F I L E D
United States Court of Appeals
Tenth Circuit
UNITED STATES COURT OF APPEALS
JAN 29 2003
TENTH CIRCUIT
PATRICK FISHER
Clerk
UNITED STATES OF AMERICA,
Plaintiff - Appellee,
v.
No. 01-8070
D.C. No. 00-CR-148-J
ROBERT DANA GANGI, also know as
(D. Wyoming)
Matthew Gangi, Robert Dana Gangis,
Matthew R. Gangi, Robert R. Gangis and
Michael Dana Gangi,
Defendant - Appellant.
ORDER AND JUDGMENT*
Before EBEL, PORFILIO, and LUCERO, Circuit Judges.
This appeal arises from what the government dubs a “stunning case,” another
episode in the unique criminal career accumulated by Robert Dana Gangi. From his latest
conviction for bank fraud under 18 U.S.C. § 1344(2), Mr. Gangi appeals the denial of his
motion to suppress taped telephone conversations and four increases added to his base
offense level, resulting in a sentence of 120 months. Finding no error, we affirm.
*
This order and judgment is not binding precedent, except under the doctrines of
law of the case, res judicata, and collateral estoppel. This court generally disfavors the
citation of orders and judgments; nevertheless, an order and judgment may be cited under
the terms and conditions of 10th Cir. R. 36.3.
Though the factual background here is intriguing, when set against Mr. Gangi’s
thirty year history of flounting the law, it is, indeed, “stunning.” On July 6, 2000,
Evanston, Wyoming police arrested Mr. Gangi, who was driving a late-model Corvette
stolen from a dealership in Menlo Park, California. Booked into the Uinta County
Detention Center (Jail), Mr. Gangi was charged with possession of stolen property and
placed in a cell in an area of the Jail known as Pod B. A $10,000 bond was set.
In Pod B, there are black telephones for inmate use. Above each phone is a sign
informing inmates any calls made on these black phones are recorded. Another sign tells
inmates to use gray telephones to call their attorneys, and, at the inmate’s request, the
calls will not be recorded. All telephone calls made on the inmate phone system are
collect calls. Recipients hear a recorded message stating, to accept a collect call from an
inmate at the Jail, press 1 on the keypad. All calls, except those made to attorneys, are
tape recorded on an automatic taping system in the Sheriff’s office at the Jail.
After he complained of chest pains, Mr Gangi was transferred to the regional
hospital. Upon his return, Jail personnel placed Mr. Gangi in Med Cell 1 to monitor his
medical status. There, two black telephones in the 72-hour inmate holding area adjacent
to Mr. Gangi’s cell were available for inmate use. At that time, no signs were posted
above these phones.
On the afternoon of his return, July 10, Mr. Gangi, the only inmate in the area,
called the First National Bank of Evanston (Bank). Mr. Gangi told the receptionist who
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accepted the call he was David Madia, the owner of an Evanston auto dealership and a
member of the bank’s board of directors, and wanted to speak to the head teller. Instead,
the receptionist transferred the call to an available teller, informing her David Madia was
on the phone. Mr. Gangi told the teller his nephew, Robert Gangi, was in jail and
instructed her to withdraw $10,000 from his business account for a cashier’s check for his
bond and to make it payable to the Uinta County District Court. Mr. Gangi called the
bank again, and, identifying himself as Dave Madia, told the teller to deliver the certified
check to the Jail instead of the court. The check arrived at the Jail later that afternoon.
As Mr. Gangi signed for his personal property, poised to “book out,” Sheriff Jack
Holts received a call from a Menlo Park, California police officer, who requested a hold
on the prisoner while they faxed an arrest warrant sporting a $200,000 bond. Escorted
back to his cell, Mr. Gangi called Spence, Moriarity and Schuster, a Jackson, Wyoming
law firm, identifying himself as John Moores, the owner of the San Diego Padres. Mr.
Gangi asked the receptionist to call the Jail and find out why his son-in-law had not been
released as promised. Using his own name, Mr. Gangi then called back; he told a
paralegal he had talked to John Moores and simply wanted the firm to call the Jail to
assist in his release. The paralegal informed Mr. Gangi she did not think anyone there
could help him under these unusual circumstances. The Menlo Park arrest warrant
arrived. Mr. Gangi was now faced with a $200,000 bond.
