F I L E D
United States Court of Appeals
Tenth Circuit
PUBLISH
APR 20 2005
UNITED STATES COURT OF APPEALS
PATRICK FISHER
Clerk
TENTH CIRCUIT
UNITED STATES OF AMERICA,
Plaintiff-Appellee,
No. 02-1259
v.
THOMAS R. LAWRENCE,
Defendant-Appellant.
Appeal from the United States District Court
for the District of Colorado
(D.C. No. 99-CR-207-S)
David C. Japha (Thomas R. Lawrence, Springfield, Missouri, on the briefs), The
Law Offices of David C. Japha, P.C., Denver, Colorado, for Defendant-Appellant.
James C. Murphy, Assistant United States Attorney, (John W. Suthers, United
States Attorney, Kathleen Tafoya, Assistant United States Attorney, Michael
Theis, Assistant United States Attorney, with him on the brief), Denver, Colorado,
for Plaintiff-Appellee.
Before MURPHY, ANDERSON, and TYMKOVICH, Circuit Judges.
MURPHY, Circuit Judge.
I. INTRODUCTION
Defendant Thomas R. Lawrence was indicted by a federal grand jury for
carrying out a scheme to defraud Medicare. Lawrence, a chiropractor, ran a clinic
in Denver, Colorado which performed chelation therapy 1 on patients eligible for
Medicare. Although chelation therapy is generally not covered by Medicare,
Lawrence submitted bills to Medicare indicating the clinic had performed a form
of intravenous therapy which was covered by Medicare.
After a four-week jury trial, Lawrence was convicted of four counts of wire
fraud in violation of 18 U.S.C. § 1343; fourteen counts of mail fraud, in violation
of 18 U.S.C. § 1341; five counts of submitting false claims against the United
States in violation of 18 U.S.C. § 287; and thirteen counts of money laundering in
violation of 18 U.S.C. § 1956(a)(1)(A)(i). Lawrence appeals arguing that: (1) the
district court should not have refused to use several instructions he proposed; (2)
there was insufficient evidence to support his convictions; (3) the district court
erred in denying his motion for a judgment of acquittal because the claims made
to Medicare were unpayable on their face; (4) the district court erred in refusing
to admit certain evidence; and (5) the district court abused its discretion in
denying his motions for a mistrial based on juror misconduct. In supplemental
1
Chelation therapy involves the intravenous infusion of a substance which
binds with metals or minerals to remove them from the body. See
http://nccam.nih.gov/news/2002/chelation/q-and-a.htm#3 (October 9, 2003).
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briefing, Lawrence also argues that his sentence is unconstitutional under Blakely
v. Washington, 124 S. Ct. 2531 (2004). This court has jurisdiction pursuant to 28
U.S.C. § 1291 and affirms Lawrence’s conviction and sentence for the reasons
set out below.
II. BACKGROUND
In 1996, the Office of the Inspector General (“OIG”) for the United States
Department of Health and Human Services began an investigation into the
activities of a clinic in Denver based on a referral from the Board of Medical
Examiners for the State of Colorado. OIG discovered that billings for medical
services were being made to Medicare from the clinic using the provider
identification number of a Dr. Lauren Mitchell. At that time, Mitchell was
between eighty-one and eighty-two years old and did not live in Denver. OIG
monitored the clinic and determined that over a five month period Dr. Mitchell
was only at the clinic on Wednesdays for part of the day.
OIG recruited the assistance of a Medicare eligible cooperating witness, Ed
Sullivan. Sullivan made an appointment, visited the clinic, and was seen by
Lawrence. After listening to Sullivan’s complaints of fatigue, Lawrence advised
Sullivan that he likely had some heavy metals in his body and should consider
chelation therapy. Sullivan refused chelation therapy, but did provide a number
of laboratory samples requested by Lawrence. Sullivan made eight visits to the
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clinic and each time recorded his interactions for the investigating agents. During
each visit, Sullivan asked about Dr. Mitchell, but never saw him and was told that
Mitchell only came in occasionally.
At trial, employees of the clinic observed that Dr. Mitchell did not appear
to be actively involved in supervising the clinic, but that he would sign off on
notes and charts of the patients. Other testimony indicated that Lawrence
administered chelation therapy without any supervision from Dr. Mitchell.
Medicare requires that a licensed physician directly supervise chelation therapy.
Dr. Mitchell broke his hip in February 1996 and was in generally poor health until
his death in November 1997. Lawrence continued to submit bills to Medicare
under Dr. Mitchell’s provider number during this period.
Medicare billing procedures require healthcare providers to use designated
numeric codes to describe the services performed. These codes correspond to
various therapies and diagnoses. Medicare does not cover all of the services
described by the codes. Workers at the clinic testified that Lawrence instructed
them to bill Medicare under the therapy codes for a certain intravenous treatment
when billing for the chelation therapy services provided at the clinic. The codes
to be used, 90780 or 90781, corresponded to a treatment that is covered by
Medicare. Chelation therapy, properly coded as MO300, is not ordinarily
covered. Several witnesses testified that they confronted Lawrence about using
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the incorrect code, but he continued the practice. Others testified that Lawrence
instructed them to describe the services at the clinic as intravenous (“IV”) therapy
not chelation therapy should they be contacted by an insurance carrier.
Employees were also instructed to go through old charts and re-bill the insurance
company using the intravenous therapy codes.
Medicare regulations require that billing for medical services be submitted
under the provider identification number of the health services provider rendering
the services or directly supervising those who do. All of the billing used Dr.
Mitchell’s provider number and signature stamp. At all times relevant to this
case, Dr. Mitchell lacked a valid provider number because his medical license had
been revoked in Arizona.
During trial, the district court informed the parties that courtroom personnel
had overheard a conversation in which one juror indicated she had already made
up her mind. Specifically, one of the deputy clerks overheard a statement to the
effect: “I have already made up my mind, I don’t know what the other side could
say [to change it.]” The other deputy clerk reported hearing an exchange similar
to the following:
Juror A: “Who do you think is going to be the holdout?”
