysis as well as the excessive force analysis.
(U) The government interest here is of the highest magnitude. The typical prison case, the protection of other inmates or officers, the protection of the inmate alleged to have suffered the cruel and unusual punishment, or even the maintenance of order in the prison provide valid government interests for various deprivations. See e.g. Anderson v. Nosser, 438 F.2d 183, 193 (5th Cir. 1971) ("protect[ing] inmates from self-inflicted injury, protect[ing] the general prison population and personnel from violate acts on his part, prevent[ing] escape" are all legitimate penological interests that would permit the imposition of solitary confinement); McMahon v. Beard, 583 F.2d 172, 175 (5th Cir. 1978) (prevention if inmate suicide is a legitimate interest). If the protection of one person or even prison administration can be deemed to be valid governmental interests in such cases frequently permitted deprivations, it follows a fortiori that the interest of the United States here - obtaining intelligence vital to the protection of untold thousands of American citizens - can be no less valid. To be sure, no court has encountered the precise circumstances hereunder Eighth Amendment jurisprudence. Nonetheless, it can be forcefully argued that there can be no more compelling government interest than that which is presented here. See Hope v. Pelzer, 122 s. Ct. 2508 (2002) ("The unnecessary and wanton infliction of pain …constitutes cruel and unusual punishment forbidden by the Eighth Amendment. We have said that among unnecessary and wanton inflictions of pain are those that are totally without penological justification.")
(U) Fifth Amendment and Fourteenth Amendment"
(U) "It is now the settled doctrine… that the Due Process Clause embodies a system of rights based on moral principles so deeply imbedded in the traditions and feelings of our people as to be deemed fundamental to a civilized society as conceived by our whole history. Due Process is that which comports with the deepest notions of what is fair and right and just"49 Due process is violated if a practice or rule "offends some principle of justice so rooted in the traditions and conscience of our people as to be ranked as fundamental".50
(U) Standing by itself, the phrase
"due process" would seem to refer solely and simply to
procedure, to process in court, and therefore to be so
limited that "due process of law" would be what the
legislative branch enacted it to be. But that is not the
interpretat8ion which has been placed on the term. "It is
manifest that it was not left to the legislative power to
enact any process which might be devised. The article is a
restraint on the legislative as well as on the executive and
judicial powers of the government, and cannot be so
construed as to leave congress free to make any process ‘due
process of law’
----------
(U) Because the Due Process
considerations under the 5th and 14th amendments are the
same for our purposes, this analysis considers them
together.
(U) Solesbee v. Batkcom, 339 U.S. 9, 16 (1950)
(Justice Frankfurter dissenting).
(U) Snyder v.
Massachusetts, 291 U.S. 97, 105 (1934).
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Reserve component and retired regular officers can, under certain circumstances, also be subject to the UOMJ, as can civilians accompanying the Armed Forces in time of war under certain circumstances.
1.
(U) Offenses
(U) a number of UCMJ provisions potentially apply to service members involved in the interrogation and supervision of the interrogation of detainees. Most significant are the following:
a.
Cruelty, Oppression or Maltreatment, Art 93
(U) The elements of the offense are that the alleged victim was subject to the orders of the accused and that the accused was cruel toward, oppressed, or maltreated the victim. The cruelty, etc. need not be physical. Subject to the orders of, includes persons, subject to the UCMJ or not, who are by some reason of some duty are required to obey the lawful orders of the accused, even if not in the direct chain of command of the accused. "Cruel", "oppressed", and "maltreated" refer to unwarranted, harmful, abusive, rough or other unjustifiable treatment that, under all the circumstances, results in physical or mental pain or suffering and is unwarranted, unjustified and unnecessary for any lawful purpose. It is measured by an objective standard. MCM IV-25; MJB, Section 3-17-1.
b.
Reckless Endangerment, Art 134
(U) The elements of the offense are that the accused engaged in wrongful conduct that was reckless or wanton and that the conduct was likely to produce death or grievous bodily harm. "[L]ikely to produce" means the natural or probable consequences of particular conduct. "[G}rievous bodily harm" includes injuries comparable to fractured or dislocated bones, serious damage to internal organs. MCM IV-119; MJB, Section 3-100A-1.
c.