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Undaunted, Mr. Gangi again called the Bank, and, identifying himself as Dave
Madia, followed the same script, requesting a $200,000 withdrawal to satisfy an increase
in his nephew’s bail. Too busy to process the request, the head teller called a loan officer,
who found the transaction “highly suspicious” and telephoned Dave Madia’s wife. She
confirmed they had no wayward nephew, aborting the issuance of the second check.
Federal officials then charged Mr. Gangi with bank fraud under 18 U.S.C.
§ 1344(2) and transferred him to the Laramie County Detention Center (Center). While
awaiting trial, a Center employee discovered a note attached to Mr. Gangi’s charging
documents, which happened to be left on the book-in area counter. The note stated Mr.
Gangi’s family had posted bail, and he would be released at 8:00 p.m. that night. Later,
at the Federal Medical Center in Fort Worth, Texas, the medical staff found a handwritten
notation in Mr. Gangi’s chart ordering his transfer to a private hospital for a series of tests
and treatment.
Mr. Gangi filed a pretrial motion to suppress the tapes of his telephone calls to the
Bank, the Spence law firm, and the Uinta County Public Defender. He alleged the tapes
violated his Fourth Amendment rights, Title III of the Crime Control and Safe Streets
Act, 18 U.S.C. § 2510 - 2521 (Title III), and, in part, were protected by the attorney-client
privilege. After a hearing, the court suppressed the tapes of Mr. Gangi’s calls to the
Public Defender’s Office but denied suppression of the remaining tapes under the crime-
fraud exception of Title III.
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A jury convicted Mr. Gangi of the single count of bank fraud. Adopting the PSR’s
findings and recommendations, and after a hearing to address objections, the court
increased the base offense level by eight levels under U.S.S.G. § 2F1.1(b)(1)(I), rejecting
the contention that no loss occurred, and finding, instead, that Mr. Gangi intended to
inflict a loss of $210,000 on the Bank. The court then added two levels under U.S.S.G.
§ 2F1.1(b)(2) based on more than minimal planning and another two levels under
U.S.S.G. § 3C1.1, upon finding Mr. Gangi obstructed justice by removing himself to a
“more escape-friendly hospital setting” and attempting to escape. Finally, describing Mr.
Gangi’s thirty-year criminal history as unique, severe, and exceptional, the court assessed
a 12 percent increase to eight categories. This formula produced an offense level of 26
and translated into a criminal history category of VI with a guideline range of 120 to 150
months. For that method, the court relied on United States v. Akers, 215 F.3d 1089 (10th
Cir. 2000); United States v. Bartsma, 198 F.3d 1191 (10th Cir. 1999); and United States
v. Lowe, 106 F.3d 1498 (10th Cir. 1997). The court then imposed a 120-month sentence,
followed by five years of supervised release. Mr. Gangi appeals each of these increases
and the denial of his motion to suppress.
I. Motion to Suppress
Mr. Gangi attacks the denial of his motion to suppress the taped telephone calls he
made on July 10 to the Bank and Spence law firm under the Fourth Amendment and the
law enforcement exception to Title III. Lack of consent stemming from the absence of
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any notice of the telephone monitoring system predicates both his arguments. Because
there was no evidence of his consent, he maintains Title III’s exceptions are unavailable
and the intrusion on his privacy under the Fourth Amendment is unreasonable.
In our review of the denial of a motion to suppress, viewing the evidence in the
light most favorable to the government, we accept the district court’s factual findings
unless they are clearly erroneous and review questions of law involving the proper
application and construction of a statute de novo. United States v. Long, 176 F.3d 1304,
1307 (10th Cir. 1999) (citations omitted). “Keeping in mind that the burden is on the
defendant to prove that the challenged seizure was illegal under the Fourth Amendment,
the ultimate determination of reasonableness . . . is a question of law reviewable de
novo.” Id.
