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| [1] | SUPREME COURT OF THE UNITED STATES | 
| [2] | No. 301 | 
| [3] | 1971.SCT.2217 <http://www.versuslaw.com>, 
      403 U.S. 388, 91 S. Ct. 1999, 29 L. Ed. 2d 619 | 
| [4] | June 21, 1971 | 
| [5] | BIVENS v. SIX UNKNOWN NAMED AGENTS OF FEDERAL BUREAU OF NARCOTICS | 
| [6] | CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR THE SECOND CIRCUIT. | 
| [7] | Stephen A. Grant argued the cause and filed a brief for petitioner. | 
| [8] | Jerome Feit argued the cause for respondents. On the brief were Solicitor 
      General Griswold, Assistant Attorney General Ruckelshaus, and Robert V. 
      Zener. | 
| [9] | Melvin L. Wulf filed a brief for the American Civil Liberties Union as 
      amicus curiae urging reversal. | 
| [10] | Brennan, J., delivered the opinion of the Court, in which Douglas, Stewart, 
      White, and Marshall, JJ., joined. Harlan, J., filed an opinion Concurring 
      in the judgment, post, p. 398. Burger, C. J., post, p. 411, Black, J., post, 
      p. 427, and Blackmun, J., post, p. 430, filed Dissenting opinions. | 
| [11] | The opinion of the court was delivered by: Brennan | 
| [12] | Petitioner's complaint alleged that respondent agents of the Federal Bureau 
      of Narcotics, acting under color of federal authority, made a warrantless 
      entry of his apartment, searched the apartment, and arrested him on narcotics 
      charges. All of the acts were alleged to have been done without probable 
      cause. Petitioner's suit to recover damages from the agents was dismissed 
      by the District Court on the alternative grounds (1) that it failed to state 
      a federal cause of action and (2) that respondents were immune from suit 
      by virtue of their official position. The Court of Appeals affirmed on the 
      first ground alone. Held : | 
| [13] | 1. Petitioner's complaint states a federal cause of action under the Fourth 
      Amendment for which damages are recoverable upon proof of injuries resulting 
      from the federal agents' violation of that Amendment. Pp. 390-397. | 
| [14] | 2. The Court does not reach the immunity question, which was not passed 
      on by the Court of Appeals. Pp. 397-398. | 
| [15] | MR. JUSTICE BRENNAN delivered the opinion of the Court. | 
| [16] | The Fourth Amendment provides that: | 
| [17] | "The right of the people to be secure in their persons, houses, papers, 
      and effects, against unreasonable searches and seizures, shall not be violated 
      . . . ." | 
| [18] | In Bell v. Hood, 327 U.S. 678 (1946), we reserved the question whether 
      violation of that command by a federal agent acting under color of his authority 
      gives rise to a cause of action for damages consequent upon his unconstitutional 
      conduct. Today we hold that it does. | 
| [19] | This case has its origin in an arrest and search carried out on the morning 
      of November 26, 1965. Petitioner's complaint alleged that on that day respondents, 
      agents of the Federal Bureau of Narcotics acting under claim of federal 
      authority, entered his apartment and arrested him for alleged narcotics 
      violations. The agents manacled petitioner in front of his wife and children, 
      and threatened to arrest the entire family. They searched the apartment 
      from stem to stern. Thereafter, petitioner was taken to the federal courthouse 
      in Brooklyn, where he was interrogated, booked, and subjected to a visual 
      strip search. | 
| [20] | On July 7, 1967, petitioner brought suit in Federal District Court. In 
      addition to the allegations above, his complaint asserted that the arrest 
      and search were effected without a warrant, and that unreasonable force 
      was employed in making the arrest; fairly read, it alleges as well that 
      the arrest was made without probable cause. *fn1 
      Petitioner claimed to have suffered great humiliation, embarrassment, and 
      mental suffering as a result of the agents' unlawful conduct, and sought 
      $15,000 damages from each of them. The District Court, on respondents' motion, 
      dismissed the complaint on the ground, inter alia, that it failed to state 
      a cause of action. *fn2 276 F.Supp. 
      12 (EDNY 1967). The Court of Appeals, one Judge Concurring specially, *fn3 
      affirmed on that basis. 409 F.2d 718 (CA2 1969). We granted certiorari. 
      399 U.S. 905 (1970). We reverse. | 
| [21] | I | 
| [22] | Respondents do not argue that petitioner should be entirely without remedy 
      for an unconstitutional invasion of his rights by federal agents. In respondents' 
      view, however, the rights that petitioner asserts -- primarily rights of 
      privacy -- are creations of state and not of federal law. Accordingly, they 
      argue, petitioner may obtain money damages to redress invasion of these 
      rights only by an action in tort, under state law, in the state courts. 
      In this scheme the Fourth Amendment would serve merely to limit the extent 
      to which the agents could defend the state law tort suit by asserting that 
      their actions were a valid exercise of federal power: if the agents were 
      shown to have violated the Fourth Amendment, such a defense would be lost 
      to them and they would stand before the state law merely as private individuals. 
      Candidly admitting that it is the policy of the Department of Justice to 
      remove all such suits from the state to the federal courts for decision, 
      *fn4 respondents nevertheless urge 
      that we uphold dismissal of petitioner's complaint in federal court, and 
      remit him to filing an action in the state courts in order that the case 
      may properly be removed to the federal court for decision on the basis of 
      state law. | 
| [23] | We think that respondents' thesis rests upon an unduly restrictive view 
      of the Fourth Amendment's protection against unreasonable searches and seizures 
      by federal agents, a view that has consistently been rejected by this Court. 
      Respondents seek to treat the relationship between a citizen and a federal 
      agent unconstitutionally exercising his authority as no different from the 
      relationship between two private citizens. In so doing, they ignore the 
      fact that power, once granted, does not disappear like a magic gift when 
      it is wrongfully used. An agent acting -- albeit unconstitutionally -- in 
      the name of the United States possesses a far greater capacity for harm 
      than an individual trespasser exercising no authority other than his own. 
      Cf. Amos v. United States, 255 U.S. 313, 317 (1921); United States v. Classic, 
      313 U.S. 299, 326 (1941). Accordingly, as our cases make clear, the Fourth 
      Amendment operates as a limitation upon the exercise of federal power regardless 
      of whether the State in whose jurisdiction that power is exercised would 
      prohibit or penalize the identical act if engaged in by a private citizen. 
      It guarantees to citizens of the United States the absolute right to be 
      free from unreasonable searches and seizures carried out by virtue of federal 
      authority. And "where federally protected rights have been invaded, 
      it has been the rule from the beginning that courts will be alert to adjust 
      their remedies so as to grant the necessary relief." Bell v. Hood, 
      327 U.S., at 684 (footnote omitted); see Bemis Bros. Bag Co. v. United States, 
      289 U.S. 28, 36 (1933) (Cardozo, J.); The Western Maid, 257 U.S. 419, 433 
      (1922) (Holmes, J.). | 
| [24] | First. Our cases have long since rejected the notion that the Fourth Amendment 
      proscribes only such conduct as would, if engaged in by private persons, 
      be condemned by state law. Thus in Gambino v. United States, 275 U.S. 310 
      (1927), petitioners were convicted of conspiracy to violate the National 
      Prohibition Act on the basis of evidence seized by state police officers 
      incident to petitioners' arrest by those officers solely for the purpose 
      of enforcing federal law. Id., at 314. Notwithstanding the lack of probable 
      cause for the arrest, id., at 313, it would have been permissible under 
      state law if effected by private individuals. *fn5 
      It appears, moreover, that the officers were under direction from the Governor 
      to aid in the enforcement of federal law. Id., at 315-317. Accordingly, 
      if the Fourth Amendment reached only to conduct impermissible under the 
      law of the State, the Amendment would have had no application to the case. 
      Yet this Court held the Fourth Amendment applicable and reversed petitioners' 
      convictions as having been based upon evidence obtained through an unconstitutional 
      search and seizure. Similarly, in Byars v. United States, 273 U.S. 28 (1927), 
      the petitioner was convicted on the basis of evidence seized under a warrant 
      issued, without probable cause under the Fourth Amendment, by a state court 
      Judge for a state law offense. At the invitation of state law enforcement 
      officers, a federal prohibition agent participated in the search. This Court 
      explicitly refused to inquire whether the warrant was "good under the 
      state law . . . since in no event could it constitute the basis for a federal 
      search and seizure." Id., at 29 (emphasis added). *fn6 
      And our recent decisions regarding electronic surveillance have made it 
      clear beyond peradventure that the Fourth Amendment is not tied to the niceties 
      of local trespass laws. Katz v. United States, 389 U.S. 347 (1967); Berger 
      v. New York, 388 U.S. 41 (1967); Silverman v. United States, 365 U.S. 505, 
      511 (1961). In light of these cases, respondents' argument that the Fourth 
      Amendment serves only as a limitation on federal defenses to a state law 
      claim, and not as an independent limitation upon the exercise of federal 
      power, must be rejected. | 
| [25] | Second. The interests protected by state laws regulating trespass and 
      the invasion of privacy, and those protected by the Fourth Amendment's guarantee 
      against unreasonable searches and seizures, may be inconsistent or even 
      hostile. Thus, we may bar the door against an unwelcome private intruder, 
      or call the police if he persists in seeking entrance. The availability 
      of such alternative means for the protection of privacy may lead the State 
      to restrict imposition of liability for any consequent trespass. A private 
      citizen, asserting no authority other than his own, will not normally be 
      liable in trespass if he demands, and is granted, admission to another's 
      house. See W. Prosser, The Law of Torts § 18, pp. 109-110 (3d ed. 1964); 
      1 F. Harper & F. James, The Law of Torts § 1.11 (1956). But one who 
      demands admission under a claim of federal authority stands in a far different 
      position. Cf. Amos v. United States, 255 U.S. 313, 317 (1921). The mere 
      invocation of federal power by a federal law enforcement official will normally 
      render futile any attempt to resist an unlawful entry or arrest by resort 
      to the local police; and a claim of authority to enter is likely to unlock 
      the door as well. See Weeks v. United States, 232 U.S. 383, 386 (1914); 
      Amos v. United States, supra. *fn7 
      "In such cases there is no safety for the citizen, except in the protection 
      of the judicial tribunals, for rights which have been invaded by the officers 
      of the government, professing to act in its name. There remains to him but 
      the alternative of resistance, which may amount to crime." United States 
      v. Lee, 106 U.S. 196, 219 (1882). *fn8 
      Nor is it adequate to answer that state law may take into account the different 
      status of one clothed with the authority of the Federal Government. For 
      just as state law may not authorize federal agents to violate the Fourth 
      Amendment, Byars v. United States, supra; Weeks v. United States, supra; 
      In re Ayers, 123 U.S. 443, 507 (1887), neither may state law undertake to 
      limit the extent to which federal authority can be exercised. In re Neagle, 
      135 U.S. 1 (1890). The inevitable consequence of this dual limitation on 
      state power is that the federal question becomes not merely a possible defense 
      to the state law action, but an independent claim both necessary and sufficient 
      to make out the plaintiff's cause of action. Cf. Boilermakers v. Hardeman, 
      401 U.S. 233, 241 (1971). | 
| [26] | Third. That damages may be obtained for injuries consequent upon a violation 
      of the Fourth Amendment by federal officials should hardly seem a surprising 
      proposition. Historically, damages have been regarded as the ordinary remedy 
      for an invasion of personal interests in liberty. See Nixon v. Condon, 286 
      U.S. 73 (1932); Nixon v. Herndon, 273 U.S. 536, 540 (1927); Swafford v. 
