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CHAPTER 5
     Retrospective Prophecies
     Legal Narrative Constructions
     PETER BROOKS
     I  currently teach an undergraduate course called “Clues, Evidence,
        Detection: Law Stories.” It does not aim to be a “pre-law” course, or to
     claim any true legal expertise—yet nor is it a “law in popular culture” kind
     of course (of which there are plenty of examples), since I do want to teach
     my students something about how “the law” goes about thinking about
     certain kinds of problems, in this case ones concerned largely with criminal
     procedure and the use of evidence. Discussion of these legal matters leads
     me into narrative analysis: the way in which the law understands discovery
     and recites the meanings derived from evidence raises problems in narra-
     tive telling of the sort studied by some narratologists: an understanding
     of how narrative presentation shapes events recounted, for instance, and
     of how anticipated ends shape story events. For, after all, the narratives
     presented in law as well as in literature are not themselves events in the
     world but rather the way we speak events, the way we give them significant
     order—a distinction too easily forgotten. Here there might be a productive
     meeting of legal and literary traditions.
        I have long thought that the place and status of narrative in the law, and
     in legal studies, are strangely uncertain and ambiguous. On the one hand,
     trial advocates know—have known, presumably, since antiquity—that
     success in the law court depends upon telling an effective and persuasive
     story. The discipline of rhetoric originated essentially to teach courtroom
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    practitioners how to do just that. Law schools courses on advocacy and
    legal writing necessarily pay attention to narrative skills, urging the impor-
    tance of “controlling the narrative,” though such courses are not generally
    thought to be central to the legal curriculum. Academic study sympathetic
    to “law and literature” has by now given considerable attention to narra-
    tive and its uses throughout the law, as institution and as praxis.1 Still, one
    looks in vain within legal doctrine, and in judicial opinions, for any explicit
    recognition that “narrative” is a category for adjudication, that it is some-
    thing that needs to be talked about and brought to bear analytically: that
    rules of evidence, for instance, implicate questions of how stories can and
    should be told. Not so long ago, Justice David Souter evoked a concept of
    “narrative integrity” in one of his Supreme Court opinions—so far as I can
    tell, the first overt recognition that the literary and cultural category of
    narrative needs to be imported into legal thinking, and one that thus far
    has had little in the way of sequel.2
       The detective story is the most literary of genres (and the one most often
    written by academics) for a reason: its processes of investigation and detec-
    tion touch on the very rationale of narrative; it very often gives narratives
    that speak to and exemplify the narrative process, or what is sometimes
    called “narrativity.” To the extent that this narrative process is about dis-
    covery and the creation of a meaningful sequence, it touches closely upon a
    subject at the center of criminal justice. So before returning to generalities,
    let me try an example:
       “I knew we should find a ventilator before ever we came to Stoke Moran.”
       “My dear Holmes!”
       “Oh, yes, I did. You remember in her statement she said that her sister could
       smell Dr. Roylott’s cigar. Now, of course that suggested at once that there must
       be a communication between the two rooms. It could only be a small one, or it
       would have been remarked upon at the coroner’s inquiry. I deduced a ventilator.”3
    Some readers may have recognized this exchange, from Arthur Conan
    Doyle’s The Adventure of the Speckled Band. The ventilator is crucial since
    it suggests a communication between Dr. Grimsby Roylott’s bedroom and
    that in which Julia Stoner died of mysterious causes. Add to the ventilator
    a dummy bell pull that hangs down from it to a bed that itself is clamped
    to the floor. And then find in Dr. Roylott’s adjacent bedroom an iron safe, a
    bowl of milk, a horsewhip tied back to itself, and footmarks on the seat of
    a chair under the other end of the ventilator. Now you have a bridge along
    which the loathsome swamp adder can travel, from its home in the safe
    through the ventilator down the bell pull to the immovable bed.
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        Such moments are repeated throughout the Sherlock Holmes corpus.
    “I think we may safely deduce a cab,” says Holmes after looking over the
    layout of the rooms, corridors, and staircases in the Foreign Office, in The
    Naval Treaty, all covered in a “creamy linoleum” that would have shown
    marks of wet boots on this rainy night had the thief come on foot. But what
    Holmes calls “deduction” really fits better into the discovery procedure
    that C. S. Peirce called “abduction,” often glossed as “inference to the best
    explanation.” If for most contemporary scientists abduction belongs to the
    “context of justification,” for Peirce it was explicitly part of the context of
    discovery: “Abduction is the process of forming explanatory hypotheses,”
    he wrote. “It is the only logical operation which introduces any new idea.”4
    A perfect Holmes example comes in Silver Blaze, where he says of the wax
    vesta match he finds buried in the mud at the crime scene: “It was invisible,
    buried in the mud. I only saw it because I was looking for it.” You would not
    have found it without first hypothesizing that it had to be there, since the
    criminal would have had to strike a light to perform his dastardly act of
    wounding the race horse. The inferential process of abduction interests me,
    not so much on philosophical grounds, but because it seems to characterize
    a form of legal narrative reasoning that finds its hyperbolic statement in
    the doctrine of “inevitable discovery.”