Juror B: “It’s going to be me.”
Juror A: “You are going to look funny with a black eye.”
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In response to these reports, the district court took testimony from the four
jurors involved and the two deputy clerks who overheard the conversation. One
of the jurors recalled hearing a statement by another juror that she had made up
her mind. The district court specifically asked the juror who allegedly made the
statement if she had made the statement or a similar one. The juror twice denied
that she had, and the district court reminded her that she was to withhold
judgment until hearing all the evidence. The juror affirmed her ability to “be
totally fair to both sides” and to make a decision only after all the evidence had
been presented.
All of the jurors involved remembered an exchange similar to the one noted
above regarding the “hold out,” but described the comments as being made
entirely in jest. The deputy clerk agreed that the exchange seemed to be a joke.
The jurors described the general atmosphere of their conversation as joking.
Counsel for defense moved for a mistrial, or in the alternative for the dismissal of
the juror who allegedly indicated she had made up her mind. The district court
denied the motion, but gave a detailed curative instruction.
Lawrence made a second motion for a mistrial after the defendant’s brother,
Steven Lawrence, alleged that he had heard a juror state, “I hate chiropractors
anyway.” The defendant’s brother indicated that he heard the comment as two
jurors were in a hallway being escorted past the witness room where he was
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sitting. The court interviewed courtroom personnel and Steven Lawrence, and
determined that the jurors could not have been in that particular hallway at the
time alleged. The motion for a mistrial was denied.
Lawrence made a third motion for a mistrial after a pamphlet about jury
nullification was found in the jury room. The court interviewed each of the jurors
in the presence of counsel allowing the attorneys to ask questions if they so
desired.
While several of the jurors indicated they had seen the pamphlet, the court
determined that there was, at most, very limited discussion of the contents. The
jurors who had seen it, by and large, regarded the pamphlet as a form of “junk
mail.” All of the jurors who reviewed the pamphlet stated that they would not be
influenced by it in their deliberations. The court concluded that there was no
indication the pamphlet had affected the jury’s ability to follow the instructions or
decide the case. The court denied the motion for a mistrial and gave the jury a
curative instruction. Following the verdict, Lawrence renewed his arguments
concerning juror misconduct in a motion for a new trial. The court denied that
motion as well.
Lawrence was sentenced to sixty months’ imprisonment on the fraud
convictions and seventy-two months’ imprisonment on the money laundering
convictions. The sentences were imposed to run concurrently.
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III. DISCUSSION
A. Jury Instructions
Lawrence asserts that the court should have given a proposed instruction
explaining that the Medicare Carriers Manual (“MCM”) was not binding on
providers. 2 The Medicare Carriers Manual contains the procedures to be used for
processing claims, as well as information on the codes to be used in that process.
Lawrence argues that this instruction was important because it would have
demonstrated that the Medicare administration violated its own regulations by
failing to issue written corrective instructions to Lawrence regarding his coding
practices, failing to perform on-site educational visits, and failing to deny the
claims he made after reviewing the documentation he submitted.
Lawrence objected to the district court’s refusal to give this instruction
below and, therefore, we review the instruction de novo. United States v.
Fabiano, 169 F.3d 1299, 1302 (10th Cir. 1999). “In reviewing jury instructions
for error, we review the instructions as a whole to determine whether the jury may
have been misled, upholding the judgment in absence of substantial doubt that the
2
The proposed instruction stated, “Ladies and Gentlemen of the jury, you
have just heard the testimony regarding the contents of the Medicare Carriers
Manual. The MCM is binding on the Medicare carrier alone, therefore, you are
instructed to consider that evidence only as it applies to the Medicare carrier in
this case. The MCM is not binding on providers.”
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jury was fairly guided.” United States v. Magleby, 241 F.3d 1306, 1309-10 (10th
Cir. 2001) (quotation omitted).
We conclude that the district court did not err by rejecting the instruction
proposed by Lawrence. Lawrence was charged with wire fraud, submitting false
claims, and money laundering. While evidence concerning the information
contained in the Medicare Carriers Manual may be relevant to these charges, an
instruction concerning the applicability of the regulations contained in the manual
is not. The government was required to show, and did show, that Lawrence
violated the statutes listed in the indictment, not the provisions of the MCM. The
instruction requested by Lawrence therefore was, at best, irrelevant to the issues
in the case. At worst, the proposed instruction may have caused confusion to the
jury. Accordingly, the district court did not err in refusing to give the instruction.
Lawrence also claims that the district court erred in failing to give six other
instructions he claims were offered at trial. The record contains no indication that
the defendant objected to the district court’s rejection of these instructions. 3
Lawrence claims that the district court prevented counsel from making the
3
The government argues that these instructions were never submitted to the
court. It is unclear from the record whether Lawrence submitted all of the
instructions at issue. The record, however, suggests that the parties did submit a
number of instructions to the district court. We assume for the sake of argument,
therefore, that Lawrence submitted the instructions we discuss here.
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objections by holding argument concerning the instructions off the record and by
warning counsel not to raise any objections on the record.
Nothing suggests that the district court took such actions. The district
court offered to hear the argument concerning the instructions on the record if
counsel so desired. The record reflects that defense counsel agreed to hold the
discussion off the record. After the completion of the off-record discussion, the
district court allowed both parties to register objections concerning the jury
instructions on the record. Defense counsel made a number of objections
concerning jury instructions offered by the prosecution and registered the
objection concerning the MCM instruction. Moreover, both counsel were offered
a second opportunity to raise objections to the instructions prior to closing
argument. Defense counsel did not raise any other objections at that time. Thus,
it appears that counsel had repeated opportunities to object to the district court’s
rejection of the proposed instructions and did not do so.