      Templeton, 185 U.S. 487 (1902); Wiley v. Sinkler, 179 U.S. 58 (1900); J. 
      Landynski, Search and Seizure and the Supreme Court 28 et seq. (1966); N. 
      Lasson, History and Development of the Fourth Amendment to the United States 
      Constitution 43 et seq. (1937); Katz, The Jurisprudence of Remedies: Constitutional 
      Legality and the Law of Torts in Bell v. Hood, 117 U. Pa. L. Rev. 1, 8-33 
      (1968); cf. West v. Cabell, 153 U.S. 78 (1894); Lammon v. Feusier, 111 U.S. 
      17 (1884). Of course, the Fourth Amendment does not in so many words provide 
      for its enforcement by an award of money damages for the consequences of 
      its violation. But "it is . . . well settled that where legal rights 
      have been invaded, and a federal statute provides for a general right to 
      sue for such invasion, federal courts may use any available remedy to make 
      good the wrong done." Bell v. Hood, 327 U.S., at 684 (footnote omitted). 
      The present case involves no special factors counseling hesitation in the 
      absence of affirmative action by Congress. We are not dealing with a question 
      of "federal fiscal policy," as in United States v. Standard Oil 
      Co., 332 U.S. 301, 311 (1947). In that case we refused to infer from the 
      Government-soldier relationship that the United States could recover damages 
      from one who negligently injured a soldier and thereby caused the Government 
      to pay his medical expenses and lose his services during the course of his 
      hospitalization. Noting that Congress was normally quite solicitous where 
      the federal purse was involved, we pointed out that "the United States 
      the party plaintiff to the suit. And the United States has power at any 
      time to create the liability." Id., at 316; see United States v. Gilman, 
      347 U.S. 507 (1954). Nor are we asked in this case to impose liability upon 
      a congressional employee for actions contrary to no constitutional prohibition, 
      but merely said to be in excess of the authority delegated to him by the 
      Congress. Wheeldin v. Wheeler, 373 U.S. 647 (1963). Finally, we cannot accept 
      respondents' formulation of the question as whether the availability of 
      money damages is necessary to enforce the Fourth Amendment. For we have 
      here no explicit congressional declaration that persons injured by a federal 
      officer's violation of the Fourth Amendment may not recover money damages 
      from the agents, but must instead be remitted to another remedy, equally 
      effective in the view of Congress. The question is merely whether petitioner, 
      if he can demonstrate an injury consequent upon the violation by federal 
      agents of his Fourth Amendment rights, is entitled to redress his injury 
      through a particular remedial mechanism normally available in the federal 
      courts. Cf. J. I. Case Co. v. Borak, 377 U.S. 426, 433 (1964); Jacobs v. 
      United States, 290 U.S. 13, 16 (1933). "The very essence of civil liberty 
      certainly consists in the right of every individual to claim the protection 
      of the laws, whenever he receives an injury." Marbury v. Madison, 1 
      Cranch 137, 163 (1803). Having concluded that petitioner's complaint states 
      a cause of action under the Fourth Amendment, (supra) , at 390-395, we hold 
      that petitioner is entitled to recover money damages for any injuries he 
      has suffered as a result of the agents' violation of the Amendment. | 
| [27] | II | 
| [28] | In addition to holding that petitioner's complaint had failed to state 
      facts making out a cause of action, the District Court ruled that in any 
      event respondents were immune from liability by virtue of their official 
      position. 276 F.Supp., at 15. This question was not passed upon by the Court 
      of Appeals, and accordingly we do not consider it here. The judgment of 
      the Court of Appeals is reversed and the case is remanded for further proceedings 
      consistent with this opinion. | 
| [29] | So ordered. | 
| [30] | JUSTICE HARLAN, Concurring in the judgment. | 
| [31] | My initial view of this case was that the Court of Appeals was correct 
      in dismissing the complaint, but for reasons stated in this opinion I am 
      now persuaded to the contrary. Accordingly, I join in the judgment of reversal. | 
| [32] | Petitioner alleged, in his suit in the District Court for the Eastern 
      District of New York, that the defendants, federal agents acting under color 
      of federal law, subjected him to a search and seizure contravening the requirements 
      of the Fourth Amendment. He sought damages in the amount of $15,000 from 
      each of the agents. Federal jurisdiction was claimed, inter alia, *fn1 
      under 28 U. S. C. § 1331 (a) which provides: | 
| [33] | "The district courts shall have original jurisdiction of all civil 
      actions wherein the matter in controversy exceeds the sum or value of $10,000 
      exclusive of interest and costs, and arises under the Constitution, laws, 
      or treaties of the United States." | 
| [34] | The District Court dismissed the complaint for lack of federal jurisdiction 
      under 28 U. S. C. § 1331 (a) and failure to state a claim for which relief 
      may be granted. 276 F.Supp 12 (EDNY 1967). On appeal, the Court of Appeals 
      concluded, on the basis of this Court's decision in Bell v. Hood, 327 U.S. 
      678 (1946), that petitioner's claim for damages did " under the Constitution" 
      within the meaning of 28 U. S. C. § 1331 (a); but the District Court's judgment 
      was affirmed on the ground that the complaint failed to state a claim for 
      which relief can be granted. 409 F.2d 718 (CA2 1969). | 
| [35] | In so concluding, Chief Judge Lumbard's opinion reasoned, in essence, 
      that: (1) the framers of the Fourth Amendment did not appear to contemplate 
      a "wholly new federal cause of action founded directly on the Fourth 
      Amendment," id., at 721, and (2) while the federal courts had power 
      under a general grant of jurisdiction to imply a federal remedy for the 
      enforcement of a constitutional right, they should do so only when the absence 
      of alternative remedies renders the constitutional command a "mere 
      'form of words.'" Id., at 723. The Government takes essentially the 
      same position here. Brief for Respondents 4-5. And two members of the Court 
      add the contention that we lack the constitutional power to accord Bivens 
      a remedy for damages in the absence of congressional action creating "a 
      federal cause of action for damages for an unreasonable search in violation 
      of the Fourth Amendment." Opinion of MR. JUSTICE BLACK, post, at 427; 
      see also opinion of THE CHIEF JUSTICE, post, at 418, 422. | 
| [36] | For the reasons set forth below, I am of the opinion that federal courts 
      do have the power to award damages for violation of "constitutionally 
      protected interests" and I agree with the Court that a traditional 
      judicial remedy such as damages is appropriate to the vindication of the 
      personal interests protected by the Fourth Amendment. | 
| [37] | I | 
| [38] | I turn first to the contention that the constitutional power of federal 
      courts to accord Bivens damages for his claim depends on the passage of 
      a statute creating a "federal cause of action." Although the point 
      is not entirely free of ambiguity, *fn2 
      I do not understand either the Government or my Dissenting Brothers to maintain 
      that Bivens' contention that he is entitled to be free from the type of 
      official conduct prohibited by the Fourth Amendment depends on a decision 
      by the State in which he resides to accord him a remedy. Such a position 
      would be incompatible with the presumed availability of federal equitable 
      relief, if a proper showing can be made in terms of the ordinary principles 
      governing equitable remedies. See Bell v. Hood, 327 U.S. 678, 684 (1946). 
      However broad a federal court's discretion concerning equitable remedies, 
      it is absolutely clear -- at least after Erie R. Co. v. Tompkins, 304 U.S. 
      64 (1938) -- that in a nondiversity suit a federal court's power to grant 
      even equitable relief depends on the presence of a substantive right derived 
      from federal law. Compare Guaranty Trust Co. v. York, 326 U.S. 99, 105-107 
      (1945), with Holmberg v. Armbrecht, 327 U.S. 392, 395 (1946). See also H. 
      Hart & H. Wechsler, The Federal Courts and the Federal System 818-819 
      (1953). | 
| [39] | Thus the interest which Bivens claims -- to be free from official conduct 
      in contravention of the Fourth Amendment -- is a federally protected interest. 
      See generally Katz, The Jurisprudence of Remedies: Constitutional Legality 
      and the Law of Torts in Bell v. Hood, 117 U. Pa. L. Rev. 1, 33-34 (1968). 