        I have written about “inevitable discovery” elsewhere.5 In very brief defi-
    nition, it is a doctrine that allows the prosecution to use results of an illegal
    search, one in violation of the Fourth Amendment rules on searches and
    seizures, if it can show that what was found would inevitably have been
    discovered if legal means had been used to discover it. This makes pretty
    good sense in the case in which the Supreme Court signs on to the doctrine,
    Nix v. Williams, in which there was a search party on the ground, marching
    westward through Iowa, some two and a half miles from the place where
    the murdered child lay—a search called off when the perpetrator told the
    police where the body was after an interrogation judged to be illegal.6 In
    other cases, it has at times been a convenient way of saying that the find-
    ing of the goods (drugs, very often) by whatever means is justified because
    if the correct, warranted means had been used you would certainly have
    found it.7 This sounds to me very much like the logic of a certain kind of
    narrative explanation that derives beginnings and middles from ends. It is
    the inferential logic of the: “it must have been like this.” It may be the logic
    of telling rather than of happening, and the law can at times confuse the
    two, turning the way events are told into the way things happened. I want
    to pursue and refine this question by way of Carlo Ginzburg’s ambitious
    essay on “Clues.”
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    SEARCH AND THE HUNTSMAN’S PARADIGM
    In a sinuous argument that touches on Sherlock Holmes, on Freud, and
    on the prototype of a kind of discovery procedure used by both that was
    elaborated by the art historian Giovanni Morelli—whose premise was that
    in order to authenticate a painting, one should look to minute details such
    as ear lobes and fingernails, where an artist’s unique characteristics would
    be better revealed than in the ensemble—Carlo Ginzburg undertakes to
    isolate and define a special form of cognition by way of clues.8 Knowing
    by way of clues—following the traces left by one’s quarry—is of course
    the detective’s method. It doesn’t work by deduction from a general law
    (though it may call upon fragments of general wisdom, e.g., “the horse is a
    gregarious animal”), nor does it quite work inductively from part to whole.
    It is rather a science of the concrete and particular that achieves its discov-
    eries through putting particulars together in a narrative chain.9 Ginzburg
    identifies this science with the huntsman’s lore:
       Man has been a hunter for thousands of years. In the course of countless pur-
       suits he learned to reconstruct the shapes and movements of his invisible prey
       from tracks in the mud, broken branches, droppings of excrement, tufts of hair,
       entangled feathers, stagnating odors. He learned to sniff out, record, interpret,
       and classify such infinitesimal traces as trails of spittle. He learned how to exe-
       cute complex mental operations with lightning speed, in the depth of a forest or
       in a prairie with its hidden dangers. (Spie, 166; Clues, 102)
    Even in a post-hunting society, searches reach their discoveries by such
    tracking of details, making them into a chain of meaning, uncovering their
    connections. Ginzburg speculates that this kind of knowing may in fact lie
    at the inception of narrative itself:
       This knowledge is characterized by the ability to move from apparently insignifi-
       cant experiential data to a complex reality that cannot be experienced directly.
       And the data is always arranged by the observer in such a way as to produce a
       narrative sequence, which could be expressed most simply as “someone passed
       this way.” Perhaps the very idea of narrative (as distinct from the incantation,
       exorcism, or invocation) was born in a hunting society, from the experience of
       deciphering tracks. (Spie, 166; Clues, 103)
    On Ginzburg’s hypothesis, narrative would be a cognitive instrument of
    a specific type, one “invented” for the decipherment of details of the real
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    that take on their meaning only when linked in a series, enchained in a
    manner that allows one to detect that “someone passed this way.” This is
    what Sherlock Holmes’s searches—for a wax vesta in the mud, for a ven-
    tilator high up in the wall—are all about. And the “huntsman’s paradigm”
    may indicate in more general terms the use-value of narrative as a form of
    speech and cognition: it is the instrument we use when the putting together
    of particulars into a meaningful sequence seems to be the only way to track
    down our quarry, whatever it may be. Working from Ginzburg’s sugges-
    tions, Terence Cave argues that the huntsman’s or “cynegetic paradigm”
    points us toward that most basic and enduring and useful of plots: the story
    that leads to anagnorisis or recognition. “The sign of recognition in drama
    and narrative fiction belongs,” says Cave, “to the same mode of knowledge
    as the signature, the clue, the fingerprint or footprint and all the other
    tracks and traces that enable an individual to be identified, a criminal to
    be caught, a hidden event or state of affairs to be reconstructed.”10 Signs
    of recognition in literature reach back to antiquity and forward to moder-
    nity: see the scar on Odysseus’s thigh that enables his old nurse Eurykleia
    to recognize him by touch, see the hidden birthmark of Shakespeare’s
    Cymbeline, see the notorious la croix de ma mère of nineteenth-century
    melodrama, the token which at the denouement allows the orphan to be
    recognized, true identities established. It is easy to recognize that the law,
    particularly when dealing with issues of evidence, must make use of the
    huntsman’s paradigm, seeking to show how finding signs and deciphering
    tracks will lead to the apprehension of what passed that way.