Merely tendering jury instructions, without any further objection, is
insufficient to preserve issues related to those jury instructions. Fabiano, 169
F.3d at 1303 (10th Cir. 1999). Accordingly, we review for plain error. Id. Under
plain error review, the defendant must show: (1) an error, (2) that is plain, and (3)
which affects substantial rights. Id. If those three requirements are met, the court
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“may exercise discretion to correct the error if it seriously affects the fairness,
integrity, or public reputation of judicial proceedings.” Id. (quotation omitted).
Five of the instructions at issue inform the jury that the government is
required to prove beyond a reasonable doubt that there is no reasonable
interpretation of the applicable regulations and relevant claims submitted by
Lawrence that would make the defendant’s statements to Medicare factually
correct. 4 Lawrence relies on United States v. Migliaccio, 34 F.3d 1517 (10th Cir.
1994). In Migliaccio, two doctors were convicted of mail fraud after they sought
reimbursement for certain procedures. Id. at 1520. The government alleged the
doctors had purposefully used incorrect terminology to describe procedures so
that they would be reimbursed. Id. This court held that in the case of mail fraud:
“the government bears the burden to negate any reasonable interpretations that
would make a defendant’s statement factually correct.” Id. at 1525. We reversed
the conviction because the district court failed to instruct the jury concerning the
4
We will not reproduce the instructions in their entirety because they
contain a large amount of information not directly relevant to our decision.
Lawrence’s claim is focused on the following language, which appears in four of
the instructions in a virtually identical fashion: “If you find ambiguity, unclarity
[sic], confusion, or contradiction exists, then to prove the defendant knew that
statements to Medicare were false, the government must prove beyond a
reasonable doubt that there is no reasonable interpretation of the situation that
would make the defendant’s statements factually correct.” The fifth instruction
does not use similar language, but addresses intent and instructs the jury that they
may “find that ambiguity exists in Medicare reporting requirements . . . .”
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defendant’s theory that his interpretation of the relevant regulations was
reasonable and therefore he lacked the intent to make a false statement. Id.
As Migliaccio makes clear, such an instruction is only necessary where
there is evidence supporting the defendant’s interpretation as reasonable. Id.
(“[W]here the evidence supports a defendant’s position, the jury must be
instructed concerning reasonable interpretations of ambiguous requirements and
the government’s ensuing burden.”). Under Lawrence’s interpretation of the
requirements, billing for chelation therapy as intravenous therapy was proper and
performing services with only nominal supervision from Dr. Mitchell allowed the
use of Dr. Mitchell’s provider number for billing purposes. Whether or not those
interpretations were reasonable in the first instance, Lawrence was repeatedly
alerted to the unreasonableness of his interpretations. Testimony at trial from
three different witnesses attested to the fact that Lawrence was confronted
concerning his use of intravenous therapy codes to bill for chelation therapy. Joie
Durham, the billing consultant hired by the clinic, became concerned about the
use of the IV therapy codes and contacted Medicare for clarification. Ms.
Durham informed Lawrence that Medicare had stated that billing for chelation
therapy using the IV therapy codes was improper and told Lawrence about the
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relevant Medicare regulations. Lawrence continued the practice despite this
authoritative information. 5
Lawrence was also repeatedly informed that his use of Dr. Mitchell’s
provider number was inappropriate because Dr. Mitchell was required to actually
supervise the provision of chelation therapy. Lawrence’s own expert
acknowledged that Medicare’s billing regulations require intravenous therapy to be
performed under the direct supervision of a doctor. In contrast, although
Lawrence offered evidence that written procedures at the clinic called for
supervision by Dr. Mitchell, there was no evidence that Dr. Mitchell actually had a
sufficient level of involvement to justify the constant use of his provider number.
A number of witnesses established that Dr. Mitchell was only infrequently at the
clinic, that chelation therapy was performed without his supervision, and that his
general physical condition made active supervision of the clinic unlikely. There
was, therefore, no evidence to support the defendant’s theory that he was relying
on his own reasonable interpretation of the regulations and lacked the intent to
5
To the extent that Lawrence argues he received information from Medicare
supporting his interpretation of the regulations and, therefore, his reliance on that
information from Medicare was reasonable, there can be no claim that the jury
was not instructed regarding this theory. The district court gave a detailed
instruction concerning this theory of the defense: “Lawrence contends . . . that he
is not guilty because Medicare represented to him that chelation therapy for
treatment of heavy metal toxicity was covered, and that using IV codes was
acceptable, and that he reasonably relied on that advice by continuing to bill in
[that] manner.”
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deceive Medicare. In addition, the language of the proposed instructions
contained characterizations of the evidence and tangential information regarding
Medicare regulations. 6 Accordingly, the district court did not commit plain error
by refusing to give Lawrence’s instructions related to intent.
Lawrence also proposed but did not object to the omission of a jury
instruction regarding the definition of materiality. The district court instructed the
jury that the use of a material falsehood was an element of the mail and wire fraud
charges. The district court properly stated that a statement is material if “it has a
natural tendency to influence, or is capable of influencing a decision or action by
another.” Lawrence’s proposed instruction adds nothing to this definition. The
proposed instruction simply states Lawrence’s argument that his representations
were not material because the claims should not have been paid due to the
invalidity of Dr. Mitchell’s provider number. Given that the district court’s
instruction on materiality supplied an accurate definition of the term, the district
court did not commit plain error by refusing to give the instruction proposed by
Lawrence.
6
For instance, one instruction stated that prosecution witnesses “testified in
contradiction to one another regarding Medicare reporting requirements. . . .”
Another instruction contains such information as, “[t]he Medicare regulations and
Medicare Carrier Manual state that providers may charge patients for services
determined to be non-covered. Medicare occasionally prefers a different
procedure code be reported than required by Medicare supplemental insurers.”
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Lawrence also argues that the district court erred in failing to instruct the
jury that materiality was an element of the false claim charges under 18 U.S.C. §
287. While there is some disagreement over whether materiality is required under
18 U.S.C. § 287, the law of this circuit currently states that materiality is not an
element. United States v. Parsons, 967 F.2d 452, 455 (10th Cir. 1992).
Accordingly, it was not plain error for the district court to refuse to include
materiality among the elements of a charge under 18 U.S.C. § 287.
