Full opinion text
MEMORANDUM OPINION SEAN J. McLAUGHLIN, District Judge. Presently pending before me in the above-captioned case is the Defendant’s motion seeking reconsideration of the denial of his Rule 29 motions, the denial of his motion to dismiss charges brought under 18 U.S.C. § 666, and the denial of certain suppression motions. For the reasons set forth below, the Defendant’s motion for reconsideration is granted and his requests for substantive relief are granted in part. I. BACKGROUND The Defendant, Dr. Cyril Wecht, is a renowned forensic pathologist and former Coroner of Allegheny County. On January 20, 2006, he was indicted on eighty-four counts of theft of honest services, mail fraud, wire fraud, and theft from an organization receiving federal funds in connection with his tenure as Allegheny County Coroner, which commenced in 1996. The case was initially assigned to the Hon. Arthur J. Schwab of the U.S. District Court for the Western District of Pennsylvania, Pittsburgh Division. The indictment has since been redacted and reformulated but, as originally drafted, it alleged that the Defendant, in his capacity as Allegheny County Coroner, had engaged in a scheme to misuse the personnel and resources of the Allegheny County Coroner’s Office (“ACCO”) toward his own personal and private gain and thus deprive Allegheny County and its citizens of the intangible right to the honest services of the Defendant and other ACCO employees. According to the indictment, this scheme involved the Defendant’s use of county employees and resources to conduct his own private pathology business, which operated under the name Cyril H. Wecht and Pathology Associates, Inc. (‘Wecht Pathology”), and to obtain services which benefitted the Defendant and his family members both personally and politically. Among other things, it was claimed that the Defendant had caused ACCO employees, while on duty, to perform private work on behalf of Wecht Pathology, to run personal errands for the Defendant and his family members, to act as chauffeurs for the Defendant and/or his family members on matters unrelated to ACCO business, and to participate in campaign efforts on behalf of the Defendant and/or his son. The indictment also alleged that the Defendant had engaged in numerous acts of wire fraud by generating fraudulent limousine charges and substantially inflated airfare expenses in connection with his private business and then transmitting the fraudulent bills by facsimile to his private clients. It alleged that the Defendant had committed mail fraud by causing fraudulent mileage reimbursement invoices to be prepared and mailed to various counties in Western Pennsylvania in connection with services rendered by Wecht Pathology. In actuality, it was charged, the Defendant had used eountyowned vehicles for his private transportation needs but kept the reimbursement monies, even though ACCO (not the Defendant) had paid for the gas and maintenance on the vehicles used. Finally, the indictment alleged that, in each of the calendar years 2001 through 2005, the Defendant, acting in his capacity as Allegheny Coroner, had embezzled, stolen, obtained by fraud and otherwise converted without authority ACCO “property” (i.e., the use of ACCO personnel, vehicles, facilities, resources, equipment and space) valued at $5,000 or more, in violation of 18 U.S.C. § 666(a)(1)(A).. It appears that much of the evidence utilized by the Government in support of these charges was obtained, either directly or indirectly, through the execution of two separate search warrants, both of which were presented to a United States Magistrate Judge on April 7, 2005. One of the warrants sought the seizure of approximately twenty boxes of private autopsy files from the offices of Wecht Pathology. The other sought the seizure of a laptop computer utilized by the Defendant’s executive assistant, Eileen Young, and all of the information and data stored within the laptop. Through a number of pretrial proceedings, the defense sought unsuccessfully to suppress the evidence obtained from these searches. Prior to trial, the defense also sought, unsuccessfully, to obtain a dismissal of the Government’s § 666(a)(1)(A) theft charges. (See Def.’s Mot. to Dismiss the Indictment [180] at Br. in Supp. [207].) In relevant part, the defense argued that the Government’s charging theory misapplied the statute in several respects by (i) erroneously expanding the statute’s reach to cover the theft of intangibles such as employee services; (ii) impermissibly and arbitrarily aggregating multiple alleged thefts occurring during the course of a given calendar year in order to satisfy the statute’s $5,000 threshold; and (iii) applying the statute in a manner that resulted in duplicitous and unconstitutionally vague charges. This motion was denied by Judge Schwab in a memorandum opinion and order dated June 29, 2006[264], On January 7, 2008, the Government filed a Redacted Indictment [656-2], which paired its case down from eighty-four charges to forty-one charges. These redacted charges were comprised of: twenty-four counts of theft of honest services— wire fraud, in violation of 18 U.S.C. §§ 1343, 1346 and 2 (Counts 1-24); three counts of theft of honest services — mail fraud, in violation of 18 U.S.C. §§ 1341, 1346 and 2 (Counts 25-27); five counts of wire fraud in violation of 18 U.S.C. §§ 1343 and 2 (Counts 28-32); four counts of mail fraud in violation of 18 U.S.C. §§ 1341 and 2 (Counts 33-36); and five counts of theft of property from an organization receiving federal funds, in violation of 18 U.S.C. §§ 666(a)(1)(A) and 2 (Counts 37-41). The case proceeded to a lengthy trial which occurred over the course of several weeks in early 2008. The evidence closed on March 11, 2008 with the conclusion of the Government’s case-in-chief. In accordance with the trial court’s directive, the defense filed a Rule 29 motion for a judgment of acquittal within hours after the close of the prosecution’s case. (See Motion for Judgment of Acquittal and supporting brief (Docs. [815] and [816])). In relevant part, the Defendant challenged the legal sufficiency of the Government’s proof as it pertained to the mail fraud, wire fraud, and § 666(a)(1)(A) counts. With respect to the wire fraud charges at Counts 28 through 32, the defense argued that the Government had failed to establish that the alleged acts of fraud were material. The defense asserted a similar challenge with respect to the mail fraud charges at Counts 33 to 36, and further argued that the Government had failed to prove, as a factual matter, that the Defendant had driven a county vehicle on the days for which fake limousine charges had been generated. With regard to the § 666(a)(1)(A) charges at Counts 37 to 41, the defense argued that the Government’s evidence was insufficient in at least two respects: it failed to establish that the Defendant knowingly embezzled, stole, obtained by fraud, or converted “property” within the meaning of the statute, and it further failed to place a value on the items alleged to be “property.” The Government filed its response to the Defendant’s motion [818] later that same day. On the following day, Judge Schwab issued an order [822] denying the motion. Jury deliberations ensued but, after approximately ten days of deliberations, the jury was unable to reach a unanimous verdict on any of the Government’s forty-one counts. Consequently, on April 8, 2008, Judge Schwab