      *fn3 Therefore, the question of 
      judicial power to grant Bivens damages is not a problem of the "source" 
      of the "right"; instead, the question is whether the power to 
      authorize damages as a judicial remedy for the vindication of a federal 
      constitutional right is placed by the Constitution itself exclusively in 
      Congress' hands. | 
| [40] | II | 
| [41] | The contention that the federal courts are powerless to accord a litigant 
      damages for a claimed invasion of his federal constitutional rights until 
      Congress explicitly authorizes the remedy cannot rest on the notion that 
      the decision to grant compensatory relief involves a resolution of policy 
      considerations not susceptible of judicial discernment. Thus, in suits for 
      damages based on violations of federal statutes lacking any express authorization 
      of a damage remedy, this Court has authorized such relief where, in its 
      view, damages are necessary to effectuate the congressional policy underpinning 
      the substantive provisions of the statute. J. I. Case Co. v. Borak, 377 
      U.S. 426 (1964); Tunstall v. Brotherhood of Locomotive Firemen & Enginemen, 
      323 U.S. 210, 213 (1944). Cf. Wyandotte Transportation Co. v. United States, 
      389 U.S. 191, 201-204 (1967). *fn4 | 
| [42] | If it is not the nature of the remedy which is thought to render a judgment 
      as to the appropriateness of damages inherently "legislative," 
      then it must be the nature of the legal interest offered as an occasion 
      for invoking otherwise appropriate judicial relief. But I do not think that 
      the fact that the interest is protected by the Constitution rather than 
      statute or common law justifies the assertion that federal courts are powerless 
      to grant damages in the absence of explicit congressional action authorizing 
      the remedy. Initially, I note that it would be at least anomalous to conclude 
      that the federal judiciary -- while competent to choose among the range 
      of traditional judicial remedies to implement statutory and commonlaw policies, 
      and even to generate substantive rules governing primary behavior in furtherance 
      of broadly formulated policies articulated by statute or Constitution, see 
      Textile Workers v. Lincoln Mills, 353 U.S. 448 (1957); United States v. 
      Standard Oil Co., 332 U.S. 301, 304-311 (1947); Clearfield Trust Co. v. 
      United States, 318 U.S. 363 (1943) -- is powerless to accord a damages remedy 
      to vindicate social policies which, by virtue of their inclusion in the 
      Constitution, are aimed predominantly at restraining the Government as an 
      instrument of the popular will. | 
| [43] | More importantly, the presumed availability of federal equitable relief 
      against threatened invasions of constitutional interests appears entirely 
      to negate the contention that the status of an interest as constitutionally 
      protected divests federal courts of the power to grant damages absent express 
      congressional authorization. Congress provided specially for the exercise 
      of equitable remedial powers by federal courts, see Act of May 8, 1792, 
      § 2, 1 Stat. 276; C. Wright, Law of Federal Courts 257 (2d ed., 1970), in 
      part because of the limited availability of equitable remedies in state 
      courts in the early days of the Republic. See Guaranty Trust Co. v. York, 
      326 U.S. 99, 104-105 (1945). And this Court's decisions make clear that, 
      at least absent congressional restrictions, the scope of equitable remedial 
      discretion is to be determined according to the distinctive historical traditions 
      of equity as an institution, Holmberg v. Armbrecht, 327 U.S. 392, 395-396 
      (1946); Sprague v. Ticonic National Bank, 307 U.S. 161, 165-166 (1939). 
      The reach of a federal district court's "inherent equitable powers," 
      Textile Workers v. Lincoln Mills, 353 U.S. 448, 460 (Burton, J., Concurring 
      in result), is broad indeed, e. g., Swann v. Charlotte-Mecklenburg Board 
      of Education, 401 U.S. 1 (1971); nonetheless, the federal judiciary is not 
      empowered to grant equitable relief in the absence of congressional action 
      extending jurisdiction over the subject matter of the suit. See Textile 
      Workers v. Lincoln Mills, supra, at 460 (Burton, J., Concurring in result); 
      Katz, 117 U. Pa. L. Rev., at 43. *fn5 | 
| [44] | If explicit congressional authorization is an absolute prerequisite to 
      the power of a federal court to accord compensatory relief regardless of 
      the necessity or appropriateness of damages as a remedy simply because of 
      the status of a legal interest as constitutionally protected, then it seems 
      to me that explicit congressional authorization is similarly prerequisite 
      to the exercise of equitable remedial discretion in favor of constitutionally 
      protected interests. Conversely, if a general grant of jurisdiction to the 
      federal courts by Congress is thought adequate to empower a federal court 
      to grant equitable relief for all areas of subject-matter jurisdiction enumerated 
      therein, see 28 U. S. C. § 1331 (a), then it seems to me that the same statute 
      is sufficient to empower a federal court to grant a traditional remedy at 
      law. *fn6 Of course, the special 
      historical traditions governing the federal equity system, see Sprague v. 
      Ticonic National Bank, 307 U.S. 161 (1939), might still bear on the comparative 
      appropriateness of granting equitable relief as opposed to money damages. 
      That possibility, however, relates, not to whether the federal courts have 
      the power to afford one type of remedy as opposed to the other, but rather 
      to the criteria which should govern the exercise of our power. To that question, 
      I now pass. | 
| [45] | III | 
| [46] | The major thrust of the Government's position is that, where Congress 
      has not expressly authorized a particular remedy, a federal court should 
      exercise its power to accord a traditional form of judicial relief at the 
      behest of a litigant, who claims a constitutionally protected interest has 
      been invaded, only where the remedy is "essential," or "indispensable 
      for vindicating constitutional rights." Brief for Respondents 19, 24. 
      While this "essentiality" test is most clearly articulated with 
      respect to damages remedies, apparently the Government believes the same 
      test explains the exercise of equitable remedial powers. Id., at 17-18. 
      It is argued that historically the Court has rarely exercised the power 
      to accord such relief in the absence of an express congressional authorization 
      and that "if Congress had thought that federal officers should be subject 
      to a law different than state law, it would have had no difficulty in saying 
      so, as it did with respect to state officers . . . ." Id., at 20-21; 
      see 42 U. S. C. § 1983. Although conceding that the standard of determining 
      whether a damage remedy should be utilized to effectuate statutory policies 
      is one of "necessity" or "appropriateness," see J. I. 
      Case Co. v. Borak, 377 U.S. 426, 432 (1964); United States v. Standard Oil 
      Co., 332 U.S. 301, 307 (1947), the Government contends that questions concerning 
      congressional discretion to modify judicial remedies relating to constitutionally 
      protected interests warrant a more stringent constraint on the exercise 
      of judicial power with respect to this class of legally protected interests. 
      Brief for Respondents 21-22. | 
| [47] | These arguments for a more stringent test to govern the grant of damages 
      in constitutional cases *fn7 seem 
      to be adequately answered by the point that the judiciary has a particular 
      responsibility to assure the vindication of constitutional interests such 
      as those embraced by the Fourth Amendment. To be sure, "it must be 
      remembered that legislatures are ultimate guardians of the liberties and 
      welfare of the people in quite as great a degree as the courts." Missouri, 
      Kansas & Texas R. Co. v. May, 194 U.S. 267, 270 (1904). But it must 
      also be recognized that the Bill of Rights is particularly intended to vindicate 
      the interests of the individual in the face of the popular will as expressed 
      in legislative majorities; at the very least, it strikes me as no more appropriate 
      to await express congressional authorization of traditional judicial relief 
      with regard to these legal interests than with respect to interests protected 
      by federal statutes. | 
| [48] | The question then, is, as I see it, whether compensatory relief is "necessary" 
      or "appropriate" to the vindication of the interest asserted. 
      Cf. J. I. Case Co. v. Borak, supra, at 432; United States v. Standard Oil 
      Co., supra, at 307; Hill, Constitutional Remedies, 69 Col. L. Rev. 1109, 
      1155 (1969); Katz, 117 U. Pa. L. Rev., at 72. In resolving that question, 
      it seems to me that the range of policy considerations we may take into 
      account is at least as broad as the range of those a legislature would consider 
      with respect to an express statutory authorization of a traditional remedy. 
      In this regard I agree with the Court that the appropriateness of according 
      Bivens compensatory relief does not turn simply on the deterrent effect 
      liability will have on federal official conduct. *fn8 
      Damages as a traditional form of compensation for invasion of a legally 
      protected interest may be entirely appropriate even if no substantial deterrent 
      effects on future official lawlessness might be thought to result. Bivens, 
      after all, has invoked judicial processes claiming entitlement to compensation 
      for injuries resulting from allegedly lawless official behavior, if those 
      injuries are properly compensable in money damages. I do not think a court 
      of law -- vested with the power to accord a remedy -- should deny him his 
      relief simply because he cannot show that future lawless conduct will thereby 
      be deterred. | 
| [49] | And I think it is clear that Bivens advances a claim of the sort that, 
      if proved, would be properly compensable in damages. The personal interests 
      protected by the Fourth Amendment are those we attempt to capture by the 
      notion of "privacy"; while the Court today properly points out 
      that the type of harm which officials can inflict when they invade protected 
      zones of an individual's life are different from the types of harm private 
      citizens inflict on one another, the experience of Judges in dealing with 
      private trespass and false imprisonment claims supports the Conclusion that 
      courts of law are capable of making the types of judgment concerning causation 
      and magnitude of injury necessary to accord meaningful compensation for 
      invasion of Fourth Amendment rights. *fn9 | 
| [50] | On the other hand, the limitations on state remedies for violation of 
      common-law rights by private citizens argue in favor of a federal damages 
      remedy. The injuries inflicted by officials acting under color of law, while 
      no less compensable in damages than those inflicted by private parties, 
      are substantially different in kind, as the Court's opinion today discusses 
      in detail. See Monroe v. Pape, 365 U.S. 167, 195 (1961) (HARLAN, J., Concurring). 