Lawrence also argues that the district court’s instruction stating that the
government did not need to prove the item sent by mail was itself false or
fraudulent contradicted the instruction giving the definition of a material
falsehood. Those instructions are not contradictory in any way. The use of a
material falsehood is a separate element of a mail fraud charge from the use of the
mails to carry out the fraud. See Neder v. United States, 527 U.S. 1, 20 n.3, 25
(1999). Thus, the instructions were appropriate.
Lawrence’s final contention concerning the jury instructions is that the
district court erred by giving the jury the following instruction: “You may infer,
but certainly are not required to infer, that a person intends the natural and
probable consequence of acts knowingly done or knowingly omitted.” Lawrence
contends that Mann v. United States, 319 F.2d 404 (5th Cir. 1963), suggests that
such an instruction impermissibly shifts the burden of proof. Lawrence is
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incorrect. The court in Mann stated that “[i]f the charge had ended when the jury
was told that a person is presumed to intend the natural consequences of his own
acts, when considered in the light of the charge as a whole, there would have been
no error.” Id. at 409. It was the additional statement “unless the contrary appears
from the evidence,” which shifted the burden of proof from the prosecution to the
defendant. Id. Nothing in the instructions given by the district court in this case
could have had a similar effect. Accordingly, there was no plain error in the
district court’s instruction regarding the allowable inference of intent.
B. Sufficiency of the Evidence
Lawrence argues that the district court erred by denying his motion for a
judgment of acquittal on all counts because the medical terminology and Medicare
regulations were so ambiguous that there was a reasonable doubt as to his intent.
We review the record de novo to determine whether a reasonable jury could find
the defendant guilty beyond a reasonable doubt, taking the evidence together with
the reasonable inferences drawn from it in the light most favorable to the
government. United States v. Beers, 189 F.3d 1297, 1301 (10th Cir. 1999).
The wire and mail fraud charges require that the jury find that Lawrence
acted with intent to defraud or intent to deceive. At trial, there was evidence that
Lawrence instructed employees to inform insurance companies that the clinic
performed IV therapy, not chelation therapy. As noted above, Lawrence was
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informed that he was using the incorrect code and he refused to alter his behavior.
Moreover, other evidence showed that for a period of time Lawrence had utilized
the proper codes and did not receive reimbursement. Likewise, there was evidence
that Lawrence knew he was improperly using Dr. Mitchell’s provider number on
the forms submitted to Medicare. Accordingly, there was sufficient evidence of
Lawrence’s intent to defraud.
The false claim charges require that the jury find Lawrence knew that the
claims he submitted were false. Lawrence was aware that none of the laboratory
tests reported in the false claims was performed under the direct supervision of Dr.
Mitchell, as is required. None of the tests were even performed at the clinic as
required for reimbursement. Accordingly, we conclude that the evidence of
Lawrence’s intent to defraud was sufficient to sustain the conviction.
Lawrence also argues that the evidence was insufficient to support a
conviction on the money laundering charges. 7 Lawrence asserts that the
government only showed he used the money he received from Medicare to pay
ordinary business costs. Thus, according to Lawrence, the government failed to
show “the intent to promote the carrying on of specified unlawful activity . . . .”
7
The government asserts that Lawrence failed to raise this argument below
and therefore we should review it for plain error. As the government notes,
however, reviewing for the sufficiency of the evidence and plain error review
usually involve substantially the same inquiry. United States v. Kimler, 335 F.3d
1132, 1141 n.10 (10th Cir. 2003). To the extent that the standards differ, we
would reach the same conclusion under either standard.
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18 U.S.C. § 1956(a)(1)(A)(i). Lawrence concedes that he deposited the money in a
bank account and used that money to operate his business, including paying Dr.
Mitchell and paying rent. Dr. Mitchell’s assistance was essential to the claims
submitted by Lawrence. Likewise, keeping the doors of the clinic open assisted
Lawrence in carrying out his fraudulent scheme. Using proceeds from the
fraudulent scheme in this manner is sufficient to show an intent to carry on the
fraud for the purposes of the money laundering charges at issue here. See United
States v. Johnson, 971 F.2d 562, 566 (10th Cir. 1992).
C. Materiality
Lawrence also argues that the district court erred by denying his motion for
a judgment of acquittal on the grounds that none of the requests for reimbursement
should have been paid by Medicare because the relevant forms all carried Dr.
Mitchell’s invalid provider number. Therefore, he argues the representations he
made on the forms were not material. The denial of a motion for a judgment of
acquittal is reviewed de novo, viewing the evidence in the light most favorable to
the government. United States v. Bailey, 327 F.3d 1131, 1140 (10th Cir. 2003).
To determine whether a statement is material the appropriate test is to
examine whether it has a natural tendency to influence, or is capable of
influencing a decision or action by another. United States v. Wiles, 106 F.3d 1516,
1519 (10th Cir. 1997). The question of whether a statement is material is a
question of fact for the jury to decide. Neder, 527 U.S. at 19-23.
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Prosecution witnesses testified that Lawrence’s use of Dr. Mitchell’s
provider number was a necessary prerequisite to payment for chelation therapy
under the Medicare regulations. Lawrence argues that the claims were unpayable
on their face because Dr. Mitchell’s medical license had been revoked in Arizona,
rendering his Medicare provider identification number invalid. Lawrence suggests
that Medicare simply failed to do its job. The evidence showed, however, that
information concerning a provider’s license in other jurisdictions was not readily
accessible in Colorado at the time Lawrence submitted his claims. The
invalidation of Dr. Mitchell’s provider number was noted in a Medicare sanctions
bulletin which listed nearly 4,000 other persons who had been sanctioned. In
addition, Dr. Mitchell’s name was not listed with a Colorado address, but instead
appeared with an Arizona address. Moreover, Dr. Mitchell used a different
provider number in Colorado than he did in Arizona. The use of a seemingly valid
provider number clearly would have a natural tendency to influence. Likewise, the
use of codes corresponding to services covered by Medicare would also have a
natural tendency to induce payment. Accordingly, we conclude there was
sufficient evidence to sustain the jury’s conclusion that misrepresentations made
by Lawrence to Medicare were material. 8
8
Lawrence also argues that the forms submitted to Medicare were not
factual statements and therefore cannot be misrepresentations. Lawrence relies on
United States v. Cronic, 900 F.2d 1511, 1515 (10th Cir. 1990), in which we
concluded that a defendant could not be guilty of making a false statement based
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D. Evidentiary Rulings
Lawrence claims that the district court abused its discretion by barring the
admission of statements made by the late Dr. Mitchell to the FBI and by refusing
to admit Government Exhibit 271. We review evidentiary rulings for an abuse of
discretion. United States v. Chatman, 994 F.2d 1510, 1515 (10th Cir. 1993).