declared a mistrial. Thereafter, the defense filed a renewed motion for judgment of acquittal (see Docs. [912] and [913]) in which it reasserted the Defendant’s insufficiency-of-proof arguments relative to the issues of materiality, the Defendant’s alleged use of a county vehicle, and the valuation of items allegedly stolen in violation of § 666(a)(1)(A). The Government responded on April 23, 2008 (Doc. [925]), and the defense filed its reply on May 13, 2008[926]. The renewed motion was denied in a 24-page order entered by Judge Schwab on May 23, 2008[976], In the meantime, the Defendant had moved for an order dismissing the indictment and barring a retrial on double jeopardy grounds. (See Docs. Nos. [868] and [869].) Judge Schwab denied this motion on April 27, 2008[933], and the Defendant took an appeal. On September 5, 2008, the Third Circuit Court of Appeals affirmed Judge Schwab’s April 27, 2008 ruling and remanded the matter for further proceedings. Pertinently for our purposes, the Court of Appeals concluded its opinion with the following directive: Our holding today that there is no constitutional bar to retrying Dr. Wecht does not stand for the proposition that he must be retried. That is a decision that rests with the Government. Indeed, Wecht’s prosecution is one that already has spanned more than thirty months. It has resulted in numerous appeals and emergency motions to this Court and, with the filing of this opinion, three lengthy precedential opinions. If the Government chooses to proceed with a retrial, our view is that both sides and the interest of justice would benefit from a reduced level of rancor in the courtroom, fresh eyes on the case, and fewer forays to this Court by the parties, including intervening parties. This has been a highly charged, lengthy, and complex case involving serious criminal charges brought against a prominent public figure. The trial judge has been the referee in a heavyweight fight, and, as we have ruled, has generally made the correct calls, with some exceptions. Wecht II, for example, noted that the District Court initially failed to follow our mandate from an earlier order. See 537 F.3d 222, 224 n. 1. And in today’s decision, even though there was manifest necessity to declare a mistrial in satisfaction of the Fifth Amendment, the District Court reached that conclusion through a highly flawed set of procedures. See III.B, supra. Therefore, in the exercise of our supervisory powers under 28 U.S.C. § 2106, see, e.g., Gov’t of the Virgin Islands v. Walker, 261 F.3d 370, 376 (3d Cir.2001), see also Liteky v. United States, 510 U.S. 540, 554, 114 S.Ct. 1147, 127 L.Ed.2d 474 (1994), we will direct that Judge Schwab be relieved of further duties on this case and that the Chief Judge of the District Court assign a new judge to handle any future matters in the case including any retrial. Although we tread cautiously because “[t]he decision to remove a judge from an ongoing trial should be considered seriously and made only rarely,” Huber v. Taylor, 532 F.3d 237, 251 (3d Cir.2008), this case has progressed so unusually as to become sui generis. See, e.g., Living Designs, Inc. v. E.I. Dupont de Nemours and Co., 431 F.3d 353, 372-73 (9th Cir.2005) (concluding under 28 U.S.C. § 2106 that, even absent allegations of bias, because of the highly unusual procedures the trial judge employed, “the appearance of justice requires reassignment on remand”); Sobel v. Yeshiva Univ., 839 F.2d 18, 37 (2d Cir.1988) (concluding “that it is necessary to remand the case to a different district judge” because court of appeals was “disturbed by the manner in which the district court treated this case on our initial remand”). We thus end this chapter in the Wecht appellate saga by coming full circle. In Wecht I, the issue of whether Judge Schwab should be recused for bias figured prominently in the appeal. In that opinion our dissenting colleague concluded under 28 U.S.C. § 455 “that another judge should preside over the trial of Wecht.” 484 F.3d at 236 (Bright, J., dissenting). [] As we have just described, the problem today is not so much the appearance of bias as it is the appearance of litigation at a combative tenor that likely will not abate were Judge Schwab to stay on the case. We therefore direct that a less invested adjudicator take over from here. United States v. Wecht, 541 F.3d at 511-12 (3d Cir.2008) (internal footnote omitted). In accordance with the appellate court’s instruction, this case was assigned to me on October 31, 2008. Following an initial status conference, the Defendant filed the pending motion seeking reconsideration of several adverse rulings previously entered by Judge Schwab. For one, the Defendant has asked that I reconsider the denial of his motion for judgment of acquittal relative to the wire and mail fraud counts. Here, as before, the Defendant contends that the evidence was legally insufficient to support a conviction for wire fraud because, as to certain counts, the Government failed to establish that the allegedly fraudulent invoices were material and, as to other counts, the evidence specifically disproved any claim of materiality. Once again, with respect to the mail fraud counts, the Defendant challenges the sufficiency of the evidence as it relates to both the materiality of the alleged fraudulent statements and the factual predicate that he had driven a county vehicle on each of the dates identified in the indictment. Second, the Defendant requests that I reconsider the denial of his motion for judgment of acquittal relative to the § 666(a)(1)(A) charges. This aspect of the motion involves issues of statutory construction which, in turn, entail reconsideration of the denial of the Defendant’s antecedent motion to dismiss the § 666(a)(1)(A) charges. Succinctly stated, the Defendant argues that both the trial court and the Government have misconstrued the statute insofar as the trial court permitted the Government to: (a) interpret the statute’s reference to theft of “property” to include intangibles such as, e.g., the use of county personnel, and (b) aggregate multiple acts of alleged theft occurring in any one calendar year in order to establish that the stolen “property” was valued at $5,000 or more. The Defendant maintains that, when the statute is properly construed, the Government’s evidence patently failed to provide a legally sufficient basis for a conviction. Even accepting the Government’s construction of § 666(a)(1)(A), however, the Defendant insists that the Government failed to establish adequate proof relative to the valuation of the alleged acts of theft for any given year. The Defendant also objects that the Government’s charging theory under § 666(a)(1)(A), as applied in this case, has resulted in duplicitous and unconstitutionally vague charges. Finally, the Defendant has asked, as an alternative basis for relief, that I reconsider the denial of his motions to suppress the search of his private offices and the seizure of the laptop computer utilized by Eileen Young. In both instances, the Defendant challenges the validity of the warrants on their face, claiming that each one fails to adequately particularize the items to be seized. In addition, however, the Defendant poses numerous challenges to the sufficiency of the supporting affidavits and also challenges the manner in which one of the warrants was executed. The Government has filed its brief in opposition, and this Court has now