The district court found that signs reading “Black Phones,” under which appeared
the notice, “All calls recorded,” were present above all the telephones in Pod B, where
Mr. Gangi was held from July 6 through 9. Next to these phones are gray telephones
without a dialing mechanism and topped with signs stating, “Gray Phones,” “Attorney
calls only upon request not recorded.” Telephones in the holding cell, used by inmates in
the isolated medical cell, did not have these signs above them.1 Correctional
Communications Services owns all of the black phones. A Stancil recording machine
1
Lieutenant David Evins of the Uinta County Sheriff’s Department testified the
signs were taken down when that area was painted.
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records all incoming and outgoing calls made on each of these eight telephones in the
pods and holding cell, and those calls are eventually stored on a digital data tape.
Based on these facts, the court concluded the law enforcement exception under 18
U.S.C. § 2511(2)(c)2 permitted disclosure of Mr. Gangi’s taped calls. Acknowledging
those cases which found implied consent, see, e.g., United States v. Horr, 963 F.2d 1124,
1126 (8th Cir. 1992), the court, however, stated, “neither the government nor does this
Court wish to in this case rely on the signs or find that this is a consent type of situation.
There was no sign posted over the black telephone located in the holding area . . . and
there was no notice given in the portions of the handout that was given to Mr. Gangi.”
Based on the testimony of Lieutenant Evins and Joseph Casper, the Uinta County
communications systems manager, the court determined the calls occurred within the
2
18 U.S.C. § 2511(2)(c) provides:
(c) It shall not be unlawful under this chapter for a person acting under
color of law to intercept a wire, oral, or electronic communication, where
such person is a party to the communication or one of the parties to the
communication has given prior consent to such interception.
18 U.S.C. § 2510 defines these terms:
(5) “electronic, mechanical, or other device” means any device or apparatus
which can be used to intercept a wire, oral, or electronic communication
other than–
(a) any telephone or telegraph instrument, equipment
or facility, or any component thereof, (i) furnished to the
subscriber or user by a provider of wire or electronic for
connection to the facilities of such service and used in the
ordinary course of its business; or (ii) being used by a
provider of wire or electronic communication service in the
ordinary course of its business, or by an investigative or law
enforcement officer in the ordinary course of his duties. . . .
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Jail’s uniform practice of monitoring and taping all calls on the Stancil machine. That
uniform practice, the court held, fell within the law enforcement exception of Title III and
obviated the need for Jail authorities to make an individualized determination of
reasonable suspicion on each call.
The Tenth Circuit has not addressed the question whether the law enforcement
exception of Title III applies to routine taping of inmate calls by correctional officials.3
The Ninth Circuit has, and we follow its reasoning and conclusion.
In United States v. Van Poyck, 77 F.3d 285 (9th Cir. 1996), defendant was
arrested and transferred to a federal detention center from which he telephoned friends
and made incriminating statements. The detention center taped and selectively monitored
all inmate telephone conversations and required all inmates upon arrival to sign a form
consenting to that system. Above the telephones were signs informing inmates their
conversations would be monitored and “use of institutional telephones constitutes consent
3
In an unpublished order, United States v. Kalyvas, Nos. 96-5176, 96-5144, WL
651761 at *6 (10th Cir. Oct. 21, 1997), the trial court denied defendant’s motion to
suppress tape recordings of his telephone conversations made from a Texas prison
because the inmate impliedly consented to having the calls monitored. Defendant
conceded the issue of consent but argued the Title III exception should not apply because
the monitoring was “not ‘random.’” Id. We affirmed without discussion, upon finding
that the monitoring properly escalated when the calls became more frequent. We relied
on United States v. Feekes, 879 F.2d 1562,1565 (7th Cir. 1989); United States v. Amen,
831 F.2d 373, 379 (2d Cir. 1987), and United States v. Paul, 614 F.2d 115 (6th Cir.
1980).
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to this monitoring.” Id. at 287. Prosecutors used the tapes at defendant’s trial over his
Fourth Amendment and Title III objections, prompting his appeal.