(1) Statements by Dr. Mitchell
During trial, Lawrence sought to admit hearsay statements made by Dr.
Mitchell to FBI agents. 9 In his proffer, Lawrence summarized the statements he
intended to elicit from FBI agents as follows: Dr. Mitchell told agents that he was
the medical director of the clinic and approved all procedures and protocols, that
he traveled to the clinic one day a week, and that he believed he was not legally
required to be at the clinic to oversee the medical work. Defense counsel admitted
that the statements were hearsay and that no exception to the hearsay rule applied,
on passing bad checks because a check was not a statement. The forms submitted
by Lawrence seeking reimbursement contain factual assertions about the identity
of the health care provider and the services rendered. Moreover, the person
submitting the forms is required to certify that the information as submitted is
accurate. For those reasons, the forms used by Lawrence to claim reimbursement
do not resemble checks in any way and Cronic has no application to this case.
9
On appeal, Lawrence cites Federal Rules of Evidence 607, 804(a)(4),
804(b)(3), 804(b)(5), 806(5), 806(6), 806(7), 806(25), and 807 as providing a
basis for the admission of the statements. Lawrence offers no development of
that argument in regard to Rules 804(a)(4), 804(b)(3), and 806(5), 806(6), 806(7),
and 806(25). Given Lawrence’s failure to provide any guidance as to the
substance of his argument regarding these rules, we deem the argument waived.
Shaw v. United States, 213 F.3d 545, 549 n.6 (10th Cir. 2000).
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but urged the court to admit the evidence for impeachment purposes. The
government objected to the admission of the evidence.
After hearing argument from counsel, the district court refused to admit the
evidence, concluding that it would not have the effect of impeaching a witness, but
rather went to issues surrounding the operation of the clinic. The district court
went on to examine whether statements should be allowed under the residual
exception to the hearsay rule. The court concluded that the statements lacked
sufficient indicia of trustworthiness because at the time he made the statements Dr.
Mitchell was facing indictment on federal charges. Although his brief is unclear,
it appears that on appeal Lawrence focuses his argument on the district court’s
ruling regarding the applicability of the residual exception under Rule 807.
Federal Rule of Evidence 807 provides that a statement with guarantees of
trustworthiness may be admitted if: (1) it is evidence of a material fact; (2) is more
probative on the point for which it is offered than any other evidence which the
proponent can procure through reasonable efforts; and (3) admission of the
statement would serve the purposes of the rules and interests of justice. Fed. R.
Evid. 807. This court has previously noted that “an expansive interpretation of the
residual exception would threaten to swallow the entirety of the hearsay rule.”
United States v. Tome, 61 F.3d 1446, 1452 (10th Cir. 1995). Accordingly, the rule
should only be applied “in extraordinary circumstances where the court is satisfied
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that the evidence offers guarantees of trustworthiness and is material, probative
and necessary in the interest of justice.” Id. (quotations omitted).
The trial court did not abuse its discretion by refusing to admit the
statements from Dr. Mitchell because the statements did not have any guarantee of
truthworthiness. The statements were taken shortly after the FBI executed a
search warrant on the clinic. Dr. Mitchell was a subject of the same investigation
which eventually led to the charges against Lawrence. Dr. Mitchell, therefore, had
a strong motivation to minimize any evidence of wrongdoing at the time he made
the statements. Accordingly, the district court did not abuse its discretion by
refusing to admit the statements. 10
(2) Exhibit 271
Lawrence argues that the district court abused its discretion by failing to
admit the government’s exhibit 271. During trial, the government moved for the
admission of exhibit 271, but Lawrence objected on hearsay grounds. The court
sustained that objection. Defense counsel later moved to admit a single page from
the exhibit, but the government objected asserting that the entire exhibit should be
admitted. The court allowed the page of the exhibit to be read to the jury, but the
10
Lawrence also raises Rule 607 as a basis of admissibility arguing that
these statements could be used as impeachment evidence. Lawrence, however,
asserts that the statements are needed to prove his theory of the case. Thus, he
does not seek to use the statements for any impeachment purpose. Accordingly, it
was not an abuse of discretion for the district court to refuse to admit the
statements under Rule 607.
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exhibit itself was not put into evidence. Lawrence argues that the exhibit’s
exclusion prevented him from proving his theory of the case. This could not be
correct, however, because the jury heard the evidence contained on the only page
Lawrence sought to admit. Even assuming the district court erred by failing to
admit the exhibit, such error would have been harmless. The information in the
exhibit was before the jury and Lawrence has not demonstrated that his substantial
rights could have been affected by the failure to admit the actual page of the
exhibit. See United States v. Anaya, 117 F.3d 447, 448-49 (10th Cir. 1997)
(holding that party asserting error in an evidentiary ruling bears the burden of
demonstrating his substantial rights were affected).