had the opportunity to review each side’s papers as well as the relevant law and those portions of the record which are germane to the foregoing issues. In addition, the Court has held two separate arguments on the issues raised in the parties’ briefs. In sum, the Defendant’s motion is now ripe for disposition. II. DISCUSSION A. Law-of-the-Case Considerations The first issue which I must address is the very propriety vel non of reconsidering prior rulings by my colleague, Judge Schwab. Specifically, I must address how, if at all, the law-of-the-case doctrine impacts my ability to reconsider his prior rulings. The rules pertaining to law-of-the-case, as applied in this circuit, are fairly well-established. “As most commonly defined, the doctrine ... posits that when a court decides upon a rule of law, that decision should continue to govern the same issues in subsequent stages in the same case.” Christianson v. Colt Indus. Operating Corp., 486 U.S. 800, 815-16, 108 S.Ct. 2166, 100 L.Ed.2d 811 (1988) (quoting Arizona v. California, 460 U.S. 605, 618, 103 S.Ct. 1382, 75 L.Ed.2d 318 (1983) (dictum)). The rule has developed “to maintain consistency and avoid reconsideration of matters once decided during the course of a single continuing [case].” Casey v. Planned Parenthood of Southeastern Pennsylvania, 14 F.3d 848, 856 (3d Cir.1994) (quoting 18 Charles A. Wright, Arthur R. Miller & Edward H. Cooper, Federal Practice and Procedure § 4478 (2d ed.1981)). It has been applied not only to judges being asked to reconsider their own rulings but also to successor judges who are asked to reconsider the rulings of their predecessors. See, e.g., Christianson, 486 U.S. at 816, 108 S.Ct. 2166 (“[T]he doctrine applies as much to the decision of a coordinate court in the same case as to a court’s own decisions.”); TCF Film Corp. v. Gourley, 240 F.2d 711, 713 (3d Cir.1957) (“judges of coordinate jurisdiction sitting in the same court and in the same case should not overrule the decisions of each other.”) The law-of-the-case doctrine does not limit the jurisdictional power of trial judges to reconsider issues previously decided by a predecessor judge from the same court, but it does recognize, as a matter of comity, that a successor judge should not lightly overturn the decision of his predecessor in a given case. Fagan v. City of Vineland, 22 F.3d 1283, 1290 (3d Cir.1994) (citations omitted). Accordingly, it has been said that a matter previously ruled upon should be revisited only in “extraordinary circumstances,” as where, e.g.: 1) the predecessor judge is unavailable; 2) new evidence becomes available; 3) a supervening new law has been announced; or 4) the earlier decision was clearly erroneous and would create manifest injustice. Tse v. Ventana Medical Systems, Inc., 123 F.Supp.2d 213, 221 (D.Del.2000) (citing Schultz v. Onan Corp., 737 F.2d 339, 345 (3d Cir.1984)). See also Al Tech Specialty Steel Corp. v. Allegheny Internat’l Credit Corp., 104 F.3d 601, 605 (3d Cir.1997) (discussing “exceptional circumstances” which may justify a court’s reconsideration of a prior ruling); Max’s Seafood Cafe ex rel. Lour-Ann, Inc. v. Quinteros, 176 F.3d 669, 677 (3d Cir.1999) (discussing circumstances under which a judgment may be altered or amended on reconsideration). Giving these principles due consideration, I conclude that the law-of-the-case doctrine does not preclude me from adjudicating the matters set forth in the Defendant’s motion for reconsideration. As noted, the doctrine is not a rule of jurisdictional limitation but of comity. Fagan, 22 F.3d at 1290. See Ferrara & Hantman v. Alvarez, 124 F.3d 567, 583 (3d Cir.1997) (“[T]he law of the case does not impose a strait-jacket on the court’s ability to reconsider issues previously decided. The doctrine simply ‘directs a court’s discretion, it does not limit the tribunal’s power.’ ”) (quoting Arizona v. California, 460 U.S. at 618, 103 S.Ct. 1382). As Justice Holmes once wrote, “the phrase ‘law of the case’ ... merely expresses the practice of courts generally to refuse to reopen what has been decided, not a limit to their power.” Messenger v. Anderson, 225 U.S. 436, 444, 32 S.Ct. 739, 56 L.Ed. 1152 (1912) (quoted in In re Engel, 124 F.3d 567, 583 (3d Cir.1997)). See also In re Engel, 124 F.3d at 583 (“Although courts are reluctant to reconsider questions of law that have already been decided in the same proceeding, ‘it is clear that all federal courts retain power to reconsider if they wish.’”) (quoting 18 Charles A. Wright, Arthur R. Miller & Edward H. Cooper, Federal Practice and Procedure § 4478 (2d ed.1981)). Thus, the law-of-the-case doctrine is not uniformly rigid in its application but rather permits a measure of flexibility and discretion on the part of the successor judge. Furthermore, while principles of comity provide prudent limitations on a successor judge’s discretion to reconsider prior rulings in the ordinary run-of-the-mill situation, those principles must give way in extraordinary circumstances, as the law-of-the-case doctrine itself recognizes. I believe that such circumstances exist here. Indeed, the Circuit Court of Appeals, now well familiar with this case, has described this litigation as “so unusual” as to have become “sui generis.” The intense public scrutiny given to these proceedings, the emotionally-charged atmosphere surrounding them, and the sheer prodigiousness of filings and rulings have all combined such that this case has now taken on a life of its own. Without going into detail, it will suffice merely to note that the degree of rancor generated in the course of this case had reached such a level that the Court of Appeals ultimately determined that the best interests of justice would benefit from “fresh eyes on the case.” I therefore grant the Defendant’s request to reconsider the matters raised in his motion. I consider my willingness to do so consistent not only with the best interests of justice but also with the Third Circuit’s directive that the case be henceforth viewed with “fresh eyes.” In sum, I find that these proceedings are so exceptional as to allow reconsideration of the Defendant’s legal arguments without offense to the law-of-the-case doctrine. Finally, as will become apparent upon a reading of this Memorandum Opinion, this Court is of the view that the two search warrants issued relative to the search of the Defendant’s private offices and a laptop computer utilized by one of the Defendant’s administrative assistants were constitutionally infirm. The law-of-the-case doctrine recognizes that a court may depart from the prior ruling of a coordinate court when necessary to avoid an unjust result. See Arizona v. California, 460 U.S. at 619 n. 8, 103 S.Ct. 1382. For this reason as well, I conclude that the law-of-the-case doctrine poses no impediment to my ruling today. On the other hand, while I do not believe that law-of-the-case principles prevent me from revisiting any of the issues presented by the defense, it will be noted that this opinion addresses only two specific aspects of the Defendant’s motion for reconsideration. Some commentary is warranted in this regard. The Defendant’s pending motion was styled foremost as a request for a judgment of acquittal relative to all of the remaining counts. The request for reconsideration of the suppression issues was styled as a secondary, albeit an independently dispositive, basis for relief. Initially, and in a somewhat holistic fashion, this