      It seems to me entirely proper that these injuries be compensable according 
      to uniform rules of federal law, especially in light of the very large element 
      of federal law which must in any event control the scope of official defenses 
      to liability. See Wheeldin v. Wheeler, 373 U.S. 647, 652 (1963); Monroe 
      v. Pape, supra, at 194-195 (HARLAN, J., Concurring); Howard v. Lyons, 360 
      U.S. 593 (1959). Certainly, there is very little to be gained from the standpoint 
      of federalism by preserving different rules of liability for federal officers 
      dependent on the State where the injury occurs. Cf. United States v. Standard 
      Oil Co., 332 U.S. 301, 305-311 (1947). | 
| [51] | Putting aside the desirability of leaving the problem of federal official 
      liability to the vagaries of common-law actions, it is apparent that some 
      form of damages is the only possible remedy for someone in Bivens' alleged 
      position. It will be a rare case indeed in which an individual in Bivens' 
      position will be able to obviate the harm by securing injunctive relief 
      from any court. However desirable a direct remedy against the Government 
      might be as a substitute for individual official liability, the sovereign 
      still remains immune to suit. Finally, assuming Bivens' innocence of the 
      crime charged, the "exclusionary rule" is simply irrelevant. For 
      people in Bivens' shoes, it is damages or nothing. | 
| [52] | The only substantial policy consideration advanced against recognition 
      of a federal cause of action for violation of Fourth Amendment rights by 
      federal officials is the incremental expenditure of judicial resources that 
      will be necessitated by this class of litigation. There is, however, something 
      ultimately self-defeating about this argument. For if, as the Government 
      contends, damages will rarely be realized by plaintiffs in these cases because 
      of jury hostility, the limited resources of the official concerned, etc., 
      then I am not ready to assume that there will be a significant increase 
      in the expenditure of judicial resources on these claims. Few responsible 
      lawyers and plaintiffs are likely to choose the course of litigation if 
      the statistical chances of success are truly de minimis. And I simply cannot 
      agree with my Brother BLACK that the possibility of "frivolous" 
      claims -- if defined simply as claims with no legal merit -- warrants closing 
      the courthouse doors to people in Bivens' situation. There are other ways, 
      short of that, of coping with frivolous lawsuits. | 
| [53] | On the other hand, if -- as I believe is the case with respect, at least, 
      to the most flagrant abuses of official power -- damages to some degree 
      will be available when the option of litigation is chosen, then the question 
      appears to be how Fourth Amendment interests rank on a scale of social values 
      compared with, for example, the interests of stockholders defrauded by misleading 
      proxies. See J. I. Case Co. v. Borak, supra. Judicial resources, I am well 
      aware, are increasingly scarce these days. Nonetheless, when we automatically 
      close the courthouse door solely on this basis, we implicitly express a 
      value judgment on the comparative importance of classes of legally protected 
      interests. And current limitations upon the effective functioning of the 
      courts arising from budgetary inadequacies should not be permitted to stand 
      in the way of the recognition of otherwise sound constitutional principles. | 
| [54] | Of course, for a variety of reasons, the remedy may not often be sought. 
      See generally Foote, Tort Remedies for Police Violations of Individual Rights, 
      39 Minn. L. Rev. 493 (1955). And the countervailing interests in efficient 
      law enforcement of course argue for a protective zone with respect to many 
      types of Fourth Amendment violations. Cf. Barr v. Matteo, 360 U.S. 564 (1959) 
      (opinion of HARLAN, J.). But, while I express no view on the immunity defense 
      offered in the instant case, I deem it proper to venture the thought that 
      at the very least such a remedy would be available for the most flagrant 
      and patently unjustified sorts of police conduct. Although litigants may 
      not often choose to seek relief, it is important, in a civilized society, 
      that the judicial branch of the Nation's government stand ready to afford 
      a remedy in these circumstances. It goes without saying that I intimate 
      no view on the merits of petitioner's underlying claim. | 
| [55] | For these reasons, I concur in the judgment of the Court. | 
| [56] | MR. CHIEF JUSTICE BURGER, Dissenting. | 
| [57] | I Dissent from today's holding which judicially creates a damage remedy 
      not provided for by the Constitution and not enacted by Congress. We would 
      more surely preserve the important values of the doctrine of separation 
      of powers -- and perhaps get a better result -- by recommending a solution 
      to the Congress as the branch of government in which the Constitution has 
      vested the legislative power. Legislation is the business of the Congress, 
      and it has the facilities and competence for that task -- as we do not. 
      Professor Thayer, speaking of the limits on judicial power, albeit in another 
      context, had this to say: *fn1 | 
| [58] | "And if it be true that the holders of legislative power are careless 
      or evil, yet the constitutional duty of the court remains untouched; it 
      cannot rightly attempt to protect the people, by undertaking a function 
      not its own. On the other hand, by adhering rigidly to its own duty, the 
      court will help, as nothing else can, to fix the spot where responsibility 
      lies, and to bring down on that precise locality the thunderbolt of popular 
      condemnation. . . . For that course -- the true course of judicial duty 
      always -- will powerfully help to bring the people and their representatives 
      to a sense of their own responsibility." | 
| [59] | This case has significance far beyond its facts and its holding. For more 
      than 55 years this Court has enforced a rule under which evidence of undoubted 
      reliability and probative value has been suppressed and excluded from criminal 
      cases whenever it was obtained in violation of the Fourth Amendment. Weeks 
      v. United States, 232 U.S. 383 (1914); Boyd v. United States, 116 U.S. 616, 
      633 (1886) (dictum). This rule was extended to the States in Mapp v. Ohio, 
      367 U.S. 643 (1961). *fn2 The rule 
      has rested on a theory that suppression of evidence in these circumstances 
      was imperative to deter law enforcement authorities from using improper 
      methods to obtain evidence. | 
| [60] | The deterrence theory underlying the suppression doctrine, or exclusionary 
      rule, has a certain appeal in spite of the high price society pays for such 
      a drastic remedy. Notwithstanding its plausibility, many Judges and lawyers 
      and some of our most distinguished legal scholars have never quite been 
      able to escape the force of Cardozo's statement of the doctrine's anomalous 
      result: | 
| [61] | "The criminal is to go free because the constable has blundered. 
      . . . A room is searched against the law, and the body of a murdered man 
      is found. . . . The privacy of the home has been infringed, and the murderer 
      goes free." People v. Defore, 242 N. Y. 13, 21, 23-24, 150 N. E. 585, 
      587, 588 (1926). *fn3 | 
| [62] | The plurality opinion in Irvine v. California, 347 U.S. 128, 136 (1954), 
      catalogued the doctrine's defects: | 
| [63] | "Rejection of the evidence does nothing to punish the wrong-doing 
      official, while it may, and likely will, release the wrong-doing defendant. 
      It deprives society of its remedy against one lawbreaker because he has 
      been pursued by another. It protects one against whom incriminating evidence 
      is discovered, but does nothing to protect innocent persons who are the 
      victims of illegal but fruitless searches." | 
| [64] | From time to time members of the Court, recognizing the validity of these 
      protests, have articulated varying alternative justifications for the suppression 
      of important evidence in a criminal trial. Under one of these alternative 
      theories the rule's foundation is shifted to the "sporting contest" 
      thesis that the government must "play the game fairly" and cannot 
      be allowed to profit from its own illegal acts. Olmstead v. United States, 
      277 U.S. 438, 469, 471 (1928) (dissenting opinions); see Terry v. Ohio, 
      392 U.S. 1, 13 (1968). But the exclusionary rule does not ineluctably flow 
      from a desire to ensure that government plays the "game" according 
      to the rules. If an effective alternative remedy is available, concern for 
      official observance of the law does not require adherence to the exclusionary 
      rule. Nor is it easy to understand how a court can be thought to endorse 
      a violation of the Fourth Amendment by allowing illegally seized evidence 
      to be introduced against a defendant if an effective remedy is provided 
      against the government. | 
| [65] | The exclusionary rule has also been justified on the theory that the relationship 
      between the Self-Incrimination Clause of the Fifth Amendment and the Fourth 
      Amendment requires the suppression of evidence seized in violation of the 
      latter. Boyd v. United States, supra, at 633 (dictum); Wolf v. Colorado, 
      338 U.S. 25, 47, 48 (1949) (Rutledge, J., Dissenting); Mapp v. Ohio, supra, 
      at 661-666 (BLACK, J., Concurring). | 
| [66] | Even ignoring, however, the decisions of this Court that have held that 
      the Fifth Amendment applies only to "testimonial" disclosures, 
      United States v. Wade, 388 U.S. 218, 221-223 (1967); Schmerber v. California, 
      384 U.S. 757, 764 and n. 8 (1966), it seems clear that the Self-Incrimination 
      Clause does not protect a person from the seizure of evidence that is incriminating. 
      It protects a person only from being the conduit by which the police acquire 
      evidence. Mr. Justice Holmes once put it succinctly, "A party is privileged 
      from producing the evidence but not from its production." Johnson v. 
      United States, 228 U.S. 457, 458 (1913). | 
| [67] | It is clear, however, that neither of these theories undergirds the decided 
      cases in this Court. Rather the exclusionary rule has rested on the deterrent 
      rationale -- the hope that law enforcement officials would be deterred from 
      unlawful searches and seizures if the illegally seized, albeit trustworthy, 
      evidence was suppressed often enough and the courts persistently enough 
      deprived them of any benefits they might have gained from their illegal 
      conduct. | 
| [68] | This evidentiary rule is unique to American jurisprudence. Although the 
      English and Canadian legal systems are highly regarded, neither has adopted 
      our rule. See Martin, The Exclusionary Rule Under Foreign Law -- Canada, 
      52 J. Crim. L. C. & P. S. 271, 272 (1961); Williams, The Exclusionary 
      Rule Under Foreign Law -- England, 52 J. Crim. L. C. & P. S. 272 (1961). | 
| [69] | I do not question the need for some remedy to give meaning and teeth to 
      the constitutional guarantees against unlawful conduct by government officials. 