        Fingerprinting, from early in the twentieth century onward, assumed
    dominant importance in the tracking and identification of criminals. It
    was imported by the British raj from Bengal and immediately accepted in
    Europe and America:  other systems of identification, including the com-
    plex measurements of “Bertillonage,” were never wholly reliable. It is inter-
    esting, in the context of Ginzburg’s paradigm, that a decision by federal
    judge Louis Pollak in 2002, in United States v. Llera Plaza, cast doubt on our
    dependence on fingerprinting.11 Pollak ruled that fingerprint evidence does
    not meet the criteria for scientific evidence established in Daubert v. Merrill
    Dow Pharmaceuticals. He noted that other recent federal cases called fin-
    gerprint identification “the very archetype of reliable expert testimony”
    and “scientific knowledge,” but that it failed on the grounds of testability
    and especially falsifiability: it is the test of falsifiability that allows one to
    know not only that a proposition is true a good deal of the time but that
    it is universally true. Fingerprint identification, while mustering a con-
    siderable body of expertise, does not in the final analysis meet this stan-
    dard. The final step in fingerprint identification—the determination of a
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    match between two sets of fingerprints—involves a subjective judgment
    rather than a scientific procedure: “it is a subjective determination without
    objective standards to it” (at 37–38, citing expert witness David Stoney).
    Therefore, Pollak ruled that experts may present analysis of fingerprints,
    and point out observed similarities between prints, but “will not be per-
    mitted to present testimony expressing an opinion of an expert witness
    that a particular latent print matches, or does not match, the rolled print
    of a particular person and hence is, or is not, the fingerprint of that person”
    (at 69). This I  think had the effect of moving fingerprint evidence from
    the domain of science to the realm of Ginzburg’s “conjectural knowledge.”
    But Pollak’s decision inevitably met with ferocious resistance in the police
    and prosecutorial communities, and he reversed himself three months
    later. The absolute accuracy of the clues registered by our digital imprints
    remains in doubt.12
       Ginzburg notes an early relation of the huntsman’s paradigm to law in
    his discussion of Mesopotamian divination, based on the minute investi-
    gation of seemingly trivial details:  “animals’ innards, drops of oil on the
    water, stars, involuntary movements of the body.” According to Ginzburg,
    Mesopotamian jurisprudence was similarly oriented toward the interpreta-
    tion of particulars: “Mesopotamian legal texts themselves did not consist
    of collections of laws or statutes but of discussions of concrete examples”
    (Spie, 168–69; Clues, 104). So that the same paradigm can be found in the
    divinatory and jurisprudential texts, with this difference that the former
    are directed to the future, the latter to the past. Ginzburg then stretches his
    hypothesis to suggest that narrative modes of knowing (such as archaeol-
    ogy, paleontology, geology) all make what he calls “retrospective prophecies”
    (183; 117), which he sees as the key to the popularity of detective fiction.13
       What Ginzburg calls the “conjectural paradigm” means that when “causes
    cannot be reproduced, there is nothing to do but to deduce them from their
    effects.” That working backward from effects to causes characterizes psy-
    choanalysis in its entirety, as Freud was very much aware, and possibly
    much legal analysis as well. The “case method” of American legal study—
    introduced by C. C. Langdell at Harvard Law School shortly before Conan
    Doyle began his Sherlock Holmes tales—resembles the Mesopotamian
    approach in its insistence that argument be worked up from concrete par-
    ticulars.14 And here, too, the concept of “retrospective prophecy” is rel-
    evant: that which is plotted forward to the predictable outcome can be so
    ordered because one in fact stands at the point of the outcome. The causes
    become apparent in light of their effects.15 Langdell of course thought the
    study of cases ought to lead to a legal science. Holmes suggests the same
    thing in a late story, The Adventure of the Abbey Grange, when he complains
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    that Watson’s “fatal habit of looking at everything from the point of view of
    a story instead of as a scientific exercise has ruined what might have been
    an instructive and even classical series of demonstrations.”16 He querulously
    proposes “to devote my declining years to the composition of a textbook,
    which shall focus the whole of detection into one volume.” His reproach to
    Watson misunderstands—and allows his creator to emphasize—the genius
    of the case method. The point of the exercise, in a pedagogical and cogni-
    tive sense, is to retrace how the outcome can be drawn, with the logic of
    inevitability, from the “facts of the case” by the plotting of the story. And if
    we enjoy the mental processes activated by detective fiction and legal argu-
    ment, it must be in part because of the satisfaction derived from the dem-
    onstration of inevitability: it had to be this way, and no other way.
        Searches for evidence may always include a “retrospective prophecy” fac-
    tor. Consider that application for a search warrant must contain a predic-
    tion of what is to be found. The warrant application sets forth the evidence
    that the police believe they (inevitably) will find if given permission to
    search.17 Warrants must be based on “probable cause” that what is sought
    will be found. In this sense, searches for evidence always involve a prior
    story, a probable, hypothetical story which the search intends to confirm.
    The doctrine of “inevitable discovery” offers a particularly clear instance
    of “retrospective prophecy.” It makes the claim that a trail to the quarry
    exists, and that the (hypothetical) following of the traces and tracks mak-
    ing up this trail would (certainly) lead to the quarry. In other words, it takes
    the logic of the huntsman’s paradigm—the logic of narrative knowing—
    and, in its hypothetical application of the paradigm to a case in which the
    quarry was not but would have been found, exposes the logic of discovery as
    a narrative process. In the doctrine of inevitable discovery, we know that
    the quarry is there, at the end of the trail. The question is whether follow-
    ing the trail would inevitably have led to it. When you decide—as in Nix v.
    Williams—that it would have, you sign on to the logic of narrative discov-
    ery in a particularly telling way, accepting that the huntsman’s lore is infal-
    lible, and infallibly cognitive. When as a legal decision maker you so decide,
    you may be simply affirming the nature of the law as discipline: affirming
    its belief in evidence as the meaningful entailment of tracks and traces.