Court focused substantially on the Rule 29 arguments as well as certain peripheral aspects of the suppression arguments. However, as my review of these issues progressed to the point where the proverbial “wheat” became separated from the “chaff,” it became apparent to me that the Defendant’s facial challenges to the two search warrants were both meritorious and dispositive of all other issues. Thus, while this Court has effectively granted the Defendant’s request to reconsider with “fresh eyes” all aspects of his motion, I decline — for reasons that are both practical and rooted in concerns for comity — to render any substantive opinion on the Defendant’s legal challenges beyond those expressly set forth in this opinion. For one thing, because the search warrant issues appear to independently resolve all pending matters, there is no practical need for me to address the remaining Rule 29 issues. For another matter, the possibility exists, at least in theory, that disposition of the Rule 29 arguments might jeopardize the Government’s ability to obtain appellate review of the suppression rulings being rendered today. Without expressing any opinion as to the merits of the Defendant’s Rule 29 arguments, I merely note that, if the Defendant were to prevail on any aspect of his request for Rule 29 relief, then (as he maintains) jeopardy would attach to those charges and they would terminate without any further right of appeal. It could well be the case that this might moot any aspect of the suppression rulings relating to those counts, thereby foreclosing the Government’s ability to exercise its right to appellate review on the suppression issues — a result which I consider to be both undesirable and unfair. Accordingly, my discussion of the merits will focus on the two searches which are the subjects of the Defendant’s suppression arguments: (1) the FBI’s search of the Defendant’s private business offices located at 1119 Penn Avenue in Pittsburgh (the “Penn Avenue Warrant”) for the purpose of seizing boxes of private autopsy files and (2) the search of Eileen Young’s home for the purpose of seizing a laptop computer utilized by Ms. Young in the course of performing work for Wecht Pathology (the “Laptop Warrant”). The factual and procedural history underlying the Defendant’s multiple challenges to these two warrants is extremely protracted, and I will limit my discussion to those historical facts which are relevant to the present procedural context. Thus, I turn to the merits of the Defendant’s suppression arguments. B. The Merits of the Defendant’s Suppression Motions 1. The Penn Avenue Warrant On April 7, 2005, Special Agent Bradley Orsini of the FBI sought a warrant to search the offices of Wecht Pathology for boxes of private autopsy files which had recently been removed from the ACCO. In support of the warrant, Special Agent Orsini submitted a sworn, 10-page “Application and Affidavit for Search Warrant,” which laid out his case as to why there was probable cause to believe that the designated boxes of private autopsy files would be found at the Defendant’s Penn Avenue office and why they could be considered the fruits, instrumentalities, and evidence of criminal activity. Having alleged the Defendant’s knowing and willful use of ACCO resources and personnel for his own private financial gain, and having also alleged, more specifically, that the Defendant’s abuses included the attempted concealment and removal of evidence, Agent Orsini’s affidavit then went on to assert the following: 19. In early February of 2005, a criminal probe of WECHT’s use of county resources for private work became public. According to ACCO 11, sometime during the week of February 6, 2005, [Eileen] Young asked ACCO 11 to obtain boxes for the purpose of moving large numbers of files from her office at the ACCO. ACCO 11 provided Young with boxes into which Young loaded files reflecting WECHT’s private autopsy work. ACCO 11 moved those boxes from the ACCO to WECHT’s private pathology office at 1119 Penn Avenue; Suite 4001, Pittsburgh, Pennsylvania after business hours. Flo Johnson provided the key to the space at 1119 Penn Avenue into which ACCO 11 helped move the boxes. WECHT’s wife told ACCO 11 where the boxes were to be placed within the office space at 1119 Penn Avenue. According to ACCO 11, the boxes were placed in a records room on the right-hand side of the office suite’s hallway. According to ACCO Deputy Coroners, the private autopsy files contain information showing, among other things, (1) use of the ACCO specialty labs for the private autopsies, (2) the identity of the preparer of reports used in the private autopsy cases, including Eileen Young, (3) payment for the private autopsies, (4) the identity of the decedents involved in private autopsies performed with the aid of county resources. 20 According to ACCO 11, Young was very rushed and upset about having to move the boxes quickly. According to ACCO 11, the materials he helped move consisted of approximately 20 boxes of files reflecting private autopsy work for the financial benefit of WECHT. The boxes are labeled on the outside with computer printed labels identifying the names of the decedents. (Appl. and Affidavit for Search Warrant at ¶¶ 19-20, Doc. No. 1009-5 at pp. 13-14 of 42.) After reviewing Agent Orsini’s application and affidavit, a United States Magistrate Judge issued the warrant for the search of the Defendant’s private office. In the designated area where the subject matter of the search is to be described, the warrant indicated “see Attachment B.” Attachment B, in turn, described the property to be seized as “Boxes (approximately twenty) and contents containing private autopsy files.” (See Doc. No. 1009-5, p. 4 of 42.) It is undisputed that Agent Orsini’s affidavit was neither incorporated into the search warrant by reference nor attached to it. Instead, it was placed under seal in order to protect the integrity of the Government’s investigation. The Defendant has challenged the Penn Avenue search on numerous fronts. First, he claims that the search was conducted pursuant to an invalid warrant which failed, on its face, to satisfy the Fourth Amendment’s particularity requirement. Second, he claims that the warrant was executed as if it was a general warrant. Third, he contends that Agent Orsini’s Affidavit was facially lacking in probable cause and/or was infected with falsehoods which, when redacted, rendered the warrant unsupported by probable cause. Because I find the Defendant’s first argument dispositive, I need not address the other two. The Fourth Amendment prohibits unreasonable searches and seizures and specifically provides that any warrant must “particularly describ[e] the place to be searched, and the persons or things to be seized.” U.S. Const, amend. IV. This requirement is meant to prevent the issuance of general warrants, which “essentially authorize ‘a general exploratory rummaging in a person’s belongings.’ ” United States v. Yusuf, 461 F.3d 374, 393 (3d Cir.2006) (quoting Coolidge v. New Hampshire, 403 U.S. 443, 467, 91 S.Ct. 2022, 29 L.Ed.2d 564 (1971)). It has been said that “[t]he particularity requirement ‘makes general searches ... impossible and prevents the seizure of one thing under a warrant describing another. As to what is to be taken, nothing is left to the discretion of the officer executing the warrant.’ ” United States v. Christine, 687 F.2d 749, 752-53 (3d Cir.1982) (alteration in the original) (quoting Marron v. United States, 275 U.S. 192, 196, 48 S.Ct. 74, 72 L.Ed. 231 (1927)). Here, the Defendant argues that the Penn Avenue Warrant is insufficiently particularized such that it constitutes a general warrant. The Government, on the other hand, contends that the warrant is, at most, overbroad and insists that any deficiency in the warrant’s description can be cured by reference to Agent Orsini’s affidavit. Alternatively, the Government contends that the fruits of the search should not be suppressed because the officers in question acted in good faith. In determining whether a warrant is general, courts focus on the level of direction given to the executing officers and the level of discretion required of them in conducting the search. See, e.g., United States v. Leveto, 540 F.3d 200, 211 (3d Cir.2008) (“A warrant is not general unless it can be said to ‘vest the executing officer with unbridled discretion to conduct an exploratory rummaging through [defendant’s] papers in search of criminal evidence.”) (alteration in the original) (quoting United States v. Christine, 687 F.2d at 753); United States v. Ninety-Two Thousand Four Hundred Twenty-Two Dollars & Fifty-Seven Cents ($92,422.57), 307 F.3d 137, 149 (3d Cir.2002) (same); Christine, 687 F.2d at 753 (valid search warrant did not vest the executing officers with unbridled discretion to conduct an exploratory-rummaging through the defendant’s papers; rather, by directing the seizure of items described in specific and inclusive generic terms, the warrant ensured that “the magistrate, rather than the officer, determined what was to be seized”). See also United States v. Sirmans, 278 Fed.Appx. 171, 172 (3d Cir.2008) (“To be sufficiently particular, the Fourth Amendment requires the warrant to describe items to be seized in a way that the officer conducting the search can identify them with reasonable effort.”) (citations omitted). Warrants have been struck down as general where, e.g., they have authorized the seizure of: (1) evidence of “smuggled goods,” Boyd v. United States, 116 U.S. 616, 6 S.Ct. 524, 29 L.Ed. 746 (1886); (2) evidence of “obscene materials,” Marcus v. Search Warrant, 367 U.S. 717, 81 S.Ct. 1708, 6 L.Ed.2d 1127 (1961); (3) evidence of “books, records, pamphlets, cards, lists, memoranda, pictures, recordings, and other written instruments concerning the Communist Party of Texas,” Stanford v. Texas, 379 U.S. 476, 85 S.Ct. 506, 13 L.Ed.2d 431 (1965); (4) evidence of “illegally obtained films,” United States v. Cook, 657 F.2d 730 (5th Cir.1981); and (5) evidence of “stolen property,” United States v. Giresi, 488 F.Supp. 445 (D.N.J.1980), aff'd, 642 F.2d 444 (3d Cir.1981). Yusuf, 461 F.3d at 393. Fundamental to the parties’ dispute is their disagreement as to whether reliance on Agent Orsini’s unincorporated affidavit is appropriate. Thus, as an initial matter, I must determine which documents may properly inform my analysis of the Defendant’s particularity challenge. The Supreme Court’s recent decision in Groh v. Ramirez, 540 U.S. 551, 124 S.Ct. 1284, 157 L.Ed.2d 1068 (2004), is instructive on this point, as it makes clear that the requisite particularity must be found in the warrant itself: The Fourth Amendment by its terms requires particularity in the warrant, not in the supporting documents. See Massachusetts v. Sheppard, 468 U.S. 981, 988, n. 5, 104 S.Ct. 3424, 82 L.Ed.2d 737 (1984) (“[A] warrant that fails to conform to the particularity requirement of the Fourth Amendment is unconstitutional”); see also United States v. Stefonek, 179 F.3d 1030, 1033 (C.A.7 1999) (“The Fourth Amendment requires that the warrant particularly describe the things to be seized, not the papers presented to the judicial officer ... asked to issue the warrant” (emphasis in original)). And for good reason: “The presence of a search warrant serves a high function,” McDonald v. United States, 335 U.S. 451, 455, 69 S.Ct. 191, 93 L.Ed. 153 (1948), and that high function is not necessarily vindicated when some other document, somewhere, says something about the objects of the search, but the contents of that document are neither known to the person whose home is being searched nor available for her inspection. Id. at 557, 124 S.Ct. 1284. Like the Penn Avenue Warrant, the Groh warrant did not incorporate by reference the search warrant application or affidavit of probable cause, nor were such documents attached to the warrant or present at the time of the search. Groh, 540 U.S. at 558, 124 S.Ct. 1284. Accordingly, the Court held that, where the warrant itself provided no description of the items to be seized, that facial deficiency could not be cured by the fact that the warrant application sufficiently described those items. Id. at 557, 124 S.Ct. 1284. Our Circuit Court of Appeals has similarly recognized that particularity is to be judged from the contents of the warrant alone and that resort to the supporting affidavit is inappropriate unless the affidavit is expressly incorporated by reference into the warrant and accompanies it. See Doe v. Groody, 361 F.3d 232, 239 (3d Cir.2004) (“[I]t is perfectly appropriate to construe a warrant in light of an accompanying affidavit or other document that is incorporated within the warrant. But to take advantage of this principle of interpretation, the warrant must expressly incorporate the affidavit.”); United States v. Johnson, 690 F.2d 60, 64-65 (3d Cir.1982) (“When a warrant is accompanied by an affidavit that is incorporated by reference, the affidavit may be used in construing the scope of the warrant”) (citing cases). See also $92,422.57, 307 F.3d at 158 (citing Johnson)-, United States v. Dougherty, 541 F.Supp.2d 734, 736 n. 1 (E.D.Pa.2008) (same); United States v. Knill, Criminal No. 1:07-cr-29, 2007 WL 1892560 at *11 (M.D.Pa. June 29, 2007) (citing $92,-4-22.57). In light of this rule, our Circuit Court has cautioned that, “a problem at least potentially arises when much of the requisite information for a warrant is found in a document other than the warrant itself because, on the face of the warrant, the necessary particularity will be lacking.” Bartholomew v. Commonwealth of Pa., 221 F.3d 425, 428 (3d Cir.2000). Thus, “[i]f the government wishes to keep an affidavit under seal” — in order to protect witnesses, for example — ’“it must list the items it seeks with particularity in the warrant itself. It is the government’s duty to serve the search warrant on the suspect, and the warrant must contain, either on its face or by attachment, a sufficiently particular description of what is to be seized.” Id. at 429 (quoting United States v. McGrew, 122 F.3d 847, 850 (9th Cir.1997)) (alteration in the original). See also Gagliardi v. Fisher, 513 F.Supp.2d 457, 476 (W.D.Pa.2007) (particularity requirements of the Fourth Amendment apply to the warrant itself and where warrant does not specifically incorporate other documents by reference, a defect in the warrant itself cannot be excused merely because the application is sufficiently particularized) (citing Groh, supra at 557-58, 124 S.Ct. 1284). Because the Penn Avenue Warrant did not incorporate Agent Orsini’s application or supporting affidavit, I must view in isolation its description of items to be seized, i.e.: “Boxes (approximately 20) and contents containing private autopsy files.” In considering the sufficiency of this description, I recognize that “ ‘the Fourth Amendment’s commands ... are practical and not abstract’ ” and, therefore, the warrant’s sufficiency “ ‘must be tested ... in a commonsense and realistic fashion.’ ” United States v. Christine, 687 F.2d at 760 (quoting United States v. Ventresca, 380 U.S. 102, 108, 85 S.Ct. 741, 13 L.Ed.2d 684 (1965)). Moreover, the level of specificity required is case-specific and depends upon the circumstances at hand. See Yusuf, 461 F.3d at 395 (the breadth of items to be searched depends upon the particular factual context of each case and also the information available to the investigating agent that could limit the search). Accord United States v. Adjani, 452 F.3d 1140, 1147 (9th Cir.2006) (“[T]he level of detail necessary in a warrant is related to the particular circumstances and the nature of the evidence sought.”). Bearing all this in mind, I conclude that the Penn Avenue Warrant fails to satisfy the Fourth Amendment’s particularity requirement. The warrant’s fundamental problem is that — unlike the supporting affidavit — it fails to make clear that the boxes of private autopsy files which the Government wanted to seize were those tvhich had been removed from the ACCO as an alleged act of concealment of evidence. Establishing a link between the targeted files and the ACCO was critical because the heart of the Government’s theory, as laid out in Agent Orsini’s affidavit, concerned the Defendant’s alleged misuse of county resources to perform private work for his own benefit, and the whole purpose of searching the Defendant’s private office in the first place was to find evidence of that misconduct which had allegedly been moved there from the ACCO. It is important to recognize that the location to be searched — i.e., the Defendant’s private pathology business office — is the very place where one might naturally expect to find an abundance of boxes containing private autopsy files. Indeed, the Government conceded this point at oral argument. Yet the warrant on its face provided no meaningful guidance which would have allowed the officers executing the warrant to distinguish those items of evidentiary value (i.e., the private autopsy files removed from ACCO and bearing indicia of ACCO-related activity) from those items with no evidentiary value (private autopsy files generated in the normal course of the Defendant’s private business). It is also important to recognize that there was nothing unlawful per se about the Defendant maintaining a private pathology practice on the side while serving as Allegheny County Coroner. Thus, the designated items to be seized — approximately twenty boxes and contents containing private autopsy files — could not be viewed as objects that are, by their very nature, contraband. Rather, since boxes of private autopsy files are the sort of perfectly lawful items which one might well expect to find in substantial numbers at a private pathology office, greater precision was required in order to ensure that only those items which could be considered fruits, instrumentalities, or evidence of a crime — i.e., the boxes removed from ACCO — were targeted for seizure. See 2 Wayne R. LaFave, Search and Seizure: A Treatise on the Fourth Amendment § 4.6(a) (4th ed. 2008) (“Greater care in description is ordinarily called for when the type of property sought is generally in lawful use in substantial quantities,” and “[a] more particular description than otherwise might be necessary is required when other objects of the same general classification are likely to be found at the particular place to be searched.”) (end-notes citing cases omitted). Cf id., at § 4.6(a) (“A less precise description is required of property which is, because of its particular character, contraband.”) (citing cases). This is particularly true since the Government was possessed of information which could have substantially narrowed the warrant’s description of items to be seized. A case illustrative of this point is United States v. Fuccillo, 808 F.2d 173 (1st Cir.1987). In Fuccillo, agents executed three separate warrants at the defendant’s warehouse, wholesale distributorship, and retail clothing store for the purpose of seizing merchandise that had been stolen in interstate commerce. Each warrant authorized the seizure of: “[Cjartons of women’s clothing, the contents of those cartons, lists identifying the contents of the cartons, and control slips identifying the stores intended to receive these cartons, such items being contraband and evidence of a violation of Title 18, United States Code, Section 659, Possession of Goods Stolen from Interstate Shipments.” Id. at 174 (alteration in the original). In affirming the district court’s suppression of evidence seized pursuant to the searches, the First Circuit Court of Appeals held that “the warrants are conclusively invalidated by their substantial failure to specify as nearly as possible the distinguishing characteristics of the goods to be seized.” 808 F.2d at 176. With respect to the searches of the wholesale distributorship and the warehouse, the court found that “[t]he instant warrants contained no explanation as to how the executing agents were to differentiate cartons of stolen women’s clothing from legitimate goods at either location.” Id. The court cited other cases in which the same deficiency was found to be “fatal ... especially in view of the fact that the defects could have been cured had the warrants in both cases set forth information clearly available to the government for distinguishing the contraband.” Id. (citing United States v. Klein, 565 F.2d 183 (1st Cir.1977) and Montilla Records of Puerto Rico v. Morales, 575 F.2d 324, 326 (1st Cir.1978)). Based on information available to the FBI, the warrant “could have directed the agents to [seize] ‘cartons of women’s clothing from Casual Corner stores’ or ‘cartons from Women’s Specialty Retailing,’ ” rather than merely directing the seizure of “cartons of women’s clothing.” Id. at 177. Thus, “the executing agents in the instant case had no ‘physical criteria or detailed description in the warrant to enable them to determine what they might lawfully seize ...’” Id. (quoting Montilla Records, supra, 575 F.2d at 326-327). With respect to the search conducted at the Defendant’s retail clothing store, the court found it: beyond cavil that the warrant ... could have been written with precision to assure that appellee’s personal rights would remain inviolate. The Casual Corner store manager had given the FBI a very detailed list of articles she had observed at [the Defendant’s retail clothing store]. They were manufactured exclusively for Casual Corner stores. Instead of identifying these articles of clothing with specificity, thus limiting the scope of the seizure, the warrant merely directed the agents to search, and seize, indiscriminately. Id. at 177. Indeed, the court found this warrant so “glaringly deficient” that it declined to scrutinize it further. Id. Here, a greater degree of precision in the warrant’s description of items to be seized was clearly possible, for the Penn Avenue Warrant not only failed to specify that the targeted boxes of files were those that had been removed from the ACCO, it also omitted several descriptive features that were known to Agent Orsini and set forth in his affidavit. For example, the affidavit avers that the subject boxes had been taken to the Defendant’s private office and placed in a records room located on the right-hand side of the office suite’s