      Without some effective sanction, these protections would constitute little 
      more than rhetoric. Beyond doubt the conduct of some officials requires 
      sanctions as cases like Irvine indicate. But the hope that this objective 
      could be accomplished by the exclusion of reliable evidence from criminal 
      trials was hardly more than a wistful dream. Although I would hesitate to 
      abandon it until some meaningful substitute is developed, the history of 
      the suppression doctrine demonstrates that it is both conceptually sterile 
      and practically ineffective in accomplishing its stated objective. This 
      is illustrated by the paradox that an unlawful act against a totally innocent 
      person -- such as petitioner claims to be -- has been left without an effective 
      remedy, and hence the Court finds it necessary now -- 55 years later -- 
      to construct a remedy of its own. | 
| [70] | Some clear demonstration of the benefits and effectiveness of the exclusionary 
      rule is required to justify it in view of the high price it extracts from 
      society -- the release of countless guilty criminals. See Allen, Federalism 
      and the Fourth Amendment: A Requiem for Wolf, 1961 Sup. Ct. Rev. 1, 33 n. 
      172. But there is no empirical evidence to support the claim that the rule 
      actually deters illegal conduct of law enforcement officials. Oaks, Studying 
      the Exclusionary Rule in Search and Seizure, 37 U. Chi. L. Rev. 665, 667 
      (1970). | 
| [71] | There are several reasons for this failure. The rule does not apply any 
      direct sanction to the individual official whose illegal conduct results 
      in the exclusion of evidence in a criminal trial. With rare exceptions law 
      enforcement agencies do not impose direct sanctions on the individual officer 
      responsible for a particular judicial application of the suppression doctrine. 
      Id., at 710. Thus there is virtually nothing done to bring about a change 
      in his practices. The immediate sanction triggered by the application of 
      the rule is visited upon the prosecutor whose case against a criminal is 
      either weakened or destroyed. The doctrine deprives the police in no real 
      sense; except that apprehending wrongdoers is their business, police have 
      no more stake in successful prosecutions than prosecutors or the public. | 
| [72] | The suppression doctrine vaguely assumes that law enforcement is a monolithic 
      governmental enterprise. For example, the Dissenters in Wolf v. Colorado, 
      supra, at 44, argued that: | 
| [73] | "Only by exclusion can we impress upon the zealous prosecutor that 
      violation of the Constitution will do him no good. And only when that point 
      is driven home can the prosecutor be expected to emphasize the importance 
      of observing the constitutional demands in his instructions to the police." 
      (Emphasis added.) | 
| [74] | But the prosecutor who loses his case because of police misconduct is 
      not an official in the police department; he can rarely set in motion any 
      corrective action or administrative penalties. Moreover, he does not have 
      control or direction over police procedures or police actions that lead 
      to the exclusion of evidence. It is the rare exception when a prosecutor 
      takes part in arrests, searches, or seizures so that he can guide police 
      action. | 
| [75] | Whatever educational effect the rule conceivably might have in theory 
      is greatly diminished in fact by the realities of law enforcement work. 
      Policemen do not have the time, inclination, or training to read and grasp 
      the nuances of the appellate opinions that ultimately define the standards 
      of conduct they are to follow. The issues that these decisions resolve often 
      admit of neither easy nor obvious answers, as sharply divided courts on 
      what is or is not "reasonable" amply demonstrate. *fn4 
      Nor can Judges, in all candor, forget that opinions sometimes lack helpful 
      clarity. | 
| [76] | The presumed educational effect of judicial opinions is also reduced by 
      the long time lapse -- often several years -- between the original police 
      action and its final judicial evaluation. Given a policeman's pressing responsibilities, 
      it would be surprising if he ever becomes aware of the final result after 
      such a delay. Finally, the exclusionary rule's deterrent impact is diluted 
      by the fact that there are large areas of police activity that do not result 
      in criminal prosecutions -- hence the rule has virtually no applicability 
      and no effect in such situations. Oaks, (supra) , at 720-724. | 
| [77] | Today's holding seeks to fill one of the gaps of the suppression doctrine 
      -- at the price of impinging on the legislative and policy functions that 
      the Constitution vests in Congress. Nevertheless, the holding serves the 
      useful purpose of exposing the fundamental weaknesses of the suppression 
      doctrine. Suppressing unchallenged truth has set guilty criminals free but 
      demonstrably has neither deterred deliberate violations of the Fourth Amendment 
      nor decreased those errors in judgment that will inevitably occur given 
      the pressures inherent in police work having to do with serious crimes. | 
| [78] | Although unfortunately ineffective, the exclusionary rule has increasingly 
      been characterized by a single, monolithic, and drastic judicial response 
      to all official violations of legal norms. Inadvertent errors of judgment 
      that do not work any grave inJustice will inevitably occur under the pressure 
      of police work. These honest mistakes have been treated in the same way 
      as deliberate and flagrant Irvine-type violations of the Fourth Amendment. 
      For example, in Miller v. United States, 357 U.S. 301, 309-310 (1958), reliable 
      evidence was suppressed because of a police officer's failure to say a "few 
      more words" during the arrest and search of a known narcotics peddler. | 
| [79] | This Court's decision announced today in Coolidge v. New Hampshire, post, 
      p. 443, dramatically illustrates the extent to which the doctrine represents 
      a mechanically inflexible response to widely varying degrees of police error 
      and the resulting high price that society pays. I Dissented in Coolidge 
      primarily because I do not believe the Fourth Amendment had been violated. 
      Even on the Court's contrary premise, however, whatever violation occurred 
      was surely insufficient in nature and extent to justify the drastic result 
      dictated by the suppression doctrine. A fair trial by jury has resolved 
      doubts as to Coolidge's guilt. But now his conviction on retrial is placed 
      in serious question by the remand for a new trial -- years after the crime 
      -- in which evidence that the New Hampshire courts found relevant and reliable 
      will be withheld from the jury's consideration. It is hardly surprising 
      that such results are viewed with incomprehension by non-lawyers in this 
      country and lawyers, Judges, and legal scholars the world over. | 
| [80] | Freeing either a tiger or a mouse in a schoolroom is an illegal act, but 
      no rational person would suggest that these two acts should be punished 
      in the same way. From time to time Judges have occasion to pass on regulations 
      governing police procedures. I wonder what would be the judicial response 
      to a police order authorizing "shoot to kill" with respect to 
      every fugitive. It is easy to predict our collective wrath and outrage. 
      We, in common with all rational minds, would say that the police response 
      must relate to the gravity and need; that a "shoot" order might 
      conceivably be tolerable to prevent the escape of a convicted killer but 
      surely not for a car thief, a pickpocket or a shoplifter. | 
| [81] | I submit that society has at least as much right to expect rationally 
      graded responses from Judges in place of the universal "capital punishment" 
      we inflict on all evidence when police error is shown in its acquisition. 
      See ALI, Model Code of Pre-Arraignment Procedure § SS 8.02 (2), p. 23 (Tent. 
      Draft No. 4, 1971), reprinted in the Appendix to this opinion. Yet for over 
      55 years, and with increasing scope and intensity as today's Coolidge holding 
      shows, our legal system has treated vastly dissimilar cases as if they were 
      the same. Our adherence to the exclusionary rule, our resistance to change, 
      and our refusal even to acknowledge the need for effective enforcement mechanisms 
      bring to mind Holmes' well-known statement: | 
| [82] | "It is revolting to have no better reason for a rule of law than 
      that so it was laid down in the time of Henry IV. It is still more revolting 
      if the grounds upon which it was laid down have vanished long since, and 
      the rule simply persists from blind imitation of the past." Holmes, 
      The Path of the Law, 10 Harv. L. Rev. 457, 469 (1897). | 
| [83] | In characterizing the suppression doctrine as an anomalous and ineffective 
      mechanism with which to regulate law enforcement, I intend no reflection 
      on the motivation of those members of this Court who hoped it would be a 
      means of enforcing the Fourth Amendment. Judges cannot be faulted for being 
      offended by arrests, searches, and seizures that violate the Bill of Rights 
      or statutes intended to regulate public officials. But we can and should 
      be faulted for clinging to an unworkable and irrational concept of law. 
      My criticism is that we have taken so long to find better ways to accomplish 
      these desired objectives. And there are better ways. | 
| [84] | Instead of continuing to enforce the suppression doctrine inflexibly, 
      rigidly, and mechanically, we should view it as one of the experimental 
      steps in the great tradition of the common law and acknowledge its shortcomings. 
      But in the same spirit we should be prepared to discontinue what the experience 
      of over half a century has shown neither deters errant officers nor affords 
      a remedy to the totally innocent victims of official misconduct. | 
| [85] | I do not propose, however, that we abandon the suppression doctrine until 
      some meaningful alternative can be developed. In a sense our legal system 
      has become the captive of its own creation. To overrule Weeks and Mapp, 
      even assuming the Court was now prepared to take that step, could raise 
      yet new problems. Obviously the public interest would be poorly served if 
      law enforcement officials were suddenly to gain the impression, however 
      erroneous, that all constitutional restraints on police had somehow been 
      removed -- that an open season on "criminals" had been declared. 