Assault, Art 128
(U) This article encompasses the following offenses:
(U) Simple assault – The elements are that the accused attempted or offered to do bodily harm to an individual and that such attempt or offer was done with unlawful force and violence. An act of force or violence is unlawful if done without legal justification or excuse and without the consent of the victim. The use of threatening words accompanied by a menacing act or gesture may constitute an assault. MCM IV-81; MJB, Section 3-54-1.
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(U)
Article 2 UCMJ; Rules for Courts-Martial, Rule 202, and
Discussion.
(U) The following are extracted from the
Department of the army Pamphlet 27-9, Military Judges’
Benchbook (MJB), which summarizes the requirements of the
Manual for Courts-Martial (MCM) and case law applicable to
trials by courts martial.
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(U) Assault consummated by battery – An assault resulting in actual infliction of bodily harm is a batter. Bodily harm means any physical injury to or offensive touching, however slight. MCM IV-83; MJB, Section 3-54-1A.
(U) Aggravated assault (use of a dangerous weapon, means or force) – In addition to the elements of an assault, this offense requires that the means or force attempted or offered was used in a manner likely to produce death or grievous bodily harm. Any object, regardless of its normal use, could become a means likely to inflict grievous bodily harm depending on the manner in which it is actually used. MCM IV-84; MJB, Section 3-54-8.
(U) There are multiple instances in which authority and context permit touching - by police officers, prison guards, training NCOs, etc. - that would not be lawful under other circumstances. A central issue would be how clearly the limits of authority were defined and whether under the circumstances the individual exceeded the scope of that authority.
d.
Involuntary Manslaughter, Art 119
(U) The elements of this offense are that acts or omissions constitution culpable negligence resulted in an unlawful killing. Culpable negligence contemplates a level of heedlessness in circumstances in which, when viewed in the light of human experience, might foreseeably result in death. MCM IV-64. Failure to assiduously follow protocols providing for the health and safety of detainees during interrogations of detainees, could amount to such culpable negligence, MJB, Section 3-44-2.
e.
Unpremeditated Murder, Art 118
(U) The relevant elements of the offense are that the person is dead, his death resulted from the act or failure to act of the accused, that the killing was unlawful, without legal justification, and at that time the accused had the intent to inflict great bodily harm upon the person. MCM IV-118, MTB, Section 3-43-2.
f.
Disobedience of Orders, Art 92
(U) This offense is committed when the accused, having a duty to do so, fails to obey lawful orders or regulations, MCM IV-23; MJB, Section 3-16. the duty to obey may extend to treaties and statuettes as well as regulations. The Convention against Torture and the general case law regarding cruel and unusual punishment may be relevant here as it is for Article 93, See generally, Wilson v. Setter, 501 U.S. 294 (1991).
g.
Dereliction of Duty, Art 92
(U) A dereliction occurs when an individual knew or should have known of certain prescribed duties and either wilfully or through neglect was derelict in the perfro4rmance of those duties. MCM IV-24; MJB, Section 3-16-4. Customs of the service
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As well as
statues and treaties that have become the law of the land
may create duties for purposes of this article.
h.
Maiming, Art 124
(U) The elements of this offense are that the accused intentionally inflicted an injury on a person, and whether intended or not, that the injury seriously disfigured the person’s body, destroyed or disabled an organ or member, or seriously diminished the person’s physical vigor. MCM IV-77; MJB, Section 3-50-1.
2.
Affirmative Defenses under the UCMJ (R.C.M. 916)
(U) In order for any use of force to be lawful, it must either be justified under the circumstances or an accepted affirmative defense is present to excuse the otherwise unlawful conduct. No case law was found that defines at what point force or violence becomes either lawful or unlawful during war. Each case is by its nature, dependent upon the factual circumstances surrounding the incident.
(U) Applying accepted rules for law of armed conflict, the use of force is only authorized when there is a mili5tary purpose and the force used is no greater than necessary to achieve the objective. The existence of war does not in and of itself justify all forms of assault. For instance , in United States v. Calley, 22 U.S.C.M.A 534k, 48 C.M.R:19 (1973), the court recognized that "while it is lawful to kill an enemy in the heat and exercise of war, to kill such an enemy after he has laid down his arms…is murder." Further, the fact that the law of war has been violated pursuant to an order of a superior authority, whether military or civil, does not deprive the act in question of its character of a war crime, nor does it constitute a defense in the trial of an accused individual, unless he did not know and could not reasonably have been expected to know that the act ordered was unlawful. In all cases where the order is held not to constitute a defense to an allegation of war crime, the fact that the individual was acting pursuant to orders may be considered in mitigation of punishment. The thrust of these holdings is that even in war, limits to the use and extent of force apply.