    NARRATIVE RETROSPECT
    All the practices of identification by way of signs interpreted as clues in the
    narrative of what happened, who passed by, involve a “retrospective proph-
    ecy,” a construction of the story of the past by way of its outcome, what it
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    was leading to. It is in the peculiar nature of narrative as a sense-making
    system that clues are revealing, that prior events are prior, and causes are
    causal only retrospectively, in a reading back from the end. The narrative
    theorist Gérard Genette argues that narrative offers the determination of
    means by ends and of causes by effects. If the narrative went nowhere,
    never became a complete story, there would be no decisive enchainment
    of its incidents, no sense of inevitable discovery; the units of the narrative
    would cease to be functional. Such, Jean-Paul Sartre argued, is the differ-
    ence between living and telling. To tell is to conceive life as adventure, in
    the etymological sense of the ad-venire, that which is to come, and by its
    coming to structure what leads up to it. It is worth quoting at some length
    the reflections of Sartre’s fictional spokesman Antoine Roquentin on the
    problem. When you begin to tell a story, you appear to start at the begin-
    ning. But, says Roquentin:
      In reality you have started at the end. It is there, invisible and present, it is what
      gives these few words the pomp and value of a beginning: “I was out walking,
      I had left the town without realizing, I was thinking about my money troubles.”
      This sentence, taken simply for what it is, means that the guy was absorbed,
      morose, a hundred miles from an adventure, exactly in a mood to let things hap-
      pen without noticing them. But the end is there, transforming everything. For
      us, the guy is already the hero of the story. His moroseness, his money troubles
      are much more precious than ours, they are all gilded by the light of future pas-
      sions. And the story goes on in reverse: instants have stopped piling themselves
      up in a haphazard way one on another, they are caught up by the end of the story
      which draws them and each one in its turn draws the instant preceding it: “It
      was night, the street was deserted.” The sentence is thrown out negligently, it
      seems superfluous; but we don’t let ourselves be duped, we put it aside: this is a
      piece of information whose value we will understand later on. And we feel that
      the hero has lived all the details of this night as annunciations, as promises, or
      even that he lived only those that were promises, blind and deaf to all that did
      not herald adventure. We forget that the future wasn’t yet there; the guy was
      walking in a night without premonitions, which offered him in disorderly fash-
      ion its monotonous riches, and he did not choose.18
    On this statement, any narrative telling presupposes an end that will trans-
    form its apparently random details “as annunciations, as promises” of what
    is to come, and that “what is to come” transforms because it gives meaning
    to, makes significant the details as leading to the end.
        Roland Barthes once suggested that narrative may be built on a general-
    ization of the philosophical error of “post hoc, ergo propter hoc”: narrative
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     plotting makes it seem that if b follows a it is because b is somehow logi-
     cally entailed by a.19 And certainly it is part of the “logic” of narrative to
     make it appear that temporal connection is also causal connection. This
     indeed may be one of the uses of narrative: we need to be able to discover
     connections in life, to have it make sense, to rescue passing time from
     meaningless successivity. One of the projects of complex narratives—such
     as novels—has often been to question such connections, to ask about the
     possible randomness of existence. Novels often appear to stage a struggle
     between chaos and meaning. But their very existence as novels, as writing
     about life rather than life itself, must generally assure that they conclude,
     however tenuously, in favor of meaning.
        In the inevitable discovery doctrine, the law comes down firmly on the
     side of meaning, conjuring away the specter of meaninglessness, a chaotic
     universe in which searches would not necessarily lead to anything. It pre-
     supposes an infinitely knowable world, one laid out in tracks and traces—
     like the gridlines marked off on the county map by Agent Ruxlow in his
     search for the young girl’s body in Nix—waiting to be deciphered. If this is
     a contestable picture of the world, it may be an accurate picture of the law,
     which assumes that its quarry exists, and that its discovery procedures, if
     patient and thorough enough, will find it. In the doctrine of inevitable dis-
     covery, then, the law is merely affirming (in fairly spectacular form) its own
     nature. By this, I mean that law is inextricably bound up with the making of
     “retrospective prophecies,” using the shaping force of outcomes to construct
     narratives from tracks and traces into a coherent plot with a meaningful
     ending. Inevitable discovery is in this sense what the Russian Formalists
     might have called a “laying bare of the device”: one of those moments that
     images the procedures and the very nature of the text in question.
        When we speak of “the narrative construction of reality”—in Jerome
     Bruner’s terms, how narrative “operates as an instrument of mind in the
     construction of reality”20—we must mean, among other things, the ways
     in which narrative sequence, plot, and intelligibility are used by humans
     to make sense of their lives and their world. It was precisely his reflection
     on the workings of narrative structure in the creation of intelligibility and
     meaning in human action (a reflection continued in his autobiography, The
     Words) that led Sartre eventually to renounce the novel as a genre, since it
     came to appear to him a violation of existential freedom, a misrepresenta-
     tion of the open-endedness of becoming. Yet one might respond that the
     renunciation of narrative is not an option, since narrative construction of
     reality is a basic human operation, learned in infancy, and culturally omni-
     present.21 For better or worse, we are stuck with narrative and its ways
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    of making sense. The conclusion would then seem to be that we should
    become better narratologists—better analysts of the stories we tell, the
    ways they work, the effects they have.