hallway. The affidavit further specifies that the targeted autopsy files would contain certain types of information, including (among other things) information showing the use of the ACCO specialty labs for the private autopsies and the fact that Eileen Young — a county employee — had prepared reports used in certain private autopsy cases. (See Affidavit [1009-5] at ¶ 19.) In addition, the affidavit described the boxes as “labeled on the outside with computer printed labels identifying the names of the decedents.” (Id. at ¶ 20.) None of these limiting criteria were set forth in the search warrant. Nor did the warrant place any other restrictions on the search, such as indicating the years for which evidence was being sought or limiting the seizure to those files which might constitute fruits, instrumentalities or evidence of the particular federal crimes at issue. Cf. Yusuf, 461 F.3d at 395 (warrant seeking business records and cash from businesses suspected in complex money laundering scheme was sufficiently particular where warrants were limited by reference to several specifically enumerated federal crimes, warrant sought records only for certain years, and evidence was limited to records relating to specifically named corporations, principals and employees). Our Circuit Court of Appeals has instructed that “the breadth of items to be searched depends upon the particular factual context of each case and also the information available to the investigating agent that could limit the search at the time the warrant application is given to the magistrate.” Yusuf, 461 F.3d at 395 (interpreting the holdings of United States v. Leary, 846 F.2d 592 (10th Cir.1988); United States v. American Investors of Pittsburgh, 879 F.2d 1087 (3d Cir.1989); and United States v. Kepner, 843 F.2d 755 (3d Cir.1988)). Accord United States v. Adjani 452 F.3d 1140, 1148 (9th Cir.2006) (“in determining whether a warrant is sufficiently particular, court will consider, among other things, whether the government was able to describe the items more particularly in light of the information available to it at the time the warrant was issued.”). Accordingly, “the use of generic classifications in a warrant is acceptable when a more precise description is not feasible.” Christine, 687 F.2d at 760 (citing eases). Here, however, the Government was possessed of information which, had it been incorporated into .the warrant, would have substantially clarified the description of items to be seized so as to focus the executing officers’ attention on the actual target of the search — the boxes of private autopsy files that had been removed from the ACCO. The omission of this information resulted in a warrant whose description was simply too -vague to meaningfully guide the officers’ search. Notwithstanding these problems, the Government vigorously disputes the Defendant’s characterization of the Penn Avenue Warrant as a general warrant based on what the Government views as two important search criteria: content and number. That is, the face of the warrant informed the officers that they were looking only for boxes that held private autopsy files and, moreover, the officers could seize only “approximately twenty” such boxes. These limitations, the Government insists, are significant enough that the Penn Avenue Warrant should be considered, at most, overbroad, but not general, since the warrant did not allow the officers unlimited discretion to seize anything within the premises that they wished. I do not find this theory persuasive, however. As I have discussed above, the requirement that the boxes had to contain private autopsy files is not a particularly meaningful limitation, given that the location of the search was the Defendant’s private pathology office — a place where boxes of private autopsy files would likely exist in substantial numbers. See United States v. Abrams, 615 F.2d 541, 546 (1st Cir.1980) (limitation in a warrant seeking the seizure of business records must be a meaningful one). Furthermore, as I have observed, and as the Government candidly acknowledged at argument, the numerical caveat (“approximately twenty boxes”) provides no basis for differentiating between those boxes removed from ACCO and other boxes of private autopsy files likely to be found on the premises. At the end of the day, an officer executing this warrant would not be able to determine with reasonable certainty which items were being sought and would essentially have to guess which boxes (and how many, for that matter) to seize. The warrant thus facially authorized government agents to rummage through a substantial volume of the Defendant’s work product and decide for themselves what to take. The violation of the Defendant’s Fourth Amendment rights in this respect is not mitigated by the mere fact that the governmental intrusion encompassed only the universe of boxes containing the Defendant’s private autopsy files rather than the entire content of his business office. The scope of the search, as authorized by the warrant, was still unreasonable. Moreover, the Government’s attempt to characterize the Penn Avenue Warrant as merely overbroad does not jibe with the concept of overbroad warrants as they have been defined in this circuit. Our Court of Appeals has observed that: [tjhere is a legal distinction between a general warrant, which is invalid because it vests the “executing officers with unbridled discretion to conduct an exploratory rummaging through [the defendant’s] papers in search of criminal evidence,” and an overly broad warrant, which “ ‘described] in both specific and inclusive general terms what is to be seized,’ but ‘authorizes the seizure of items as to which there is no probable cause.’ ” Yusuf, 461 F.3d at 393 n. 19 (quoting U.S. v. $92,422.57, 307 F.3d at 149). See also Christine, 687 F.2d at 753. One Pennsylvania court has described the distinction between generality and overbreadth as follows: These are two separate, though related, issues. A warrant unconstitutional for its lack of particularity authorizes a search in terms so ambiguous as to allow the executing officers to pick and choose among an individual’s possessions to find which items to seize. This will result in the general “rummaging” banned by the fourth amendment. See Marron v. United States, 275 U.S. 192, 195, 48 S.Ct. 74, 75, 72 L.Ed. 231 (1927). A warrant unconstitutional for its over-breadth authorizes in clear or specific terms the seizure of an entire set of items, or documents, many of which will prove unrelated to the crime under investigation. The officers executing such a warrant will not rummage, but will “cart away all documents.” Application of Lafayette Academy, 610 F.2d 1, 3 (1st Cir.1979). Commonwealth v. Santner, 308 Pa.Super. 