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a.
Self-Defense
(U) for the right of self-defense to exist, the accused must have had a reasonable apprehension that death or grievous bodily harm was about to be inflicted on himself. The test is whether, under the same facts and circumstances, an ordinary prudent adult person faced with the same situation would have believed that there were grounds to fear immediate death or serious bodily harm (an objective test) and the person must have actually believed that the amount of force used was required to protect against death or serious bodily harm (a subjective test). Grievous bodily harm means ser8ious bodily injury. It does not mean minor injuries such as a black eye or a bloody nose, but does mean fractured or dislocated bones, deep cuts, torn members of the body, serious damage to internal organs or other serious bodi8ly injuries. MJB, Section 5-2. (See also the discussion of "Self-Defense" under the discussion of Federal law, supra.)
b.
Defense of another
(U) For this defense, the accused must have had a reasonable belief that harm was about to be inflicted and that the accused actually believed that force was necessary to protect that person. The accused must actually believe that the amount of force used was necessary to protect against the degree of harm threatened. MJB, Section 5-3-1.
c.
Accident
(U) The defense arises when an accused is doing a lawful act I a lawful manner, free of any negligence, and unforeseeable or unintentional death or bodily harm occurs. MJB, Section 5-4.
d.
Mistake of Fact
(U) If ignorance or mistake of a fact5 concerns an element of an offense involving specific intent, the ignorance or mistake need only exist in the mind of the accused, i.e., if the circumstances of an event were as the accused believed, there would be no offense. For crimes not involving specific intent, the ignorance or mistake must be both honest (actual) and reasonable. The majority of the crimes discussed above do not require specific intent. For instance, in the case of violations of general orders, knowledge is presumed. Most of the "mistakes" would likely be mistakes of law in that the accused would not believe that the conduct was unlawful. While mistakes of law are generally not a defense, unawareness of a law may be a defense to show the absence of a criminal state of mind when actual knowledge is not necessary to establish the offense. MJB, Section 5-11.
e.
Coercion or duress
(U) It is defense to any offense except killing an innocent person that the accused’s participation in the offense was caused by a reasonable apprehension that the accused or another innocent person would be immediately killed or would immediately
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Suffer serious
bodily injury if the accused did not commit the act. This
apprehension must
reasonably continue throughout the
commission of the act. If the accused has any reasonable
opportunity to avoid committing the act without subjecting
the accused or another innocent person to the harm
threatened, this defense shall not apply. R.C.M. 916(h),
MJB, Section 5-5.
(U) To establish a duress defense it must be shown that an accused’s participation in the offense was caused by a reasonable apprehension that the accused or another innocent person would be immediately killed or would immediately suffer serious bodily harm if the accused did not commit the act. The apprehension must reasonably continue throughout the commission of the act. If the accused has any reasonable opportunity to avoid committing the act without subjecting the accused or another innocent person to the harm threatened, this defense shall not apply. The Court of Appeals stated in United States v. Fleming, 23 C.M.R. 7 (1957), that the defense of duress is available to an accused only if the commission of the crime charged resulted from reasonable fear of imminent death or grievous bodily harm to himself of his family. The risk of injury must continue throughout the criminal venture.
f.
Obedience to Orders (MJB, Sections 5-8-1 and 5-8-2)
(U) The viability of obedience to orders as a defense turns on the directives and policy of the service member’s Chain of Command. For example, when the interrogator at the direction of the command employs the use of physical force as an interrogation method, he/she would certainly raise the defense of obedience to orders. The question then becomes one of degree. While this may be a successful defense to simple assaults or batteries, it would unlikely be as successful to more serious charges such as maiming, manslaughter, and maiming. Within the middle of the spectrum lay those offenses for which the effectiveness of this defense becomes less clear. Those offenses would include conduct unbecoming an officer, reckless endangerment, cruelty, and negligent homicide.