E. Motions for Mistrial based on Juror Misconduct
Lawrence alleges that the district court erred by failing to grant his motions
for a mistrial based on three instances of alleged juror misconduct. This court
reviews the district court’s denial of a motion for a mistrial based upon juror
misconduct for an abuse of discretion. See United States v. McHorse, 179 F.3d
889, 904 (10th Cir. 1999). In a situation involving juror misconduct, the
appropriate test is whether actual bias existed or whether the circumstances
compel an imputation of inherent bias to the juror as a matter of law such that the
misconduct has prejudiced the defendant to the extent that he has not received a
fair trial. Id. We will address each of the incidents separately.
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(1) Comments by Jurors
The comments allegedly made by the jurors in the first incident are
insufficient to establish any evidence of bias. The juror who allegedly made the
statement indicating she had reached a decision reaffirmed her ability to fairly
decide the case and to withhold decision until all the evidence had been presented.
Moreover, the district court’s questioning of the juror was structured as a reminder
of the juror’s duty. Finally, the alleged statement did not indicate for which party
she had decided and thus revealed no bias. See McHorse, 179 F.3d at 904.
Nor did the comments by the other jurors concerning “holdout” indicate a
disposition towards one party. Instead, those comments suggested that the jurors
wanted to reach a prompt conclusion. That impulse is understandable given the
lengthy trial in this case. Even were we to assume that the jurors’ comments
reflected some level of bias, “not every incident [involving bias] requires a new
trial. The test is whether . . . the misconduct has prejudiced the defendant to the
extent that he has not received a fair trial.” Id. (quotation omitted) (alteration in
original). We cannot reach that conclusion on these facts. Instead, given the
atmosphere of humorous banter that surrounded the comments, the district court’s
strongly worded cautionary instruction was an appropriate response. Accordingly,
the district court did not abuse its discretion by refusing to grant a mistrial based
on this incident.
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(2) Comments in the Hallway
The second incident of alleged juror misconduct was reported by the
defendant’s brother. As noted above, the district court determined that the jurors
could not have been in the hallway at the time the statement was allegedly made.
Lawrence has not argued that this determination was erroneous and nothing in the
record suggests that the district court was incorrect. Accordingly, the district
court did not abuse its discretion by failing to grant a mistrial on the basis of an
event that it concluded could not have occurred.
(3) Jury Nullification Pamphlet
After the pamphlet was discovered in the jury room, the district court
interviewed the jurors regarding the impact of the pamphlet. Each of the jurors
who recalled seeing the pamphlet stated that it did not affect their view of the
case. Moreover, many of the jurors stated that they regarded the pamphlet as a
form of junk mail. Such a description suggests that it would have no influence on
their decision. Thus, there was no indication that the presence of the jury
nullification pamphlet prejudiced the jurors against the defendant. Finally, the
district court directly addressed the pamphlet in its instructions to the jury,
reminding the jurors that they had taken a pledge to follow the law as the court
instructed them. Given the absence of any evidence regarding juror prejudice, the
district court did not abuse its discretion by denying the motion for a mistrial.
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(4) Brief Deliberations
In his supplemental reply brief, Lawrence argues that jurors continually
failed to follow the court’s instructions regarding their deliberations. For an
indication of disobedience, Lawrence relies on the district court’s order denying
the motion for a new trial, in which the trial court stated, in response to an
argument from Lawrence regarding the brief deliberations, that the jurors may
have used their lunch break as additional time for deliberation. Lawrence asserts
that this indicates the jurors failed to follow an instruction given by the court
which stated:
We will give you a brief recess at this time until you receive your
lunch, then you are to have your lunch. During the lunch don’t
discuss the case, don’t start your deliberations. Just have a pleasant
lunch. When you have concluded your lunch, I am going to instruct
[the alternate juror] that he will be asked not to participate further in
the deliberations, so he will be excused. Once he has left the jury
room and been excused, you may then proceed as indicated in the
instructions to elect a foreperson as your first duty, and to commence
your deliberations.
Thus, Lawrence argues the jurors must have disregarded this instruction and
prematurely began deliberations in the case during lunch. The jurors, however,
may not have violated the instruction. The alternate juror who was to have lunch
with the jury did not do so, he left before lunch. As the last line of the quote above
indicates, the jury may have concluded that they were, therefore, permitted to
commence their deliberations after the alternate juror left. Thus, there is no
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indication that the jury intentionally violated the district court’s order. In any case,
whether or not the jury began deliberations during lunch, there is no reason to
believe that such an action would have prejudiced Lawrence.
Lawrence also suggests that the short period of deliberations reflects bias
against him that was exemplified in the three incidents involving the jury discussed
above. Assuming that the length of jury deliberations may be relevant to the
question of whether the jury was prejudiced against Lawrence, nothing in this case
indicates such a bias. 11 As the district court noted many of the exhibits presented
in this case were displayed to the jury during the trial, thus mitigating the need to
examine each exhibit. In addition, while there were thirty-six counts against
Lawrence, these counts fit into four categories of crimes. Thus, the jury had only
to apply four sets of elements to the evidence presented. If the jury did not
deliberate during lunch it had approximately two hours and fifteen minutes to reach
its verdict. 12 Although there was a large amount of evidence in this case, two hours
is not so short a time as to obviate a serious discussion of the issues. We,
11
While the amount of time spent in deliberations might provide some
indication of whether the jury reached its conclusion with ease or struggled to
agree on a verdict, it seems doubtful that the duration of jury deliberations could
ever provide certain guidance on the question of whether jurors were biased
against the defendant. But see Stafford v. Saffle, 34 F.3d 1557, 1564 (10th Cir.
1994) (noting short length of jury deliberations in examining whether a defendant
was prejudiced by ineffective assistance of counsel).
12
If the jury utilized the lunch hour for deliberations, it would have had a
total of four and a half hours for consideration of the case.
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therefore, decline to impute any bias on the part of the jury based on this period of
deliberations. Accordingly, the district court did not abuse its discretion in
refusing to grant a new trial.
F. Blakely and Booker Error
After oral argument, this court granted Lawrence’s motion for supplemental
briefing to address issues raised by the Supreme Court’s decision in Blakely v.