67, 454 A.2d 24, 25 n. 2 (1982). Here, the defect in the Penn Avenue Warrant cannot properly be characterized as one of overbreadth, as we are not confronting a situation where officers, armed with a clear and specific warrant, seized all of the items within certain particularly described categories, only to discover that probable cause did not support such a broad seizure. Rather, the fundamental problem with the Penn Avenue Warrant is that, by its terms, the warrant failed to give the executing officers sufficient direction as to which items were to be seized in the first place. See United States v. Sirmans, No. 278 Fed.Appx. 171, 172 (3d Cir.2008) (“To be sufficiently particular, the Fourth Amendment requires the warrant to describe items to be seized in a way that the officer conducting the search can identify them with reasonable effort.”) (citations omitted). Just as important, the warrant failed to adequately inform the Defendant (or those representatives of his who were present) of the scope of the authorized search. See Groh, 540 U.S. at 561, 124 S.Ct. 1284 (A particular warrant also “assures the individual whose property is searched or seized of the lawful authority of the executing officer, his need to search, and the limits of his power to search.”) (citations omitted). The problem here, in other words, is not one of over-inclusiveness but of ambiguity. In sum, under the terms of the Penn Avenue Warrant, any limitations on the scope of the evidence seized were imposed not by particularized terms approved by the magistrate but by the officers’ own judgment. It is precisely this kind of “unbridled discretion” which the Fourth Amendment’s particularity requirement was designed to prevent. See Groh, 540 U.S. at 561, 124 S.Ct. 1284 (“Even though petitioner acted with restraint in conducting the search, ‘the inescapable fact is that this restraint was imposed by the agents themselves, not by a judicial officer.’ ”) (citing Katz v. United States, 389 U.S. 347, 356, 88 S.Ct. 507, 19 L.Ed.2d 576 (1967)). See also United States v. Fleet Management, 521 F.Supp.2d 436, 447 (E.D.Pa. 2007) (warrant authorizing the seizure of “any and all data” from ship’s computers was invalid general warrant in that it “manifested no judicial control over the search of the hard drives, but rather, left it entirely to the executing officers’ discretion to determine what on the hard drives could and could not be seized.”) Cf. Christine, supra, at 753 (search warrant was valid where it directed the seizure of items described in specific and inclusive generic terms such that “the magistrate, rather than the officer, determined what was to be seized”). My conclusion that the Penn Avenue Warrant constitutes an invalid general warrant disposes of a number of other considerations bearing on whether the warrant can be salvaged. For example, both sides appear to agree that this case does not present a situation where the deficiency in the warrant can be readily cured by redaction. Pursuant to that process, courts strik[e] from a warrant those severable phrases and clauses that are invalid for lack of probable cause or generality and preserv[e] those severable phrases and clauses that satisfy the Fourth Amendment. Each part of the search authorized by the warrant is examined separately to determine whether it is impermissibly general or unsupported by probable cause. Materials seized under the authority of those parts of the warrant struck for invalidity must be suppressed, but the court need not suppress materials seized pursuant to the valid portions of the warrant. Christine, 687 F.2d at 754. Here, the description of items to be seized in the Penn Avenue Warrant does not partake of discreet, severable clauses. See Christine, supra, at 754 (“Redaction is inappropriate when the valid portions of the warrant may not be meaningfully severable from the warrant as a whole.”). Similarly, the Penn Avenue Warrant cannot be saved by the possibility that the agents executing the search may have complied with the narrower terms contained in Agent Orsini’s affidavit of probable cause — a scenario addressed in Doe v. Groody, 361 F.3d 232 (3d Cir.2004). Groody involved a situation wherein officers conducting a drug investigation obtained a warrant authorizing a search for narcotics at the home of John Doe. As in the case at bar, the search warrant failed to incorporate the officer’s supporting affidavit. The Groody court held that, although the warrant itself facially authorized officers to search the person of John Doe, it did not authorize the search of other persons on the premises and, thus, the officers violated the clearly established rights John Doe’s wife and child by strip-searching them. In arriving at this conclusion, the court recognized “two categories” of cases in which an unincorporated affidavit has been used to save a defective warrant. In relevant part, the Court explained: The second category of decisions in which an unincorporated affidavit has been read to modify a search warrant is constituted by cases in which the affidavit is particularized but the warrant is overbroad. See, e.g., United States v. Bianco, 998 F.2d 1112, 1116-17 (2d Cir.1993); United States v. Towne, 997 F.2d 537, 547 n. 5 (9th Cir.1993) (discussing cases). So long as the actual search is confined to the narrower scope of the affidavit, courts have sometimes allowed the unincorporated affidavit to “cure” the warrant, id., or at least have treated the excessive elements of the warrant as harmless surplusage, see United States v. Stefonek, 179 F.3d 1030, 1033-34 (7th Cir.1999). 361 F.3d at 240 (footnote omitted). The Groody court concluded that this principle had no application in the case before it, where the officers were attempting to use the unincorporated affidavit to broaden the scope of the search, not narrow it. The important point, however, is that the principle discussed in Givody — to the extent it represents binding authority — applies to warrants that are over-broad, not general. See United States v. Leveto, 540 F.3d 200, 211 (3d Cir.2008) (finding that, to the extent search warrant was “generic,” it was merely overbroad and noting that “such a defect can be cured by an affidavit that is more particularized than the warrant.”) (citing Groody). The Government appears to concede as much because, while it vigorously disputes the characterization of the Penn Avenue Warrant as a general warrant, the Government does not contend that Groody would save a warrant that is, indeed, general. Finally, I must address the Government’s contention that the fruits of the Penn Avenue search should not be suppressed because the officers in question acted in good faith. See United States v. Leon, 468 U.S. 897, 104 S.Ct. 3405, 82 L.Ed.2d 677 (1984) (holding that the exclusionary rule does not require the suppression of evidence seized in violation of the Fourth Amendment where the officers acted with an objective, good faith belief that their conduct was lawful). In determining the applicability of the good faith exception to the exclusionary rule, we are directed to ask “whether a reasonably well trained officer would have known that the search was illegal despite the magistrate’s authorization.” United States v. Loy, 191 F.3d 360, 367 (3d Cir.1999) (quoting Leon, 468 U.S. at 922 n. 23, 104 S.Ct. 3405). The fact that an officer executes a search pursuant to a warrant typically “suffices to prove that an officer conducted a search in good faith and justifies application of the good faith exception.” Ninety-Two Thousand Four Hundred Twenty-Two Dollars and Fifty-Seven Cents ($92,622.57), 307 F.3d at 145-46 (quoting United States v. Hodge, 246 F.3d 301, 308 (3d Cir.2001)). Nevertheless, there are four well-recognized situations in which an officer’s reliance on a warrant will not be considered reasonable: (1) when the magistrate judge issued the warrant in reliance on a deliberately or recklessly false affidavit; (2) when the magistrate judge abandoned his judicial role and failed to perform his neutral and detached function; (3) when the warrant was based on an affidavit “so lacking in indicia of probable cause as