      I am concerned lest some such mistaken impression might be fostered by a 
      flat overruling of the suppression doctrine cases. For years we have relied 
      upon it as the exclusive remedy for unlawful official conduct; in a sense 
      we are in a situation akin to the narcotics addict whose dependence on drugs 
      precludes any drastic or immediate withdrawal of the supposed prop, regardless 
      of how futile its continued use may be. | 
| [86] | Reasonable and effective substitutes can be formulated if Congress would 
      take the lead, as it did for example in 1946 in the Federal Tort Claims 
      Act. I see no insuperable obstacle to the elimination of the suppression 
      doctrine if Congress would provide some meaningful and effective remedy 
      against unlawful conduct by government officials. | 
| [87] | The problems of both error and deliberate misconduct by law enforcement 
      officials call for a workable remedy. Private damage actions against individual 
      police officers concededly have not adequately met this requirement, and 
      it would be fallacious to assume today's work of the Court in creating a 
      remedy will really accomplish its stated objective. There is some validity 
      to the claims that juries will not return verdicts against individual officers 
      except in those unusual cases where the violation has been flagrant or where 
      the error has been complete, as in the arrest of the wrong person or the 
      search of the wrong house. There is surely serious doubt, for example, that 
      a drug peddler caught packaging his wares will be able to arouse much sympathy 
      in a jury on the ground that the police officer did not announce his identity 
      and purpose fully or because he failed to utter a "few more words." 
      See Miller v. United States, supra. Jurors may well refuse to penalize a 
      police officer at the behest of a person they believe to be a "criminal" 
      and probably will not punish an officer for honest errors of judgment. In 
      any event an actual recovery depends on finding nonexempt assets of the 
      police officer from which a judgment can be satisfied. | 
| [88] | I conclude, therefore, that an entirely different remedy is necessary 
      but it is one that in my view is as much beyond judicial power as the step 
      the Court takes today. Congress should develop an administrative or quasi-judicial 
      remedy against the government itself to afford compensation and restitution 
      for persons whose Fourth Amendment rights have been violated. The venerable 
      doctrine of respondeat superior in our tort law provides an entirely appropriate 
      conceptual basis for this remedy. If, for example, a security guard privately 
      employed by a department store commits an assault or other tort on a customer 
      such as an improper search, the victim has a simple and obvious remedy -- 
      an action for money damages against the guard's employer, the department 
      store. W. Prosser, The Law of Torts § 68, pp. 470-480 (3d ed. 1964). *fn5 
      Such a statutory scheme would have the added advantage of providing some 
      remedy to the completely innocent persons who are sometimes the victims 
      of illegal police conduct -- something that the suppression doctrine, of 
      course, can never accomplish. | 
| [89] | A simple structure would suffice. *fn6 
      For example, Congress could enact a statute along the following lines: | 
| [90] | (a) a waiver of sovereign immunity as to the illegal acts of law enforcement 
      officials committed in the performance of assigned duties; | 
| [91] | (b) the creation of a cause of action for damages sustained by any person 
      aggrieved by conduct of governmental agents in violation of the Fourth Amendment 
      or statutes regulating official conduct; | 
| [92] | (c) the creation of a tribunal, quasi-judicial in nature or perhaps patterned 
      after the United States Court of Claims, to adjudicate all claims under 
      the statute; | 
| [93] | (d) a provision that this statutory remedy is in lieu of the exclusion 
      of evidence secured for use in criminal cases in violation of the Fourth 
      Amendment; and | 
| [94] | (e) a provision directing that no evidence, otherwise admissible, shall 
      be excluded from any criminal proceeding because of violation of the Fourth 
      Amendment. | 
| [95] | I doubt that lawyers serving on such a tribunal would be swayed either 
      by undue sympathy for officers or by the prejudice against "criminals" 
      that has sometimes moved lay jurors to deny claims. In addition to awarding 
      damages, the record of the police conduct that is condemned would undoubtedly 
      become a relevant part of an officer's personnel file so that the need for 
      additional training or disciplinary action could be identified or his future 
      usefulness as a public official evaluated. Finally, appellate judicial review 
      could be made available on much the same basis that it is now provided as 
      to district courts and regulatory agencies. This would leave to the courts 
      the ultimate responsibility for determining and articulating standards. | 
| [96] | Once the constitutional validity of such a statute is established, *fn7 
      it can reasonably be assumed that the States would develop their own remedial 
      systems on the federal model. Indeed there is nothing to prevent a State 
      from enacting a comparable statutory scheme without waiting for the Congress. 
      Steps along these lines would move our system toward more responsible law 
      enforcement on the one hand and away from the irrational and drastic results 
      of the suppression doctrine on the other. Independent of the alternative 
      embraced in this Dissenting opinion, I believe the time has come to re-examine 
      the scope of the exclusionary rule and consider at least some narrowing 
      of its thrust so as to eliminate the anomalies it has produced. | 
| [97] | In a country that prides itself on innovation, inventive genius, and willingness 
      to experiment, it is a paradox that we should cling for more than a half 
      century to a legal mechanism that was poorly designed and never really worked. 
      I can only hope now that the Congress will manifest a willingness to view 
      realistically the hard evidence of the half-century history of the suppression 
      doctrine revealing thousands of cases in which the criminal was set free 
      because the constable blundered and virtually no evidence that innocent 
      victims of police error -- such as petitioner claims to be -- have been 
      afforded meaningful redress. | 
| [98] | APPENDIX TO OPINION OF BURGER, C. J., DISSENTING | 
| [99] | It is interesting to note that studies over a period of years led the 
      American Law Institute to propose the following in its tentative draft of 
      a model pre-arraignment code: | 
| [100] | "(2) Determination. Unless otherwise required by the Constitution 
      of the United States or of this State, a motion to suppress evidence based 
      upon a violation of any of the provisions of this code shall be granted 
      only if the court finds that such violation was substantial. In determining 
      whether a violation is substantial the court shall consider all the circumstances, 
      including: | 
| [101] | "(a) the importance of the particular interest violated; | 
| [102] | "(b) the extent of deviation from lawful conduct; | 
| [103] | "(c) the extent to which the violation was willful; | 
| [104] | "(d) the extent to which privacy was invaded; | 
| [105] | "(e) the extent to which exclusion will tend to prevent violations 
      of this Code; | 
| [106] | "(f) whether, but for the violation, the things seized would have 
      been discovered; and | 
| [107] | "(g) the extent to which the violation prejudiced the moving party's 
      ability to support his motion, or to defend himself in the proceeding in 
      which the things seized are sought to be offered in evidence against him. | 
| [108] | "(3) Fruits of Prior Unlawful Search. If a search or seizure is carried 
      out in such a manner that things seized in the course of the search would 
      be subject to a motion to suppress under subsection (1), and if as a result 
      of such search or seizure other evidence is discovered subsequently and 
      offered against a defendant, such evidence shall be subject to a motion 
      to suppress unless the prosecution establishes that such evidence would 
      probably have been discovered by law enforcement authorities irrespective 
      of such search or seizure, and the court finds that exclusion of such evidence 
      is not necessary to deter violations of this Code." | 
| [109] | ALI, Model Code of Pre-Arraignment Procedure §§ SS 8.02 (2), (3), pp. 
      23-24 (Tent. Draft No. 4, 1971) (emphasis supplied). | 
| [110] | The Reporters' views on the exclusionary rule are also reflected in their 
      comment on the proposed section: | 
| [111] | "The Reporters wish to emphasize that they are not, as a matter of 
      policy, wedded to the exclusionary rule as the sole or best means of enforcing 
      the Fourth Amendment. See Oaks, Studying the Exclusionary Rule in Search 
      and Seizure, 37 U. of Chi. L. Rev. 665 (1970). Paragraph (2) embodies what 
      the Reporters hope is a more flexible approach to the problem, subject of 
      course to constitutional requirements." Id., comment, at 26-27. | 
| [112] | This is but one of many expressions of disenchantment with the exclusionary 
      rule; see also: | 
| [113] | 1. Barrett, Exclusion of Evidence Obtained by Illegal Searches -- A Comment 
      on People vs. Cahan, 43 Calif. L. Rev. 565 (1955). | 
| [114] | 2. Burns, Mapp v. Ohio : An All-American Mistake, 19 DePaul L. Rev. 80 
      (1969). | 
| [115] | 3. Friendly, The Bill of Rights as a Code of Criminal Procedure, 53 Calif. 
      L. Rev. 929, 951-954 (1965). | 
| [116] | 4. F. Inbau, J. Thompson, & C. Sowle, Cases and Comments on Criminal 
      Justice: Administration 1-84 (3d ed. 1968). | 
| [117] | 5. LaFave, Improving Police Performance Through the Exclusionary Rule 
      (pts. 1 & 2), 30 Mo. L. Rev. 391, 566 (1965). | 
| [118] | 6. LaFave & Remington, Controlling the Police: The Judge's Role in 
      Making and Reviewing Law Enforcement Decisions, 63 Mich. L. Rev. 987 (1965). | 
| [119] | 7. N. Morris & G. Hawkins, The Honest Politician's Guide to Crime 
      Control 101 (1970). | 
| [120] | 8. Oaks, Studying the Exclusionary Rule in Search and Seizure, 37 U. Chi. 
      L. Rev. 665 (1970). | 
| [121] | 9. Plumb, Illegal Enforcement of the Law, 24 Cornell L. Q. 337 (1939). | 
| [122] | 10. Schaefer, The Fourteenth Amendment and Sanctity of the Person, 64 
      Nw. U. L. Rev. 1 (1969). | 
| [123] | 11. Waite, Judges and the Crime Burden, 54 Mich. L. Rev. 169 (1955). | 
| [124] | 12. Waite, Evidence -- Police Regulation by Rules of Evidence, 42 Mich. 