Washington, 124 S. Ct. 2531 (2004). Lawrence argues that Blakely requires any
enhancements and adjustments to his sentence be found by a jury beyond a
reasonable doubt. He specifically contends that his Sixth Amendment right to a
jury trial was violated by the district court’s findings at sentencing regarding the
amount of laundered funds, which raised his base offense level on the money
laundering charges from twenty-three to twenty-four. See United States Sentencing
Guidelines (“U.S.S.G.”) § 2S1.1(b)(2)(B) (1995). 13 Lawrence also disputes a
six-level increase to his base offense level on the fraud charges pursuant to
U.S.S.G. § 2F1.1(b)(1)(G), a two-level increase for more than minimal planning
pursuant to § 2F1.1(b)(2)(A), a four-level adjustment for his status as organizer or
leader pursuant to § 3B1.1(a), and a two-level adjustment for use of a minor
pursuant to § 3B1.4. These enhancements and adjustments raised the offense level
Because Lawrence was sentenced under the 1995 version of the United
13
States Sentencing Guidelines, all citations to the Guidelines refer to the 1995
version.
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on the fraud charges from six to twenty, and pursuant to § 3D1.4 raised the
combined offense level from twenty-four to twenty-six. With an offense level of
twenty-six and a criminal history category of two, Lawrence’s sentencing range was
seventy to eighty-seven months. Absent the court’s extra-verdict factual findings,
his combined offense level would have been twenty-three and his sentencing range
would have been fifty-one to sixty-three months.
In United States v. Booker, the Supreme Court applied its opinion in Blakely
to hold that mandatory application of the United States Sentencing Guidelines
violates the Sixth Amendment when judge-found facts other than the fact of prior
convictions are employed to enhance a defendant’s sentence. 125 S. Ct. 738,
755-56 (2005). Because Lawrence did not raise a challenge to the constitutionality
of his sentence before the district court, his argument on appeal is subject to review
for plain error. See United States v. Cotton, 535 U.S. 625, 629, 631 (2002); United
States v. Gonzalez-Huerta, No. 04-2045, — F.3d —, 2005 WL 807008, at *3 (10th
Cir. Apr. 8, 2005) (en banc). This court has discretion to recognize plain error that
was not raised in the district court when (1) there is an error; (2) that is plain; (3)
that affects substantial rights; and (4) that seriously affects the fairness, integrity,
or public reputation of judicial proceedings. Cotton, 535 U.S. at 631-32.
In United States v. Gonzalez-Huerta, this court held that sentencing a
defendant under the mandatory Guidelines scheme is error that is plain and thus
satisfies the first two prongs of the plain-error test. Gonzalez-Huerta, 2005 WL
-29-
807008, at *3. This court need not answer the question whether a defendant can
show prejudice under the third prong of the plain-error test if the defendant cannot
also demonstrate that the district court’s error seriously affected the fairness,
integrity, or public reputation of judicial proceedings (the so-called “fourth prong”
of the plain-error test). See Cotton, 535 U.S. at 632-33; Gonzalez-Huerta, 2005
WL 807008, at *6.
The Gonzalez-Huerta court held that the district court’s error in that case
failed to satisfy the fourth plain-error prong. Gonzalez-Huerta, 2005 WL 807008,
at *8. In doing so, the court noted that the defendant had not suffered
constitutional error at sentencing because the district court had not enhanced the
defendant’s sentence based on judge-found facts. Id. Rather, the only error
suffered by the defendant was non-constitutional error resulting from the Supreme
Court’s remedy in Booker of excising the statutory provisions making the
Guidelines mandatory. Id. The court emphasized that the defendant has the burden
of demonstrating that the fourth prong of the plain-error test has been satisfied, and
that “sentencing error meets the fourth prong of plain-error review only in those
rare cases in which core notions of justice are offended.” Id. at *7, *9.
Unlike Gonzalez-Huerta, this case involves constitutional Booker error
because Lawrence’s sentence of seventy-two months could not have been imposed
absent judge-found facts regarding the sentencing enhancements and adjustments.
Id. at *2. Under Booker, however, the district court’s error was not merely the
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reliance on judge-found facts to enhance Lawrence’s sentence, but rather the
reliance on judge-found facts to enhance Lawrence’s sentence mandatorily.
Booker, 125 S. Ct. at 750 (“If the Guidelines as currently written could be read as
merely advisory provisions that recommended, rather than required, the selection of
particular sentences in response to differing sets of facts, their use would not
implicate the Sixth Amendment.”); Gonzalez-Huerta, 2005 WL 807008, at *2;
United States v. Mares, No. 03-21035, --- F.3d ---, 2005 WL 503715 at *5-6 (5th
Cir. Mar. 4, 2005); United States v. Antonakopoulos, 399 F.3d 68, 75 (1st Cir.
2005); United States v. Rodriguez, 398 F.3d 1291, 1300 (11th Cir. 2005). For this
reason, the Supreme Court’s holding in Booker would not have prohibited the
district court from making the same factual findings and applying the same
enhancements and adjustments to Lawrence’s sentence as long as it did not apply
the Guidelines in a mandatory fashion. Rodriguez, 398 F.3d at 1300-01. 14 Whether
the district court would simply reimpose the same sentence on remand, or whether
instead the sentence “would likely change to a significant degree if [the case] were
returned to the district court for discretionary resentencing,” is one factor to
consider in determining whether the defendant can satisfy the fourth plain-error
prong. See Gonzalez-Huerta, 2005 WL 807008, at *13 (Ebel, J., concurring).
In fact, Booker obligates district courts to continue to consult the
14
Guidelines when formulating a sentence. See Gonzalez-Huerta, 2005 WL
807008, at *8 (“Even though district courts now have discretion in sentencing,
they must consider the Guidelines . . . when sentencing.”).
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There were two points during the sentencing proceeding when counsel made
arguments to the district court that the court concluded it could not consider under
the mandatory Guidelines system. A district court’s statement that it is prohibited
from considering mitigating facts presented by the defendant might in some
circumstances give rise to the inference that the district court would likely give a
lower sentence if the Guidelines were advisory. See, e.g., United States v.