First, the Ninth Circuit concluded that two exceptions to Title III permitted the
taping of inmate calls. Section 2510(5)(a) excludes “any telephone or telegraph
instrument, equipment or facility, or any component thereof . . . being used by . . . an
investigative or law enforcement officer in the ordinary course of his duties” from the
definition of “electronic, mechanical, or other device” in Title III. 18 U.S.C.
§ 2510(5)(a). The court found the detention center is a law enforcement agency that
routinely tapes all outbound inmate calls. Given that circumstance, “interception of these
calls would appear to be in the ordinary course of their duties,” id. at 292, and, therefore,
“the law enforcement exception applies in this Circuit to [the] routine taping policy.” Id.
A second exception under § 2511(2)(c), “prior consent to such interception,” was
also satisfied in the court’s view. “Consent may be express or may be implied in fact
from ‘surrounding circumstances indicating that the [defendant] knowingly agreed to the
surveillance.’” Id., (citing Amen, 831 F.2d at 378). Citing the evidence of the signs
posted above the phones warning of the monitoring and taping, and defendant’s signed
consent form and receipt of the prison manual shortly, the court concluded defendant
impliedly consented to the taping.
Although the district court eschewed reliance on consent, we believe both the
ordinary course of duties and consent exceptions are present here. While the evidence of
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Mr. Gangi’s consent is less transparent than that in Van Poyck, we nonetheless believe
the record fully supports at least three inferences indicating that Mr. Gangi impliedly
consented to the taping of his calls. First, Mr. Gangi is cognizant of detention settings,
permitting a strong inference he fully understood the fact that jail telephones are
monitored. Second, Mr. Gangi, a keen observer of detail, was housed in Pod B for three
days before his transfer to the hospital. Third, even if he did not see the signs above the
telephones on Pod B before his transfer, the fact that he maneuvered himself into an area
of the Jail where he would be alone and could access a different telephone implies he
believed this phone, unlike the clearly marked Pod B phones, was unmonitored. “[U]nder
certain circumstances, prisoners are deemed to have given consent for purposes of Title
III to the interception of their calls on institutional telephones.” United States v.
Workman, 80 F.3d 688, 693 (2d Cir. 1996). Mr. Gangi impliedly consented to the
monitoring of his telephone calls. Having reached this conclusion, we need not address
the law enforcement exception.
Further, despite the district court’s initial statement “defendant did not raise any
Fourth Amendment issues in the pleadings . . . although the defendant has raised them in
the past,” it later cited Van Poyck and United States v. Sababu, 891 F.2d 1308 (7th Cir.
1989), to observe that the reduced expectation of privacy in a prison setting necessarily
defeats an inmate’s claim of an objectively reasonable expectation his calls are private
under the Fourth Amendment. Nonetheless, relying on Van Poyck Mr. Gangi persists in
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arguing that absent notice, he had a constitutionally protected, reasonable expectation of
privacy. Because the government has responded to this contention, we briefly address it.
Even if defendant reasonably believed his calls were private and protected by the
Fourth Amendment, “no prisoner should reasonably expect privacy in his outbound
telephone calls. Although prisoners do not forfeit all their privacy rights at the jailhouse
steps, they do have those rights severely curtailed.” Van Poyck, 77 F.3d at 291 (citations
omitted). We agree with the Ninth Circuit that “any expectation of privacy in outbound
calls from prison is not objectively reasonable and that the Fourth Amendment is
therefore not triggered by the routine taping of such calls.” Id.; see also Workman, 80
F.3d at 694; United States v. Gordon, 168 F.3d 1222, 1228 (10th Cir. 1999) (prison
regulations permit no expectation of privacy in mail). This conclusion conforms to our
precedent that expectations of privacy are “diminished by the exigencies of prison
security,” Romo v. Champion, 46 F.3d 1013, 1018 (10th Cir. 1995),(quoting Blackburn
v. Snow, 771 F.2d 556, 563 (1st Cir. 1985)); see also Boren v. Deland, 958 F.2d 987,
988 (10th Cir. 1992); and mirrors our analysis under Title III that defendant’s implied
consent to monitoring vitiates his expectation of privacy in his inmate calls. See United
States v. Turner, 209 F.3d 1198, 1200 (10th Cir. 2000).