      L. Rev. 679 (1944). | 
| [125] | 13. Wigmore, Using Evidence Obtained by Illegal Search and Seizure, 8 
      A. B. A. J. 479 (1922). | 
| [126] | 14. 8 J. Wigmore, Evidence § 2184a (McNaughton rev. 1961). | 
| [127] | JUSTICE BLACK, Dissenting. | 
| [128] | In my opinion for the Court in Bell v. Hood, 327 U.S. 678 (1946), we did 
      as the Court states, reserve the question whether an unreasonable search 
      made by a federal officer in violation of the Fourth Amendment gives the 
      subject of the search a federal cause of action for damages against the 
      officers making the search. There can be no doubt that Congress could create 
      a federal cause of action for damages for an unreasonable search in violation 
      of the Fourth Amendment. Although Congress has created such a federal cause 
      of action against state officials acting under color of state law,* it has 
      never created such a cause of action against federal officials. If it wanted 
      to do so, Congress could, of course, create a remedy against federal officials 
      who violate the Fourth Amendment in the performance of their duties. But 
      the point of this case and the fatal weakness in the Court's judgment is 
      that neither Congress nor the State of New York has enacted legislation 
      creating such a right of action. For us to do so is, in my judgment, an 
      exercise of power that the Constitution does not give us. | 
| [129] | Even if we had the legislative power to create a remedy, there are many 
      reasons why we should decline to create a cause of action where none has 
      existed since the formation of our Government. The courts of the United 
      States as well as those of the States are choked with lawsuits. The number 
      of cases on the docket of this Court have reached an unprecedented volume 
      in recent years. A majority of these cases are brought by citizens with 
      substantial complaints -- persons who are physically or economically injured 
      by torts or frauds or governmental infringement of their rights; persons 
      who have been unjustly deprived of their liberty or their property; and 
      persons who have not yet received the equal opportunity in education, employment, 
      and pursuit of happiness that was the dream of our forefathers. Unfortunately, 
      there have also been a growing number of frivolous lawsuits, particularly 
      actions for damages against law enforcement officers whose conduct has been 
      judicially sanctioned by state trial and appellate courts and in many instances 
      even by this Court. My fellow Justices on this Court and our brethren throughout 
      the federal judiciary know only too well the time-consuming task of conscientiously 
      poring over hundreds of thousands of pages of factual allegations of misconduct 
      by police, judicial, and corrections officials. Of course, there are instances 
      of legitimate grievances, but legislators might well desire to devote judicial 
      resources to other problems of a more serious nature. | 
| [130] | We sit at the top of a judicial system accused by some of nearing the 
      point of collapse. Many criminal defendants do not receive speedy trials 
      and neither society nor the accused are assured of Justice when inordinate 
      delays occur. Citizens must wait years to litigate their private civil suits. 
      Substantial changes in correctional and parole systems demand the attention 
      of the lawmakers and the judiciary. If I were a legislator I might well 
      find these and other needs so pressing as to make me believe that the resources 
      of lawyers and Judges should be devoted to them rather than to civil damage 
      actions against officers who generally strive to perform within constitutional 
      bounds. There is also a real danger that such suits might deter officials 
      from the proper and honest performance of their duties. | 
| [131] | All of these considerations make imperative careful study and weighing 
      of the arguments both for and against the creation of such a remedy under 
      the Fourth Amendment. I would have great difficulty for myself in resolving 
      the competing policies, goals, and priorities in the use of resources, if 
      I thought it were my job to resolve those questions. But that is not my 
      task. The task of evaluating the pros and cons of creating judicial remedies 
      for particular wrongs is a matter for Congress and the legislatures of the 
      States. Congress has not provided that any federal court can entertain a 
      suit against a federal officer for violations of Fourth Amendment rights 
      occurring in the performance of his duties. A strong inference can be drawn 
      from creation of such actions against state officials that Congress does 
      not desire to permit such suits against federal officials. Should the time 
      come when Congress desires such lawsuits, it has before it a model of valid 
      legislation, 42 U. S. C. § 1983, to create a damage remedy against federal 
      officers. Cases could be cited to support the legal proposition which I 
      assert, but it seems to me to be a matter of common understanding that the 
      business of the judiciary is to interpret the laws and not to make them. | 
| [132] | I Dissent. | 
| [133] | JUSTICE BLACKMUN, Dissenting. | 
| [134] | I, too, Dissent. I do so largely for the reasons expressed in Chief Judge 
      Lumbard's thoughtful and scholarly opinion for the Court of Appeals. But 
      I also feel that the judicial legislation, which the Court by its opinion 
      today concededly is effectuating, opens the door for another avalanche of 
      new federal cases. Whenever a suspect imagines, or chooses to assert, that 
      a Fourth Amendment right has been violated, he will now immediately sue 
      the federal officer in federal court. This will tend to stultify proper 
      law enforcement and to make the day's labor for the honest and conscientious 
      officer even more onerous and more critical. Why the Court moves in this 
      direction at this time of our history, I do not know. The Fourth Amendment 
      was adopted in 1791, and in all the intervening years neither the Congress 
      nor the Court has seen fit to take this step. I had thought that for the 
      truly aggrieved person other quite adequate remedies have always been available. 
      If not, it is the Congress and not this Court that should act. | 
|  | |
| Opinion Footnotes | |
|  | |
| [135] | *fn1 Petitioner's complaint does 
      not explicitly state that the agents had no probable cause for his arrest, 
      but it does allege that the arrest was "done unlawfully, unreasonably 
      and contrary to law." App. 2. Petitioner's affidavit in support of 
      his motion for summary judgment swears that the search was "without 
      cause, consent or warrant," and that the arrest was "without cause, 
      reason or warrant." App. 28. | 
| [136] | *fn2 The agents were not named 
      in petitioner's complaint, and the District Court ordered that the complaint 
      be served upon "those federal agents who it is indicated by the records 
      of the United States Attorney participated in the November 25, 1965, arrest 
      of the ." App. 3. Five agents were ultimately served. | 
| [137] | *fn3 Judge Waterman, Concurring, 
      expressed the thought that "the federal courts can . . . entertain 
      this cause of action irrespective of whether a statute exists specifically 
      authorizing a federal suit against federal officers for damages" for 
      acts such as those alleged. In his view, however, the critical point was 
      recognition that some cause of action existed, albeit a state-created one, 
      and in consequence he was willing " as of now " to concur in the 
      holding of the Court of Appeals. 409 F.2d, at 726 (emphasis in original). | 
| [138] | *fn4 "Since it is the present 
      policy of the Department of Justice to remove to the federal courts all 
      suits in state courts against federal officers for trespass or false imprisonment, 
      a claim for relief, whether based on state common law or directly on the 
      Fourth Amendment, will ultimately be heard in a federal court." Brief 
      for Respondents 13 (citations omitted); see 28 U. S. C. § 1442 (a); Willingham 
      v. Morgan, 395 U.S. 402 (1969). In light of this, it is difficult to understand 
      our Brother BLACKMUN's complaint that our holding today "opens the 
      door for another avalanche of new federal cases." Post, at 430. In 
      estimating the magnitude of any such "avalanche," it is worth 
      noting that a survey of comparable actions against state officers under 
      42 U. S. C. § 1983 found only 53 reported cases in 17 years (1951-1967) 
      that survived a motion to dismiss. Ginger & Bell, Police Misconduct 
      Litigation -- Plaintiff's Remedies, 15 Am. Jur. Trials 555, 580-590 (1968). 
      Increasing this figure by 900% to allow for increases in rate and unreported 
      cases, every federal district Judge could expect to try one such case every 
      13 years. | 
| [139] | *fn5 New York at that time followed 
      the common-law rule that a private person may arrest another if the latter 
      has in fact committed a felony, and that if such is the case the presence 
      or absence of probable cause is irrelevant to the legality of the arrest. 
      See McLoughlin v. New York Edison Co., 252 N. Y. 202, 169 N. E. 277 (1929); 
      cf. N. Y. Code Crim. Proc. § 183 (1958) for codification of the rule. Conspiracy 
      to commit a federal crime was at the time a felony. Act of March 4, 1909, 
      § 37, 35 Stat. 1096. | 
| [140] | *fn6 Conversely, we have in some 
      instances rejected Fourth Amendment claims despite facts demonstrating that 
      federal agents were acting in violation of local law. McGuire v. United 
      States, 273 U.S. 95 (1927) (trespass ab initio); Hester v. United States, 
      265 U.S. 57 (1924) ("open fields" doctrine); cf. Burdeau v. McDowell, 
      256 U.S. 465 (1921) (possession of stolen property). | 
| [141] | *fn7 Similarly, although the 
      Fourth Amendment confines an officer executing a search warrant strictly 
      within the bounds set by the warrant, Marron v. United States, 275 U.S. 
      192, 196 (1927); see Stanley v. Georgia, 394 U.S. 557, 570-572 (1969) (STEWART, 
      J., Concurring in result), a private individual lawfully in the home of 
      another will not normally be liable for trespass beyond the bounds of his 
      invitation absent clear notice to that effect. See 1 F. Harper & F. 
      James, The Law of Torts § 1.11 (1956). | 
| [142] | *fn8 Although no State has undertaken 
      to limit the common-law doctrine that one may use reasonable force to resist 
      an unlawful arrest by a private person, at least two States have outlawed 
      resistance to an unlawful arrest sought to be made by a person known to 
      be an officer of the law. R. I. Gen. Laws § 12-7-10 (1969); State v. Koonce, 
      89 N. J. Super. 169, 180-184, 214 A. 2d 428, 433-436 (1965). | 
| [143] | CONCURRING FOOTNOTES | 
| [144] | 1 Petitioner also asserted federal jurisdiction under 42 U. S. C. § 1983 
      and 28 U. S. C. § 1343 (3), and 28 U. S. C. § 1343 (4). Neither will support 
      federal jurisdiction over the claim. See Bivens v. Six Unknown Named Agents, 
      409 F.2d 718, 720 n. 1 (CA2 1969). | 
| [145] | 2 See n. 3, (infra). | 
| [146] | 3 The Government appears not quite ready to concede this point. Certain 
      points in the Government's argument seem to suggest that the "state-created 
      right -- federal defense" model reaches not only the question of the 
      power to accord a federal damages remedy, but also the claim to any judicial 
      remedy in any court. Thus, we are pointed to Lasson's observation concerning 
      Madison's version of the Fourth Amendment as introduced into the House: | 
| [147] | "The observation may be made that the language of the proposal did 
      not purport to create the right to be secure from unreasonable search and 
      seizures but merely stated it as a right which already existed." | 
| [148] | N. Lasson, History and Development of the Fourth Amendment to the United 
      States Constitution 100 n. 77 (1937), quoted in Brief for Respondents 11 
      n. 7. And, on the problem of federal equitable vindication of constitutional 
      rights without regard to the presence of a "state-created right," 
      see Hart, The Relations Between State and Federal Law, 54 Col. L. Rev. 489, 
      523-524 (1954), quoted in Brief for Respondents 17. | 
| [149] | On this point, the choice of phraseology in the Fourth Amendment itself 
      is singularly unpersuasive. The leading argument against a "Bill of 
      Rights" was the fear that individual liberties not specified expressly 
      would be taken as excluded. See generally, Lasson, (supra) , at 79-105. 