       Bruner notes that the way the human mind processes knowledge as
    story “has been grossly neglected by students of mind raised either in the
    rationalist or in the empiricist traditions.”22 One wonders if it has been
    neglected as well by students of the law. One tends to find attention to the
    creation and critique of legal storytelling mainly consigned to the courses
    on courtroom advocacy and legal writing, which often have marginal sta-
    tus within law school. And, as I suggested earlier, one scans legal opinions
    in vain for any mention of narrative as a category that needs thinking
    about.23 Justice Souter’s riff on “narrative integrity” in a case called Old
    Chief v.  United States remains exceptional. It is the only moment I’ve
    encountered where the Court considers what has been called the “episte-
    mology of the particular”: the way in which stories create certain mean-
    ings that cannot otherwise be conveyed.24 At issue in the case is whether
    defendant Johnny Lynn Old Chief can “stipulate” to a prior crime and con-
    viction, thereby preventing the prosecution from presenting the details of
    that old crime, which is very similar to the new charge. Souter registers
    the need for “evidentiary richness and narrative integrity in presenting
    a case.”25 He goes on to say that “making a case with testimony and tan-
    gible things … tells a colorful story with descriptive richness.”26 And he
    continues:
      Evidence thus has force beyond any linear scheme of reasoning, and as its pieces
      come together a narrative gains momentum, with power not only to support
      conclusions but to sustain the willingness of jurors to draw the inferences, what-
      ever they may be, necessary to reach an honest verdict. This persuasive power of
      the concrete and particular is often essential to the capacity of jurors to satisfy
      the obligations that the law places on them.27
    Souter’s opinion develops into a striking reflection on the nature and the
    force of narrative:
      A syllogism is not a story, and a naked proposition in a courtroom may be
      no match for the robust evidence that would be used to prove it. People who
      hear stories interrupted by gaps of abstraction may be puzzled at the missing
      chapters. … A convincing tale can be told with economy, but when economy
      becomes a break in the natural sequence of narrative evidence, an assurance
      that the missing link is really there is never more than second best.28
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     For Souter, the full and convincing tale must be responsive to the jurors’
     expectations “about what proper proof should be.”29 These expectations
     preexist service on a jury: jurors bring them to the courthouse, “assuming,
     for example, that a charge of using a firearm to commit an offense will be
     proven by introducing a gun in evidence.” Failure to meet what we might
     call jurors’ “narrative competence” can undermine the prosecution’s proof.
        The need for a complete and convincing narrative indeed has an ethical
     dimension for Souter. Pointing out that jury duty is unsought and often
     difficult:
         When a juror’s duty does seem hard, the evidentiary account of what a defen-
         dant has thought and done can accomplish what no set of abstract statements
         ever could, not just to prove a fact but to establish its human significance, and
         so to implicate the law’s moral underpinnings and a juror’s obligation to sit in
         judgment.30
     As I  read this, Souter seems to be saying that the force of narrative evi-
     dence, the kind of evidence of guilty mind and act that it alone can provide,
     may be tied in a deep way to the very act of passing judgment on one’s fel-
     lows. It is only on the basis of seeing and feeling what someone did in com-
     mitting a crime that we can understand the morality of passing judgment.
     If that is what Souter means, he implies that law without narrative would
     be not only disabled but lacking in moral force.
         Curiously, though, this major statement on the importance of narra-
     tive in the law is used in the instant case to claim that while a jury needs
     to hear a full narrative of events, too much story, for instance that of Old
     Chief’s past felony and conviction, could “overpersuade” the jury. That
     might lead the jury to convict on evidence of his bad character, rather than
     on proof specific to the crime. Old Chief’s past felony, Souter decides, is not
     a chapter in this story: it is “entirely outside the natural sequence of what
     the defendant is charged with thinking and doing to commit the current
     offense.”31 Story is dangerous as well as persuasive. The law needs to keep
     it channeled or, you might say, under erasure: visible when you look for it
     but only barely legible. If it is in some way fundamental to the morality of
     criminal law, to recognize its constitutive force might be to concede that
     law rests on rhetoric.
         Certainly where Fourth Amendment jurisprudence is concerned—when
     we are talking about searches and seizures and how we understand their
     workings in relation to constitutional “rules”—the narrative construction
     of the reality is the reality, and how it is constructed makes all the differ-
     ence in the defendant’s story. And when we start probing the interesting
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     piece of Fourth Amendment doctrine known as “inevitable discovery,” we
     find implicated within it a larger problem of legal narrative, which is in
     turn a problem of narrative as a human function, cognitive instrument,
     and moral compass.