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II. Sentencing Issues
A. Standard of Review
In assessing the district court’s sentencing determination, we review its factual
findings under a clearly erroneous standard and its application of the Sentencing
Guidelines de novo. United States v. Roberts, 185 F.3d 1125, 1144 (10th Cir. 1999).
For its departure decisions, the “[e]ssential nature of the question presented, whether
legal or factual, guides [our] standard of review.” United States v. Collins, 122 F.3d
1297, 1303 (10th Cir. 1997). In determining whether to depart from the applicable
Sentencing Guidelines range, the district court must distinguish whether the case falls
under the category of a “heartland case” or an “unusual case,” and, if outside the former,
that is, outside the set of typical cases embodying the conduct each Guideline describes,
the court may decide to depart from the prescribed sentencing range. 18 U.S.C.A.
§ 3553(b); U.S.S.G. Ch. 1, Pt. A, intro., 4(b); § 5K2.0, Grounds for Departure (Policy
Statement). We accord substantial deference if the court's decision rests on factual
findings, but if it rests primarily on a legal conclusion, for instance whether a certain
factor is a permissible ground for departure, our review is plenary. Koon v. United
States, 518 U.S. 81, 98 (1996); 18 U.S.C.A. § 3553(b). Moreover, as surely present
here, the district court’s departure decision “will not involve a ‘quintessentially legal’
interpretation of the words of a guideline, but rather will amount to a judgment about
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whether the given circumstances, as seen from the district court’s unique vantage point,
are usual or unusual, ordinary or not ordinary, and to what extent.” United States v.
Whiteskunk, 162 F.3d 1244, 1249 (10th Cir. 1998), (quoting United States v. Rivera,
994 F.2d 942, 951 (1st Cir. 1993)).
1. Calculation of loss to increase base offense level
Although U.S.S.G. § 2F1.1 sets the base offense level for the crime of fraud and
deceit at six, the district court added eight levels to reflect a loss of “more than
$200,000.” U.S.S.G. § 2F1.1(b)(1)(I). This result, Mr. Gangi offers, essentially awarded
the government “bonus points for attributing a loss of $210,000 to Defendant Gangi
masquerading as an ‘intended loss.’” He contends the court erred in interpreting the
Guideline to permit an increase based solely on intended loss under circumstances which
defy the possibility of his actually inflicting a loss.
In calculating the amount of loss under § 2F1.1, the court looked to Application
Note 8 of the Commentary, valuation of loss, which referenced the Commentary to
§ 2B1.1 (“loss is the value of the money, property, or services unlawfully taken . . . if an
intended loss that the defendant was attempting to inflict can be determined, this figure
will be used if it is greater than the actual loss.”). On this basis, the court concluded Mr.
Gangi intended to inflict a $210,000 loss, stating,
I cannot escape the conclusion that the target and object of this matter was
to obtain, convert to the use of Mr. Gangi for the purpose of securing
release from the Uinta County jail the sum of $210,000.
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Mr. Gangi I’m sure did not care whether or not it all shook out, the
authorities felt sorry for the bank and would return the money to the bank
and suffered no loss and the county would absorb that loss or people, fine
and dandy, but that was not your intent and says nothing about the intent of
Mr. Gangi. And there’s no evidence here that would indicate his intent
was anything other than attempting to obtain the money to secure his
release from incarceration.
This conclusion fully aligns with our interpretation of calculating loss under
U.S.S.G. § 2F1.1. “To meet the requirements of the Guideline, . . . the record must
support by a preponderance of the evidence the conclusion that [the defendant]
realistically intended a [particular] loss, or that a loss in that amount was probable.”
United States v. Smith, 951 F.2d 1164, 1168 (10th Cir. 1991). That loss, however,
“cannot exceed the loss a defendant in fact could have occasioned if his or her fraud had
been entirely successful, regardless of whatever loss the defendant subjectively believed
he or she could impose on the fraud victim.” United States v. Haber, 251 F.3d 881, 892
(10th Cir. 2001), (quoting United States v. Galbraith, 20 F.3d 1054, 1059 (10th Cir.