      This circumstance alone might well explain why the authors of the Bill of 
      Rights would opt for language which presumes the existence of a fundamental 
      interest in liberty, albeit originally derived from the common law. See 
      Entick v. Carrington, 19 How. St. Tr. 1029, 95 Eng. Rep. 807 (1765). | 
| [150] | In truth, the legislative record as a whole behind the Bill of Rights 
      is silent on the rather refined doctrinal question whether the framers considered 
      the rights therein enumerated as dependent in the first instance on the 
      decision of a State to accord legal status to the personal interests at 
      stake. That is understandable since the Government itself points out that 
      general federal-question jurisdiction was not extended to the federal district 
      courts until 1875. Act of March 3, 1875, § 1, 18 Stat. 470. The most that 
      can be drawn from this historical fact is that the authors of the Bill of 
      Rights assumed the adequacy of common-law remedies to vindicate the federally 
      protected interest. One must first combine this assumption with contemporary 
      modes of jurisprudential thought which appeared to link "rights" 
      and "remedies" in a 1:1 correlation, cf. Marbury v. Madison, 1 
      Cranch 137, 163 (1803), before reaching the Conclusion that the framers 
      are to be understood today as having created no federally protected interests. 
      And, of course, that would simply require the Conclusion that federal equitable 
      relief would not lie to protect those interests guarded by the Fourth Amendment. | 
| [151] | Professor Hart's observations concerning the "imperceptible steps" 
      between In re Ayers, 123 U.S. 443 (1887), and Ex parte Young, 209 U.S. 123 
      (1908), see Hart, (supra) , fail to persuade me that the source of the legal 
      interest asserted here is other than the Federal Constitution itself. In 
      re Ayers concerned the precise question whether the Eleventh Amendment barred 
      suit in a federal court for an injunction compelling a state officer to 
      perform a contract to which the State was a party. Having concluded that 
      the suit was inescapably a suit against the State under the Eleventh Amendment, 
      the Court spoke of the presence of state-created rights as a distinguishing 
      factor supporting the exercise of federal jurisdiction in other contract 
      clause cases. The absence of a state-created right in In re Ayers served 
      to distinguish that case from the perspective of the State's immunity to 
      suit; Ayers simply does not speak to the analytically distinct question 
      whether the Constitution is in the relevant sense a source of legal protection 
      for the "rights" enumerated therein. | 
| [152] | 4 The Borak case is an especially clear example of the exercise of federal 
      judicial power to accord damages as an appropriate remedy in the absence 
      of any express statutory authorization of a federal cause of action. There 
      we "implied" -- from what can only be characterized as an "exclusively 
      procedural provision" affording access to a federal forum, cf. Textile 
      Workers v. Lincoln Mills, 353 U.S. 448, 462-463 (1957) (Frankfurter, J., 
      Dissenting) -- a private cause of action for damages for violation of § 
      14 (a) of the Securities Exchange Act of 1934, 48 Stat. 895, 15 U. S. C. 
      § 78n (a). See § 27, 48 Stat. 902, 15 U. S. C. § 78aa. We did so in an area 
      where federal regulation has been singularly comprehensive and elaborate 
      administrative enforcement machinery had been provided. The exercise of 
      judicial power involved in Borak simply cannot be justified in terms of 
      statutory construction, see Hill, Constitutional Remedies, 69 Col. L. Rev. 
      1109, 1120-1121 (1969); nor did the Borak Court purport to do so. See Borak, 
      supra, at 432-434. The notion of "implying" a remedy, therefore, 
      as applied to cases like Borak, can only refer to a process whereby the 
      federal judiciary exercises a choice among traditionally available judicial 
      remedies according to reasons related to the substantive social policy embodied 
      in an act of positive law. See ibid., and Bell v. Hood, supra, at 684. | 
| [153] | 5 With regard to a court's authority to grant an equitable remedy, the 
      line between "subject matter" jurisdiction and remedial powers 
      has undoubtedly been obscured by the fact that historically the "system 
      of equity 'derived its doctrines, as well as its powers, from its mode of 
      giving relief.'" See Guaranty Trust Co. v. York, supra, at 105, quoting 
      C. Langdell, Summary of Equity Pleading xxvii (1877). Perhaps this fact 
      alone accounts for the suggestion sometimes made that a court's power to 
      enjoin invasion of constitutionally protected interests derives directly 
      from the Constitution. See Bell v. Hood, 71 F.Supp. 813, 819 (SD Cal. 1947). | 
| [154] | 6 Chief Judge Lumbard's opinion for the Court of Appeals in the instant 
      case is, as I have noted, in accord with this Conclusion: | 
| [155] | "Thus, even if the Constitution itself does not give rise to an inherent 
      injunctive power to prevent its violation by governmental officials there 
      are strong reasons for inferring the existence of this power under any general 
      grant of jurisdiction to the federal courts by Congress." 409 F.2d, 
      at 723. | 
| [156] | The description of the remedy as "inferred" cannot, of course, 
      be intended to assimilate the judicial decision to accord such a remedy 
      to any process of statutory construction. Rather, as with the cases concerning 
      remedies, implied from statutory schemes, see n. 4, (supra) , the description 
      of the remedy as "inferred" can only bear on the reasons offered 
      to explain a judicial decision to accord or not to accord a particular remedy. | 
| [157] | 7 I express no view on the Government's suggestion that congressional 
      authority to simply discard the remedy the Court today authorizes might 
      be in doubt; nor do I understand the Court's opinion today to express any 
      view on that particular question. | 
| [158] | 8 And I think it follows from this point that today's decision has little, 
      if indeed any, bearing on the question whether a federal court may properly 
      devise remedies -- other than traditionally available forms of judicial 
      relief -- for the purpose of enforcing substantive social policies embodied 
      in constitutional or statutory policies. Compare today's decision with Mapp 
      v. Ohio, 367 U.S. 643 (1961), and Weeks v. United States, 232 U.S. 383 (1914). 
      The Court today simply recognizes what has long been implicit in our decisions 
      concerning equitable relief and remedies implied from statutory schemes; 
      i. e., that a court of law vested with jurisdiction over the subject matter 
      of a suit has the power -- and therefore the duty -- to make principled 
      choices among traditional judicial remedies. Whether special prophylactic 
      measures -- which at least arguably the exclusionary rule exemplifies, see 
      Hill, The Bill of Rights and the Supervisory Power, 69 Col. L. Rev. 181, 
      182-185 (1969) -- are supportable on grounds other than a court's competence 
      to select among traditional judicial remedies to make good the wrong done, 
      cf. Bell v. Hood, supra, at 684, is a separate question. | 
| [159] | *fn9 The same, of course, may 
      not be true with respect to other types of constitutionally protected interests, 
      and therefore the appropriateness of money damages may well vary with the 
      nature of the personal interest asserted. See Monroe v. Pape, 365 U.S. 167, 
      196 n. 5 (HARLAN, J., Concurring). | 
| [160] | 1 J. Thayer, O. Holmes, & F. Frankfurter, John Marshall 88 (Phoenix 
      ed. 1967). | 
| [161] | 2 The Court reached the issue of applying the Weeks doctrine to the States 
      sua sponte. | 
| [162] | 3 What Cardozo suggested as an example of the potentially far-reaching 
      consequences of the suppression doctrine was almost realized in Killough 
      v. United States, 114 U. S. App. D.C. 305, 315 F.2d 241 (1962). | 
| [163] | 4 For example, in a case arising under Mapp, supra, state Judges at every 
      level of the state judiciary may find the police conduct proper. On federal 
      a district Judge and a court of appeals might agree. Yet, in these circumstances, 
      this Court, reviewing the case as much as 10 years later, might reverse 
      by a narrow margin. In these circumstances it is difficult to conclude that 
      the policeman has violated some rule that he should have known was a restriction 
      on his authority. | 
| [164] | 5 Damage verdicts for such acts are often sufficient in size to provide 
      an effective deterrent and stimulate employers to corrective action. | 
| [165] | 6 Electronic eavesdropping presents special problems. See 18 U. S. C. 
      §§ 2510-2520 (1964 ed., Supp. V). | 
| [166] | 7 Any such legislation should emphasize the interdependence between the 
      waiver of sovereign immunity and the elimination of the judicially created 
      exclusionary rule so that if the legislative determination to repudiate 
      the exclusionary rule falls, the entire statutory scheme would fall. | 
| [167] | * "Every person who, under color of any statute, ordinance, regulation, 
      custom, or usage, of any State or Territory, subjects, or causes to be subjected, 
      any citizen of the United States or other person within the jurisdiction 
      thereof to the deprivation of any rights, privileges, or immunities secured 
      by the Constitution and laws, shall be liable to the party injured in an 
      action at law, suit in equity, or other proper proceeding for redress." 
      Rev. Stat. § 1979, 42 U. S. C. § 1983. | 
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