        Stories are not events in the world, but rather a way in which we speak
     the world, and in so doing give it shape and meaning. Yet in their telling
     and their reception as the given story of what happened, they become
     events in the world. This issue extends far beyond Fourth Amendment
     cases. Consider the obvious instance of rape. I have taught the famous case
     from Baltimore, Rusk v. Maryland and Maryland v. Rusk (recently the object
     of a fine essay by Jeannie Suk32), where the “same story” is retold four
     times, by majority and dissent at two different appellate levels, with cru-
     cially differing outcomes. Rusk was convicted at trial; the Maryland Court
     of Special Appeals reversed and vacated his conviction; then the Maryland
     Court of Appeals (the highest court in the state) reversed again, reinstating
     the conviction. In both appeals courts, there was a majority opinion and a
     dissent: the story is retold four times, twice as “consensual sex,” twice as
     “rape.” “What happened” was never in dispute. What it meant made all the
     difference—and that meaning was all in the way the happening was told,
     with different narrative connectives, with a differing understanding of how
     events fit together to make the chain of meaning. And it is easy to see that
     in all branches of the law, from trial court to Supreme Court, the telling of
     “the facts” underlies all adjudication. If the need to “control the narrative”
     has become something of a cultural cliché, that should suggest the need to
     unpack and analyze the prevailing narrative.33
        One more example (if that’s needed) could be found in the writing of
     postconviction petitions, which must claim that a story officially pro-
     claimed at its end should be reopened. In Mickens v. Taylor, which reached
     the Supreme Court as a case of conflicted representation (counsel who
     had been representing the murder victim on a charge of assault against
     his mother was, immediately after the murder, appointed to represent his
     alleged killer), Anthony Amsterdam had to produce a petition for a writ
     of certiorari that would forcefully suggest from the outset that the record
     compiled at trial by Mickens’s counsel could have and would have been
     different with unconflicted legal representation.34 The lawyer’s conflict
     of interest was the legal entering wedge; the more compelling issue was
     that the lawyer had allowed Walter Mickens to take the stand and deny
     any involvement with the killing although he had already confessed to it
     and the evidence against him was overwhelming. Mickens was convicted of
     aggravated homicide, murder made “wantonly vile” by forcible sodomy on
     the victim, and sentenced to death. Amsterdam’s petition retold the story
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    to suggest forcefully that the sexual encounter of Mickens and his victim
    was consensual, occurring in a well-known trysting place, and that the vic-
    tim was indeed probably a male prostitute, thus disqualifying Mickens for
    a capital sentence in the Commonwealth of Virginia.35 All the other courts
    below had accepted the story created at trial. Amsterdam effectively dem-
    onstrated that it could be told otherwise, and with greater plausibility. That
    argument took the case to the Supreme Court, where a five–four major-
    ity decided that Mickens had to demonstrate that his legal representation
    had an actual adverse effect on his trial—a “but for” unprovable by its very
    nature. As Justice Stevens puts it in his dissent, “we will never know” what
    the story made at trial might have been (at 186). The stories told at law,
    once accepted by juries and judges and then retold and ratified by appellate
    courts, become inert realities, rarely revised.
        Courtroom advocates, appellate judges—including justices of the
    Supreme Court—“know” in some unacknowledged way that there are
    moments when the particulars of how “the facts” are told make all the dif-
    ference. There are times when they would subscribe to Joseph Conrad’s
    famous dictum for novelists: “My task … is by the power of the written
    word, to make you hear, to make you feel—it is, before all, to make you see.
    That—and no more, and it is everything.”36 But an explicit awareness of
    the crucial, sometimes decisive role of narrative in passing judgment rarely
    is visible, and almost never discussed. If the law regularly issues “retro-
    spective prophecies”—reaching back to show how the present outcome was
    necessarily entailed by happenings and decisions in the past—it doesn’t
    recognize the kind of narrative act involved in this reasoning. For instance,
    an acknowledgment that usually there are no facts of a search independent
    of the narrative form given to them might seem to be an important ele-
    ment in the intellectual toolkit judges bring to the resolution of appellate
    cases. The narrative construction of reality as an explanatory system surely
    is omnipresent, and it needs to be recognized as a construction rather than
    accepted as one of the givens of the real. Narrative analysis needs to take a
    place within legal analysis.
    NOTES
      1. See, e.g., Guyora Binder and Robert Weisberg, Literary Criticisms of Law
         (Princeton, NJ: Princeton University Press, 2000); Anthony G. Amsterdam and
         Jerome Bruner, Minding the Law (Cambridge, MA: Harvard University Press
         2000); Peter Brooks and Paul Gewirtz, Law’s Stories: Narrative and Rhetoric
         in the Law (New Haven, CT: Yale University Press 1996); Richard Posner, Law
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           and Literature: A Misunderstood Relation (Cambridge, MA: Harvard University
           Press 1998).
      2.   See Old Chief v. United States, 519 U.S. 172, 183 (1997). I have also discussed
           Old Chief and some of the rare cases that cite it in Peter Brooks, “Law and
           Humanities: Two Attempts,” Boston University Law Review 93 (2013): 1437.
      3.   Arthur Conan Doyle, The Complete Sherlock Holmes (New York: Gramercy, 2002),
           417. My thanks to Georgetown Law student Elizabeth Sebesky for her fine
           research assistance on this chapter.
      4.   Charles Sanders Peirce, “Three Types of Reasoning,” in Collected Papers of Charles
           Sanders Peirce, ed. Charles Hartshorne and Paul Weiss (Cambridge, MA: Harvard
           University Press, 1965), vol. 5, §172. Peirce continues: “Deduction proves that
           something must be; [i]nduction shows that something actually is operative; [a]
           bduction merely suggests that something may be”; ibid., vol. 5, §171. See also
           the seminal discussions in Umberto Eco and Thomas A. Sebeok, eds., The Sign
           of Three: Dupin, Holmes, Peirce (Bloomington: Indiana University Press, 1984):
           Umberto Eco, “Horns, Hooves, Insteps: Some Hypotheses on Three Types of
           Abduction,” 198–220, and Thomas A. Sebeok and Jane Umiker-Sebeok, “ ‘You
           Know my Method’: A Juxtaposition of Charles S. Peirce and Sherlock Holmes,”
           11–54.