1994)). “[T]he purpose of the loss calculation under the Sentencing Guidelines is to
measure the magnitude of the crime at the time it was committed.” United States v.
Janusz,135 F.3d 1319, 1324 (10th Cir. 1998).
Nonetheless, Mr. Gangi contends he caused no loss, the first check was
recovered, the second, never drafted. He relies upon Smith, 951 F.2d at 1164, whose
facts are distinguishable. A better fit is United States v. Burridge, 191 F.3d 1297, 1301
(10th Cir. 1999), in which defendant claimed his base offense level should only reflect
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the actual loss his victims incurred, several having already recovered in civil actions they
instituted. We disagreed, crediting the district court’s factual findings and credibility
determination Burridge could not have repaid the money. “[T]he district court was in a
far better position than are we both to assess the credibility of [defendant’s] contentions
that he intended to make all of his victims whole and to assess the amount of loss he
attempted to inflict.” Id. at 1302.
Here, one check was cut and delivered to the Jail; the other, but for fortuities,
would have followed the same route. The evidence supports Mr. Gangi was capable of,
intended to cause, and had no ability to repay the $210,000 planned loss to the Bank.
The district court did not err in finding these facts and interpreting the Guideline to
include the entire intended loss.
2. More than minimal planning increase.
Mr. Gangi contends the district court’s increasing his base offense level two
levels for more than minimal planning under U.S.S.G. § 2F1.1(b)(2) was erroneous. He
complains the court improperly supported the increase solely on the assumption Mr.
Gangi did his “homework” to “discover the name of Dave Madia, learning his
relationship to the community.” Mr. Gangi wonders “what is so magical” about nine
calls over four hours on a single afternoon, reminding there is nothing complicated about
making phone calls. He likens his case to United States v. Archuletta, 231 F.3d 682
(10th Cir. 2000), in which the court reversed the increase for more than minimal
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planning upon concluding the “scheme” to commit bank fraud simply involved
fraudulently opening a checking account in defendant’s deceased sister’s name.
Rejecting Mr. Gangi’s objection to the increase, the district court stated,
The other aspect strikes me as interesting in this matter, and this kind of
flows into a number of issues we’re considering here, is that it is evident,
from the criminal history . . ., that Mr. Gangi lives and breathes through
impersonation and influencing people by misdirection through words and
acts. And to him, these things can be done very quickly. He’s had a lot of
practice in pressure situations and with a great deal of spontaneity. To say
that means there was no plan, does not require thought when planning, that
just means he’s damn good at it.
Section 2F1.1(b)(2)(A) provides a two-level increase “[i]f the offense involved
(A) more than minimal planning,” which means “more planning than is typical for
commission of the offense in a simple form . . .[;] if significant affirmative steps were
taken to conceal the offense, other than conduct to which § 3C1.1 (Obstructing or
Impeding the Administration of Justice) applies . . .[:] is deemed present in any case
involving repeated acts over a period of time, unless it is clear that each instance was
purely opportune.” Application Notes, Comment (f), § 1B1.1. In United States v.
Proffit, 304 F.3d 1001, 1005 (10th Cir. 2002), we discussed these three groups of
activities meriting the enhancement. The first, acts to conceal the offense, must differ
from the conduct used to support enhancement under obstruction of justice. The second,
“the notion of repeated acts refers to a series of acts each of which would be criminal
standing alone, rather than referring to a crime that requires the completion of a series of
steps.” Id. For the third, we looked to the amount of planning required to consummate
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the scheme. In that case, then, we believed “the proper inquiry is whether Defendant’s
actions demonstrated a greater amount of planning than is required to defraud an
individual of between $40,000 - $70,000 in a simple manner.” Id. at 1006. Under this
analysis, defendant’s many acts to ingratiate himself to the victim — flying to Denver,
telephoning him several times, and concocting false stories — fully supported the
enhancement.4
Here, other than Lieutenant Evins’ testimony Mr. Gangi received a telephone
book on July 10, there is no evidence detailing the “greater amount of planning”
involved in this offense. Nonetheless, as the district court found, the scheme was the
product of Mr. Gangi’s thirty-year career of fabricating tales to defraud restaurants,
hotels, jewelry stores, and car dealerships. His canny selection of a wealthy local citizen
who happened to serve on the bank’s board; his bravura in directing bank tellers to
access “his” account with his name alone intimidating them to bypass standard bank
procedures requiring specific identification over the phone; his metamorphosis into the
owner of the Padres to pressure the Spence law firm to challenge the California arrest
warrant — if the record fails to detect precisely how Mr. Gangi contrived this scheme, it
surely reflects “repeated acts,” each of which constitutes a crime and a “complex”
4
In United States v. Hill, 197 F.3d 436, 446 (10th Cir. 1999), we found
defendant’s single act developed over two days, involving one telephone call and one
meeting, represented more than minimal planning. In United States v. Rice, 52 F.3d 843
(10th Cir. 1995), an annual scheme to receive tax refunds constituted more than minimal
planning, despite defendant’s characterization he only filed one tax form.