(U) Obedience to orders provides a viable defense only to the extent that the accused acted under orders, and did not know (nor would a person of ordinary sense have known? The orders were unlawful. This the viability of this defense is key to the accused’s (or a reasonable person’s) knowledge of the lawfulness of the order. Common sense suggests that the more aggressive and physical the technique authorized (ordered) by the command, the more unlikely the reasonable belief that the order to employ such methods is lawful.
(U) In order for any use of force to be lawful, it must either (i) be justified under the circumstances or (ii) an accepted affirmative defense is present to excuse the otherwise unlawful conduct. No case law was found that defines at what point force or violence becomes either lawful or unlawful during war. Each case is by its nature, dependent upon the factual circumstances surrounding the incident.
(U) applying accepted rules for the law of armed conflict, the use of force is only authorized when there is a military purpose and the force used is no greater than
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necessary to achieve the objective. The existence of war does not in and of itself justify all forms of assault. For instance, in US v. Calley, the court recognized that "while it is lawful to kill an enemy in the heat and exercise of war, to kill such an enemy after he has laid down his arms…is murder." Further, the fact that the law of war has been violated pursuant to an order of a superior authority, whether military or civil, does not deprive the act in question of its character of a war crime, nor does it constitute a defense in the trial of an accused individual, unless he did not know and could not reasonably have been expected to know that the act ordered was unlawful. In all cases where the order is held not to constitute a defense to an allegation of war crime, the fact that the individual was acting pursuant to orders may be considered in mitigation of punishment." The thrust of these holdings is that even in war, limits to the use and extent of force apply.
g.
Necessity
(U) another common law affirmative defense is one of necessity. This defense is recognized by a number of states and is applicable when: 1) the harm must be committed under the pressure of physical or natural force, rather than human force; 2) the harm so8ught to be avoi8ded is greater than (or at least equal to) that harm sought to be prevented by the law defining the offense charged; 3) the actor reasonably believes at the moment that his act is necessary and is designed to avoid the greater harm; 4) the actor must be without fault in bringing about the situation; and 5) the harm threatened must be imminent, leaving no alternative by which to avoid the greater harm.
(U) However, military courts have treated the necessity defense with disfavor and in fact, some have refused to accept necessity as a permissible defense (the MCM does not list necessity as an affirmative defense under RCM 916). "The problem with the necessity defense is that it involves a weighing of evil inflicted against evil avoided and is, thereby, difficult to legislate." The courts also have been reluctant to embrace the defense due to a "fear that private moral codes will be substituted for legislative determination, resulting in a necessity exception that swallow’s the rule of law." United States v. Rankins, 34 MJ 326 (CMA 1992).
(U) The effect of these cases is that the MCM recognizes that an accused may commit an illegal act in order to avoid the serious injury or death of the accused or an innocent person. However, military law limits this defense only when there is an imminent and continuing harm that requires immediate action to prevent. One the immediacy is gone, the defense will no longer apply. Ostensibly, the use of force to acquire information from an unlawful combatant, absent immediate and compelling circumstances, will not meet the elements established by the MCM and case law. (But see the necessity defense in the discussion of Federal law, supra.)
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3.
Legal doctrine could render specific conduct, otherwise criminal, not unlawful
See discussion of Commander-in-Chief authority, supra.
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IV.
Considerations Affecting Policy
A.
Historical Role of U.S. Armed Forces
1.
Background
(U) The basic principles of interrogation doctrine, procedures, and techniques applicable to Army intelligence interrogations from June 1945 through May 1987 were continued in Field Manual (FM) 30-15, Examination of Personnel and Documents. FM 30-15 set forth Army doctrine pertaining to the basic principles of intelligence interrogation and established the procedures and techniques applicable to Army intelligence interrogations of non-U.S. personnel. The other services report that they too apply the provisions of this Field Manual.
2.