      5.   See Peter Brooks, “‘Inevitable Discovery’: Law, Narrative, Retrospectivity,” Yale
           Journal of Law and the Humanities 15 (2003): 101–29. Also Peter Brooks, “Clues,
           Evidence, Detection: Law Stories,” Narrative 25:1 (January 2017).
      6.   See Nix v. Williams, 467 U.S. 431 (1984).
      7.   See for instance United States v. Feldhacker, 849 F.2d 293, 296 (8th Cir. 1988);
           United States v. Andrade, 784 F.2d 1431, 1433 (9th Cir. 1986); United States
           v. Levasseur, 620 F. Supp. 624, 632 (E.D.N.Y. 1985); State v. Butler, 676 S.W.2d
           809, 813 (Mo. 1984). On these and a number of other cases, see Jessica Forbes,
           “The Inevitable Discovery Exception, Primary Evidence, and the Emasculation
           of the Fourth Amendment,” Fordham Law Review 55 (1987): 1221–38. It is
           important to note that United States v. Levasseur was abrogated by United
           States v. Heath, 455 F.3d 52 (2d Cir. 2006), which created a heightened standard
           for the government to meet in order to rely on the inevitable discovery doctrine.
           The Second Circuit in that case expressly eschews the “reasonable probability”
           standard, and states: “we conclude that illegally-obtained evidence will be
           admissible under the inevitable discovery exception to the exclusionary rule
           only where a court can find, with a high level of confidence, that each of the
           contingencies necessary to the legal discovery of the contested evidence would
           be resolved in the government’s favor.” Heath, 455 F.3d at 61.
      8.   Carlo Ginzburg, “Spie: Radici di un paradigma indizario,” in Miti Emblemi Spie
           (Torino: Einaudi, 1986), 158–209; “Clues: Roots of an Evidential Paradigm,” in
           Myths, Emblems, Clues, trans. John Tedeschi and Anne C. Tedeschi (London:
           Hutchinson Radius, 1990), 96–125. I have modified the Tedeschi translation in
           places in order to give a more literal rendition.
      9.   The method identified by Ginzburg here resembles what C. S. Peirce called
           “abduction,” “hypothesis,” or “guessing.”
     10.   Terence Cave, Recognitions: A Study in Poetics (Oxford: Clarendon Press,
           1988), 250.
     11.   The first Pollak opinion comes in United States v. Llera Plaza, 179 F. Supp. 2d
           494 (E.D. Pa. 2002), vacated by 188 F. Supp. 2d 549 (E.D. Pa. 2002); see also
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            Daubert v. Merrell Dow Phamaceuticals, Inc. 509 U.S. 579 (1993) (subsequent
            page references are to the first Pollak opinion).
     12.    For a thorough study of the current situation of fingerprinting and similar
            forensic evidence, see Jennifer L. Mnookin et al., “The Need for a Research
            Culture in the Forensic Sciences,” UCLA Law Review 58 (2011): 725–80. The
            best book on the history of fingerprinting that I know is Simon A. Cole, Suspect
            Identities (Cambridge, MA: Harvard University Press, 1986).
     13.    The Tedeschi translation says: “the ability to forecast retrospectively,” which
            I think downplays the striking paradox of Ginzburg’s “retrospective prophecy,”
            which seems to me a key part of his argument.
     14.    I am grateful to Simon Stern for bringing this parallel to my attention.
     15.    I have argued that this is true also of the way in which legal opinions recount
            the history of the law as applied to the case at hand; this may be especially true
            when the history of constitutional interpretation is at stake: the result must
            seem the inevitable conclusion drawn from prior cases. See Brooks, “Law and
            Humanities,” 1456–63.
     16.    “The Adventure of the Abbey Grange,” in Arthur Conan Doyle, Sherlock
            Holmes: The Complete Novels and Tales (New York: Bantam Dell, 1986), 1:1010.
      17.   See, e.g., the standard form for a warrant in federal court: http://www.
            uscourts.gov/forms/law-enforcement-grand-jury-and-prosecution-forms/
            search-and-seizure-warrant.
     18.    Jean-Paul Sartre, La Nausée (Paris: Gallimard, 1947), 59–60. My translation.
            See also Gérard Genette, “Vraisemblance et motivation” [“Likelihood and
            Motivation”] in Figures II (Paris: Editions du Seuil, 1969), 71–100.
     19.    Roland Barthes, “Introduction to the Structural Analysis of Narrative” (1966), in
            The Barthes Reader, ed. Susan Sontag (New York: Hill and Wang, 1982), 266.
     20.    See Jerome Bruner, “The Narrative Construction of Reality,” Critical Inquiry 18
            (1991), 6.
     21.    Alan Dershowitz makes an argument against narrative construction as
            creating juror expectations of a tidy narrative whereas life is largely chaotic: see
            Dershowitz, “Life Is Not a Dramatic Narrative,” in Brooks and Gewirtz, Law’s
            Stories, 99–105. But such construction seems to me inevitably part of our
            understanding of events. See also the comment on the recent sensational
            television documentary The Jinx (containing the apparent confession to
            murders by Robert A. Durst) by documentarian Joe Berlinger: “Real life doesn’t
            necessarily mirror the arc of scripted drama, and yet there has been this push in
            television to bring those two kinds of storytelling together”; Jonathan Mahler,
            “Irresistible TV, but Durst Film Tests Ethics Too,” New York Times, March 16,
            2015. Will TV crime drama in turn inflect legal procedure?
     22.    Bruner, “Narrative Construction of Reality,” 8.
     23.    Although mentions of narrative integrity as such are rare in jurisprudence, the
            idea that parties should be able to tell and juries to hear a complete story is more
            commonly iterated. See, e.g., Lakeside v. Oregon, 435 U.S. 333, 339–41 (1978)
            (cited by Souter in Old Chief for the proposition that a nontestifying defendant
            may demand that a jury be instructed not to draw any adverse inference from his
            silence based on the propensity of jurors to fill in the gaps of the story if certain
            evidence is withheld); United States v. Pepin, 514 F.3d 193, 207–208 (2d Cir.