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scheme. While the planning may have been subliminal and not “minimal” for Mr.
Gangi, the end product fully supports the two-level increase.
3. Obstruction of Justice
Mr. Gangi contests the two-level increase the court imposed for obstruction of
justices.5 He contends the note in his hospital chart and a note in his Center record; are
too remote in time and too different from their closest counterpart, escape, to constitute
obstruction of justice. Observing that false statements in one context do not suffice in
another, Mr. Gangi asks how “justice” is obstructed by a note found at the central
booking station where his bond was posted, or a revision in his medical chart transferring
him to a private hospital.
In support of the increase, the court stated:
Here what we have are what appears to the Court to be attempts that were
made on one seeking the removal to a more escape-friendly hospital
setting, and the other – the other directing that the defendant be released.
The circumstances that were reported and materials submitted by the
United States Attorney really leaves [sic] little doubt in my mind that these
things haven’t come from defendant, just by the surrounding
circumstances. It would be strange, indeed, but they did not. And they’re
certainly consistent with everything that we’ve seen in an almost 30 year
5
§ 3C1.1 Obstructing or Impeding the Administration of Justice
If (A) the defendant willfully obstructed or impeded, or attempted to
obstruct or impede, the administration of justice during the course of the
investigation, prosecution, or sentencing of the instant offense of
conviction, and (B) the obstructive conduct related to (i) the defendant’s
offense of conviction and any relevant conduct . . . increase the offense
level by 2 levels.
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history with similar conduct on the part of the defendant in his dealings
with state and federal authorities.
The Commentary to § 3C1.1 lists “escaping or attempting to escape from custody
before trial or sentencing . . .” Commentary, Application Note 4(f). In United States v.
Wiseman, 172 F.3d 1196, 1218 (10th Cir. 1999) (bald assertion escape report is
unreliable is insufficient to reverse district court), and United States v. Amos, 984 F.2d
1067 (10th Cir. 1993) (no relationship necessary between the guidelines offense and the
obstructive conduct), we affirmed the obstruction of justice enhancements for attempted
escapes while awaiting trial. See also United States v. Davis, 8 F.3d 923 (2d Cir. 1993)
(defendant’s writing false reports sent to corrections officials supported § 3C1.1
enhancement). Once again, read against Mr. Gangi’s criminal career, which includes
several escapes from county jails, and failure to return to serve a weekend sentence to a
halfway house, or to the United States Probation Office in May 1999, the nexus between
the notes and his effort to wilfully obstruct justice is clear. The district court did not err
in this conclusion.
4. Criminal History Increase
Over counsel’s objection of double counting, the court departed upwards to
reflect Mr. Gangi’s “exceptional” criminal history. Mr. Gangi does not challenge the
upward departure itself, only its “unjust” degree. Mr. Gangi contends the PSR
exaggerated the “nature of [his] history,” double counted offenses, and adopted a
formula to determine the offense level of 26 which neither Akers nor Lowe propounds.
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Because Mr. Gangi does not contest the court’s decision to depart under U.S.S.G.