Heldeman, No. 04-1915, --- F.3d ----, 2005 WL 708397, at *3-4 (1st Cir. Mar. 29,
2005). In the first of these instances, counsel argued that the disparity between the
relatively high base offense level on the money laundering counts and the
comparatively lower base offense level on the fraud counts warranted a lower
sentence. In response, the district judge stated:
As far as the discrepancy in the two offense levels, you are
going to have to talk to the sentencing commission. You are preaching
to the wrong congregation here because I don’t set guidelines and the
guidelines are set . . . .
I didn’t create the disparity, neither did the probation
department. The Sentencing Commission did. So that issue is
rejected.
In the second incident, counsel made the related argument that the base
offense level on the money laundering counts was too high. The following
colloquy then occurred:
THE COURT: I have heard the word Draconian used.
COUNSEL: Yes, I agreed with you.
THE COURT: I didn’t say I used it. I said I heard it.
COUNSEL: Yes, your Honor. It’s the same offense level if somebody
were convicted of dealing 80 kilos of marijuana or –
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THE COURT: I have heard the same with use of crack cocaine or
cocaine. Again these are guidelines issues. Talk to the Sentencing
Commission.
These statements by the district court reveal that the court erroneously felt
itself bound by the Guidelines. They do not, however, necessarily evince a desire
on the part of the court to give Lawrence a sentence lower than the
Guidelines-specified range. Although the court stated that it had “heard the word
Draconian used” to describe the sentencing range, it was also careful to state that it
was not endorsing that view. Compare United States v. Trujillo-Terrazas, No.
04-2075, — F.3d —, 2005 WL 880896, at *1, *5 (10th Cir. Apr. 13, 2005) (finding
the fourth prong of the plain-error test satisfied where the sentencing judge
imposed a forty-one month sentence after stating “I don’t want to send anybody to
jail, and I wish that I didn’t have to”).
It is in any case unnecessary to decide whether the district court’s statement
standing alone could satisfy the fourth plain-error prong, because other evidence in
the record demonstrates that the district court would impose the same sentence even
under an advisory Guidelines system. In considering what sentence to impose
within the range specified by the Guidelines, district courts may consider, “without
limitation, any information concerning the background, character and conduct of
the defendant, unless otherwise prohibited by law.” See U.S.S.G. § 1B1.4.
Lawrence’s counsel argued that the district court should sentence at the bottom of
the range because Lawrence’s crime was “not as heinous as the government
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attempted to make it.” Nothing would have prevented the district court from
considering counsel’s arguments regarding the relative severity of the money
laundering sentence in fashioning a sentence within the Guidelines range. See
Gonzalez-Huerta, 2005 WL 807008, at *6. Nevertheless, the district court
sentenced Lawrence to seventy-two months in prison, two months above the bottom
of the range. The court’s apparent rejection of defense counsel’s arguments that a
lower sentence was appropriate strongly indicates that the court felt that there were
no mitigating factors that would justify a lower sentence in this case. See United
States v. Infante, No. 02-50665, --- F.3d ----, 2005 WL 639619, at *13 (5th Cir.
Mar. 21, 2005) (concluding under the third plain-error prong that the defendant had
failed to show a reasonable probability that he would have received a lower
sentence under an advisory Guidelines system when the district court sentenced him
above the bottom of the Guidelines range).
Furthermore, Lawrence argued for downward departures at sentencing on the
grounds that the money laundering activity was not complex enough to warrant the
high base offense level under the Guidelines, and that the enhancements for amount
of loss significantly overstated the seriousness of his offense. Although the district
court acknowledged that it possessed discretion to depart downward, it nevertheless
denied both motions. The court’s refusal to invoke its discretion to depart is
further evidence that the court felt that seventy-two months was an appropriate
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sentence, and that it would have given the same sentence even under an advisory
Guidelines system.
Core notions of justice would not be offended if this court declined to notice
a sentencing error that had no effect on Lawrence’s sentence. Lawrence therefore
cannot demonstrate that the district court’s error seriously affected the fairness,
integrity, or public reputation of judicial proceedings. See Gonzalez-Huerta, 2005
WL 807008, at *13 (Ebel, J., concurring). Because he cannot satisfy the plain-error
test, his sentence must be affirmed. 15
IV. Pending Motions
15
Lawrence argues for the first time in his second supplemental brief that
the district court should have applied the 2001 version of the Guidelines instead
of the 1995 version. This court’s order granting supplemental briefing, however,
did not authorize Lawrence to raise this issue. Absent authorization from this
court, a party is generally precluded from raising issues in a supplemental brief
that were not addressed in the opening brief. See United States v. Kimler, 335
F.3d 1132, 1138 n.6 (10th Cir. 2003).
In contrast to his argument on appeal, Lawrence argued at sentencing that
the 1995 Guidelines should be applied because the 2001 Guidelines would have
imposed a higher sentencing range after application of enhancements and
adjustments. He presumably switches positions on appeal in the mistaken belief
that the district court post-Booker could not constitutionally impose any
sentencing enhancements or adjustments absent a finding by a jury beyond a
reasonable doubt. As previously discussed, however, district courts after Booker
can continue to apply Guidelines enhancements and adjustments as long as they
do not do so in a mandatory manner. In light of this fact, this court declines to
consider Lawrence’s argument that the district court erred in applying the 2001
version of the Guidelines.
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Lawrence has filed a number of motions, including two motions to file an
amended reply brief, a motion to reconsider the denial of Lawrence’s request to file
a second amended opening brief, and a motion to amend appellant’s appendix.
With the appointment of counsel for appeal and counsel’s submission of a
supplemental brief and supplemental reply brief, Lawrence’s motions concerning
appellate briefing and supplementing the record on appeal have become moot.
Accordingly, these motions are dismissed. Lawrence’s motion for declaratory and
injunctive relief is denied.
V. Conclusion
For the reasons set forth above, we affirm Lawrence’s conviction and
sentence.
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