Interrogation Historical Overview
(U) FM 30-15 stated that the principles and techniques of interrogation discussed within the manual are to be used within the constraints established by humanitarian international law and the Uniform Code of Military Justice ("UCMJ"). The fundamental principle underlying Army doctrine concerning intelligence interrogations between 1045 and the issuance of current doctrine in 1987 (FM 34-52), is that the commander may utilize all available resources and lawful means in the accomplishment of his mission and for the protection and security of his unit. However, a strong caveat to this principle noted, "treaty commitments and policy of the United States, international agreements, international law, and the UCMJ require the conduct of military to conform with the law of war." FM30-15 also recognized that Army intelligence interrogations must conform to the "specific prohibitions, limitations, and restrictions established by the Geneva Conventions of 12 August 1949 for the handling and treatment of personnel captured or detained by military forces" (citing FM 27-10, The Law of Land Warfare).
(U) FM 30-15 also stated that "violations of the customary and treaty law applicable to the conduct of war normally constitutes a concurrent violation of the Uniform Code of Military Justice and will be prosecuted under that code." The manual advised Army personnel that it was "the direct responsibility of the Commander to insure that the law of war is respected in the conduct of warfare by forces in his command." This, the intelligence interrogation techniques outlined in FM 30-15 were based upon conduct sanctioned under international law and domestic U.S. law and as constrained within the UCMJ.
(U) Historically, the intelligence staff officer (G2/S2) was the primary Army staff officer responsible for all intelligence functions within the command structure. This responsibility included interrogation of enemy prisoners of war (EPW), civilian internees, and other captured or detained persons. In conducting interrogations, the intelligence staff officer was responsible for insuring that the activities were executed in accordance with international and domestic U.S. law, United States Government policy, and the applicable regulations and field manuals regarding the treatment and handling of EPWs,
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civilian internees and other captured or detained persons. In the maintenance of interrogation collection, the intelligence staff officer was required to provide guidance and training to interrogators, assign collection requirements, promulgate regulations, directives, and field manuals regarding intelligence interrogation, and insure that interrogators were trained in international and domestic U.S. law and the applicable Army publications.
(U) FM 30-15 stated that intelligence interrogations are an art involving the questioning and examination of a source in order to obtain the maximum amount of usable information. Interrogations are of may types, such as the interview, a debriefing and an encitation. However, the FM made clear that the principles of objective, initiative, accuracy, prohibitions against the use of force, and security apply to all types of interrogations. The manual indicated that the goal is to collect usable and reliable information, in a lawful manner, promptly, while meeting the intelligence requirements of the command.
(U) FM 30-15 emphasized a prohibition on the use of force during interrogations. This prohibition included the actual use of force, mental torture, threats, and exposure to inhumane treatment of any kind. Interrogation doctrine, procedures, and techniques concerning the use of force are based upon prohibitions in international and domestic U.S. law, FM 30-15 stated that experience revealed that the use of force was unnecessary to gain cooperation and was a poor interrogation technique, given that its use produced unreliable information, damaged future interrogations, and induced those being interrogated to offer information viewed as expected in order to prevent the use of force. However, FM 30-15 stated that the prohibition on the use of force, mental or physical must not be confused with the use of psychological tools and deception techniques designed to induce a source into providing intelligence information.
(U) The Center for Military History has been requested to conduct a search of government databases, to include the Investigative Records Repository, for documentation concerning the historical participation of the U.S. Armed Forces in interrogations and any archival materials related to interrogation techniques. As of the writing of this analysis no reply has been received.
3.
Current Doctrine
(U) In May 1987, the basic principles of current doctrine, procedures, and techniques applicable to Army intelligence interrogations were promulgated in Field Manual (FM) 34-52, Intelligence Interrogation. FM 34-52 provides general guidelines for commanders, staff officers, and other personnel in the use of interrogation elements in Army intelligence units. It also outlines procedures for handling sources of interrogations, the explitation and processing of documents, and the reporting of intelligence gained through interrogation. Finally, FM 34-52 covers directing and supervising interrogation operations, conflict scenarios, and their impact on interrogation operations, to include peacetime interrogation operations.
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(U) Army interrogation doctrine today, and since 1945, places particular emphasis on the humane handling of captured personnel. Interrogators receive specific instruction by Army Judge Advocates on the requirements of international and domestic U.S. law, to include constraints established by the Uniform Code of Military Justice (e.g. assault, cruelty and maltreatment, and communicating a threat).