§ 4A1.3, which is amply supported by the record, we examine only the eight offense
levels the court added to the base offense level of 18 to reflect the additional 24 criminal
history points the court adopted from the PSR. 6 The district court explained the basis
for its upward departure, stating,
I find and conclude two things. If this defendant is released, there is an
exceedingly high likelihood, based upon his criminal history, that there
would be new crimes committed very, very shortly. He is highly
recidivist.
Secondly, although I do not consider [Gangi] to be a person who focuses
his activities on physical violence, there are robbery convictions in his
past, there are assaults, there are incidents in various settings of throwing
his feces and urine at other people, at individuals, so he’s capable of doing
those things, but more particularly, I think the public would be particularly
victimized and suffer loss.
He is forceful and aggressive in his ability to achieve what he desires and
very clever in that regard.
Noteworthy in Mr. Gangi’s criminal history, as reflected in the court’s statement, is his
relentlessness. Taught to steal by an alcoholic step-father, Mr. Gangi ran away from
home at age 15 and has filled the subsequent thirty years, until his sentence here, with
6
The PSR computed 23 criminal history points and added two points under
U.S.S.G. § 4A1.1(e) based on Mr. Gangi’s committing the offense less than two years
after release from his prior imprisonment. These 25 points are 12 more than necessary to
qualify for Criminal History Category VI. To this number, the court added another 12
points to reflect the PSR’s judgment about additional sentences with minimum terms
exceeding one year and one month in the computation. On that basis, the criminal history
score totaled 37 points, 24 above the 13 required for Criminal History Category VI.
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every manner of theft and false pretenses, allowing no lapse of time between offenses.
As the district court found, Mr. Gangi’s modus operandi is predation, and his past
assures he is incapable of relating in any other manner to a community.
The district court then set forth its methodology in adding eight offense levels,
adopting the formula in the PSR:
In this case, the Court determines the defendant has another 24 countable
criminal history points, assuming a conservative increase of 12 percent. In
other words, three criminal history points per level, 24 additional criminal
history points would qualify for eight criminal history categories, if such
existed. Although they do not, it appears reasonable to base a departure
on the 12 percent increase for each criminal history category. 12 percent
times eight categories is 96 percent increase, and that results to take the
offense level to level 26 by category – Criminal History Category VI,
carries a guideline range of 120 to 150 months in this matter.
The court purported to rely on Akers; Bartsma, and Lowe.
“We often have stated the district court is not required to justify the degree of
departure with mathematical precision, but the court is required to include in its
justification ‘some method of analogy, extrapolation or reference to the sentencing
guidelines.’” Bartsma, 198 F.3d at 1197, (quoting United States v. O’Dell, 965 F.2d
937, 939 (10th Cir. 1992)). In this case, the district court explained the basis for the
degree of departure, Lowe, 106 F.3d at 1503, and although our precedent does not
require precise formulas, attributed each increase in offense level to equal three
additional points in criminal history.
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In Lowe, the court added two offense levels to “correspond[] to the two
extrapolated criminal history categories [above Criminal History Category VI].” Id. at
1503. In Akers, to defendant’s offense level of 17 and criminal history category of VI,
the court added 15 criminal history points, indicating that three had “‘narrowly missed’
being counted,” and increased the offense level by five to 22. 215 F.3d at 1104.
Here, the court concluded the additional 24 criminal history points merited an
eight level increase in the offense level based on this precedent and the formula it
adopted from the PSR. Although there is precedent for equating a number of additional
criminal history points to offense levels, we are concerned that the “sentence imposed
stretches the proportionality concept to the limit.” United States v. Bernhardt, 905 F.2d
343, 346 (10th Cir. 1990). However, because the court sentenced at the bottom of the
guideline range, also within offense level 26, Criminal History Category VI, we cannot
say the degree or method of departure is an abuse of discretion. The record fully
supports its reasonableness. As the district court observed, Mr. Gangi is “unique in
what [he] present[s] to the Court.”
We, therefore, AFFIRM the district court’s denial of the motion to suppress. We
AFFIRM the increases to the sentence in their entirety.
ENTERED FOR THE COURT
John C. Porfilio
Senior Circuit Judge
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