            2008) (citing Old Chief for the premise that the lower court abused its discretion
            in excluding evidence that the defendant dismembered the body after committing
            homicide because these details “form[ed] part of the res gestae, the narrative
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           that the government rightly seeks to tell at the guilt phase of a trial”); United
           States v. Hill, 249 F.3d 707, 713 (8th Cir. 2001) (citing Old Chief to hold that past
           criminal evidence can constitute the “story of defendant’s criminal behavior” as
           long as it goes to the intent to commit the present crime); United States v. Rezaq,
           134 F.3d 1121, 1142 (D.C. Cir. 1998) (applying narrative integrity analysis of Old
           Chief to stand for the right of defendants generally to receive evidence in the
           form of actual classified governmental documents rather than a summary). See
           also United States v. Saunders, 209 Fed. App’x 778, 782 (10th Cir. 2006); United
           States v. Gartmon, 146 F.3d 1015, 1021 (D.C. Cir. 1998); United States v. Inserra,
           34 F.3d 89–90 (2d Cir. 1994); United States v. Fortenberry, 971 F.2d 717, 721
           (11th Cir. 1992); United States v. Storm, 915 F. Supp. 2d 1196 (D. Or. 2012) (citing
           Old Chief); Michael S. Pardo, “Juridical Proof, Evidence, and Pragmatic Meaning:
           Toward Evidentiary Holism,” Northwestern University Law Review 95 (2000): 399–
           442; Nancy Pennington and Reid Hastie, “A Cognitive Model of Juror Decision
           Making: The Story Model,” Cardozo Law Review 13 (1991): 519–58; Philip Meyer,
           Storytelling for Lawyers (Oxford: Oxford University Press, 2014).
     24.   One might find some similarities between Souter’s dicta on narrative integrity and
           the common law doctrine of res gestae, which has been defined in various ways,
           most recently as the “inextricable intertwining” of evidence of one crime with
           the evidence of other crimes, and which was laid to rest in federal jurisprudence
           by the Seventh Circuit prior to Souter’s opinion. Stephens v. Miller, 13 F.2d 998
           (7th Cir. 1994). State courts remain split, and use unusually vivid and vehement
           language, on whether the common-law concept of res gestae can be reconciled
           with state rules of evidence. Compare State v. Kemp, 948 A.2d 636, 652 (N.J.
           2008) (“Res gestae is the moldy cardboard box in the basement, whose contents
           no longer have any utility but which we nevertheless fear discarding. The time
           has come for us to rid our evidence rules of this ancient doctrine that no longer
           has any contemporary relevance.”) with State v. Nelson, 791 N.W.2d 414, 423–24
           (Iowa 2010) (“Therefore, under this narrow interpretation of Iowa’s inextricably
           intertwined doctrine that completes the story of the crime, we must analyze the
           State’s argument that the evidence the defendant was a drug dealer is not evidence
           of other crimes, wrongs, or acts but is, in fact, intrinsic evidence completing
           the story of the charged crime of murder in the first degree.”). See also Edward
           J. Imwinkelried, “The Second Coming of Res Gestae: A Procedural Approach to
           Untangling the ‘Inextricably Intertwined’ Theory for Admitting Evidence of an
           Accused’s Uncharged Misconduct,” Catholic University Law Review 59 (2010): 719,
           722–23, 727–28, which argues that res gestae, and a recognition of the concept
           of narrative integrity introduced by Old Chief, has been revived through a use of
           Federal Rule of Evidence 404(b) and is recognized by most circuit courts.
     25.   Old Chief v. United States, 183.
     26.   Ibid., 187.
     27.   Ibid., 187.
     28.   Ibid., 189.
     29.   Ibid., 188.
     30.   Ibid., 187–88.
     31.   Ibid., 191.
     32.   See Jeannie Suk, “The Look in His Eyes,” Harvard Law School Public Law and
           Legal Theory Working Paper Series no. 10–13; reprinted in Criminal Law Stories,
           ed. Donna K. Coker and Robert Weisberg, 171–211 (New York: Foundation
           Press, 2012).
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    33. I note that attorneys are now posting filings in civil suits on the Internet in an
        attempt to “control the narrative.” See “Lawsuits’ Lurid Details Draw an Online
        Crowd,” New York Times, February 23, 2015, http://nyti.ms/17L2Lgn.
    34. See Mickens v. Taylor, 535 U.S. 162 (2002).
    35. See Mickens v. Taylor, Petition for Writ of Certiorari to the United States Court
        of Appeals for the Fourth Circuit, No. 00-9285. I speak of this petition as the
        work of Anthony Amsterdam because I had the good fortune to work with him
        in his Persuasion Institute at the time he was writing it.
    36. Joseph Conrad, “Preface” to The Nigger of the Narcissus (New York: Doubleday
        Page, 1897), 3.
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