(U)FM 34-52 adopted the principles and framework for conducting intelligence interrogations as stated in FM 30-15. FM 34-52 maintained the establ8ished Army doctrine that intelligence interrogations involve the art of questioning and examining a source in order to obtain the maximum amount of useable information,. FM 34-52 also reiterated Army doctrine that the principles of objective, initiative, accuracy, prohibition on the use of force, and security apply to all types of interrogations. The goal of intelligence interrogation under current doctrine is the same, the collection of usable and reliable information promptly and in a lawful manner, while meeting the intelligence requirements of the command.
(U) FM 34-52 and the curriculum at U.S. Army Intelligence Center, Fort Hauchuca, continue to emphasize a prohibition on the use of force. As stated in its predecessor, FM 34-52 defines the use of force to include actual force, mental torture, threats, and exposure to inhumane treatment of any kind. The underlying basis for this prohibition is the proscriptions contained in international and domestic U.S. law. Current Army intelligence interrogation doctrine continues to view the use of force as unnecessary to gain the cooperation of captured personnel. Army interrogation experts view the use of force as an inferior technique that yields information of questionable quality. The primary concerns, in addition to the effect on information quality, are the adverse effect on future interrogations and the behavioural change on those being interrogated (offering particular information to avoid the use of force). However, the Army’s doctrinal prohibition on the use of force does not proscribe legitimate psychological tools and deception techniques.
(U) FM 34-52 outlines procedures and approach techniques for conducting Army interrogations. While the approach techniques are varied, there are three common purposes: establish and maintain control over the source and the interrogation, establish and maintain rapport between the interrogator and the source, and manipulate the source’s emotions and weaknesses to gain willing cooperation. Approved techniques include: Direct Incentive; Emotional (Love & Hate); Increased Fear Up (Harsh & Mild); Decreased Fear Down; Pride and Ego (UP & Down); Futility Technique, We Know All; Establish Your Identity; Repetition, File and Dossier, and Mutt and Jeff (Friend and Foe). These techniques are discussed at greater length in Section V, infra.
B.
Presidential and Secretary of Defense Directives
(U) The President’s Military Order that addresses the detention, treatment, and trial of certain non-citizens in the war against terrorism, provides inter alta, that any
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(U) Military Order -
Detention, Treatment, and Trial of Certain Non-Citizens in
the War Against Terrorism, President of the United States,
November 12, 2001
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Go to Original
Administration Lawyers Ascribed Broad Power to Bush on Torture
By David G. Savage and Richard B. Schmitt
Los Angeles Times
Thursday 10 June 2004
In a memo dated weeks after the
invasion of Iraq, administration counsel said the
president's authority superceded Congress'.
Washington - On the eve of the war in Iraq, Bush administration lawyers spelled out a strikingly broad view of the president's power that freed the commander in chief and U.S. military from the federal law and international treaties that barred the use of torture.
In past wars, presidents have claimed special powers. During the Civil War, President Lincoln suspended habeas corpus and allowed accused traitors to be tried before military courts. Shortly after the Japanese attack on Pearl Harbor, President Franklin D. Roosevelt issued an order authorizing the military to intern thousands of Japanese Americans.
In those instances, however, the president acted with the approval of Congress. Rarely, if ever, have the president's advisors claimed an authority to ignore the law as written by Congress.
The legal memo, written last year for the Defense Department and disclosed this week, did not speak for President Bush, but it claimed an extraordinary power for him. It said that as the commander in chief, he had a "constitutionally superior position" to Congress and an "inherent authority" to prosecute the war, even if it meant defying the will of Congress.
Congress adopted an anti-torture law in 1994 that barred Americans abroad acting under U.S. authority from inflicting "severe physical or mental pain."
But the 56-page memo on "Detainee Interrogation in the Global War on Terrorism" maintains that the president and his military commander cannot be restrained in this way.
"Congress lacks authority - to set the terms and conditions under which the president may exercise his authority as commander in chief to control the conduct of operations during a war," the memo asserts. "Congress may no more regulate the president's ability to detain and interrogate enemy combatants than it may regulate his ability to direct troop movements on the battlefield. Accordingly, we would construe [the law] to avoid this difficulty and conclude that it does not apply to the president's detention and interrogation of enemy combatants."
The memo was dated March 6, 2003, two weeks before the start of the war in Iraq. In earlier memos, administration lawyers said the president could designate even American citizens arrested within the United States as "enemy combatants," and thus theoretically subject them to torture.
But according to several mainstream legal scholars, this turns the Constitution on its head. The 18th century document says Congress makes the laws, and the president has the duty to carry them out.
"He shall take care that the laws be faithfully executed," the Constitution says of the president.
Moreover, the Constitution grants Congress specific powers to set the rules in war and peace, including for captives.
"Congress shall have the power - to declare war and make rules concerning captures on land and water - to define offenses against the law of nations [and] to make rules for the government and regulation of the land and naval forces."
A broad range of legal experts, including specialists in military law, say they were taken aback by this bald assertion of presidential supremacy.
"It is an extraordinary claim. It is as broad an assertion of presidential authority as I have ever seen," said Michael Glennon, a war law expert at Tufts University. "This is a claim of unlimited executive power. There is no reason to read the commander-in-chief power as trumping the clear power of Congress."
University of Texas law professor Douglas Laycock added, "It can't be right. It is just wrong to say the president can do whatever he wants, even if it is against the law."
Veteran military lawyers also said they were surprised and dismayed by the memo.
"It's an argument I have never seen made before - that the commander in chief's war-fighting powers trump the restrictions in the Geneva Convention," said Grant Lattin, a former judge advocate for the Marines who practices military law in Virginia. "I am having a difficult time even following the logic, that somehow because this is a new type of war that these military commanders' authority has somehow grown larger than the restrictions that we have accepted in the Geneva Convention."
Retired Rear Adm. John Hutson, the former judge advocate general for the Navy, said the memo read as though the lawyers were trying to bend the law to benefit their client, rather than stating the law fairly and accurately.
"That is not the job of people advising the president or the attorney general or the secretary of Defense. They have to be right legally, and I think they have an obligation to be right morally. I think they failed on both counts," said Hutson, now dean of the Franklin Pierce Law Center in Concord, N.H.
"The argument proves too much," he added. "If the president's inherent authority as commander in chief trumps domestic and international law, where is the limit? If every sovereign can ignore the law, then no one is bound by it."
It is not clear who wrote the memo or what effect it had. This week, administration officials, including Atty. Gen John Ashcroft, insisted that U.S. officials did not condone or authorize the use of torture. They characterized the memo as a view presented by lawyers in the administration that was not put into practice.
In 2002, the Justice Department's Office of Legal Counsel took the lead in arguing for a broad view of presidential authority in the war on terrorism. The same office contributed to the Pentagon's "working group" memo.
The office was led by two conservative law professors, Jay S. Bybee and John C. Yoo. They wrote the key memos declaring the Geneva Convention did not apply to accused terrorists, the Taliban or other detainees who were held at the U.S. naval base at Guantanamo Bay, Cuba.
They also said the president had the power to arrest and hold in military custody American citizens who were deemed to be "enemy combatants." The administration cited this authority as the basis for holding Jose Padilla, an accused terrorist who was arrested at Chicago's O'Hare Airport.
The Supreme Court is considering Padilla's case and is expected to rule on it before the end of June.
Bybee and Yoo have left the government. Bush nominated Bybee as a judge on the U.S. 9th Circuit Court of Appeals in San Francisco, and March 14, 2003, he won confirmation by the Senate. Yoo, a former clerk to Supreme Court Justice Clarence Thomas, has returned to his position as a law professor at UC Berkeley.
The Pentagon's legal working group was chaired by the Defense Department's general counsel, William J. Haynes II. He too has been nominated to be an appellate judge, in the U.S. 4th Circuit in Richmond, Va.
In March, the Republican-controlled Senate Judiciary Committee narrowly approved his nomination, but he has not been brought up for a final vote in the Senate.
A year ago, Haynes told Sen. Patrick J. Leahy (D-Vt.) that he and the Pentagon opposed any use of torture.
"We can assure you that it is the policy of the United States to comply with all of its legal obligation in its treatment of detainees," he said in a letter citing the Geneva Convention and the anti-torture law. "The United States does not permit, tolerate or condone any such torture by its employees under any circumstances."
The letter, dated June 25, 2003, came three months after
the secret memo argued that the president could employ the
use of torture if he chose to do so.
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