United States Court of Appeals
For the First Circuit
____________________
No. 00-1396
No. 00-1405
UNITED STATES
Appellee/Cross-Appellant,
v.
CHRISTOPHER R. WALKER
Defendant, Appellant/Cross-Appellee.
____________________
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MAINE
[Hon. Gene Carter, U.S. District Judge]
____________________
Before
Torruella, Chief Judge,
Lynch and Lipez, Circuit Judges.
____________________
Eric E. Menoyo, with whom David J. Van Dyke and Berman & Simmone,
P.A. were on brief, for defendant-appellant/cross-appellee.
F. Mark Terison, Senior Litigation Counsel, with whom Jay P.
McCloskey, U.S. Attorney, was on brief, for appellee/cross-appellant.
____________________
December 19, 2000
____________________
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LYNCH, Circuit Judge. Christopher Walker embezzled from
an employee-benefit fund that never contained much more than
$500,000. Nevertheless, at sentencing the district court
calculated the relevant loss under U.S.S.G. § 2B1.1(b) as
$933,369. Walker challenges this seeming paradox. In addition,
Walker appeals the sentencing court's refusal to decrease the
base level of his offense for acceptance of responsibility and
its refusal to make a downward departure on several suggested
bases. The government cross-appeals, claiming that Walker's
sentence should have been enhanced for obstruction of justice.
We affirm the district court's sentence on all grounds.
I.
Walker was part owner of Beacon Motor Company, Inc.,
an automobile dealership in Bangor, Maine, and he had financial
control of its checking accounts during the relevant time
period. Faced with serious cash flow problems, Walker began to
"borrow" money from the dealership's profit sharing plan (the
"Plan") in 1995. During the next three years, he made eleven
withdrawals from the Plan, totaling $925,000. An additional
shortfall of $8,369 was discovered prior to sentencing. At
various times during the embezzlement, Walker returned money to
the Plan, leaving an actual shortfall of $468,663.
After Walker's embezzlement was discovered, he offered
to cooperate with prosecutors. In the course of these
discussions, he attributed much of the responsibility for the
embezzlement scheme to his partner in the automobile dealership,
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James Gallant. The prosecutor advised Walker that he might
receive a downward departure for substantial assistance if he
provided information against Gallant that led to his
prosecution. No such case was ever made. Walker eventually
reached a plea agreement with the prosecutor under which he pled
guilty to one count of embezzlement under 18 U.S.C. § 664.
The presentence report found, among other things, that
(i) despite Walker's insistence to the contrary, Gallant had not
participated in the embezzlement scheme; (ii) Walker had not
been fully forthright in providing documentation of his crimes;
(iii) Walker had fabricated details of his actions at the
dealership; (iv) Walker had not accepted full responsibility for
his actions; and (v) Walker had misrepresented his finances.
The presentence officer did not recommend any adjustments to
Walker's base offense level or discretionary downward
departures.
The sentencing judge agreed, refusing to reduce the
offense level for acceptance of responsibility, and declining to
make any discretionary downward departures. In order to set the
offense level, the sentencing court then calculated the amount
of loss. The judge totaled the amounts of the eleven unlawful
withdrawals from the Plan and the missing $8,269 to arrive at a
loss amount of $933,369, increasing the offense level by 13.
See U.S.S.G. § 2B1.1(b)(1)(N). Two other enhancements not at
issue further increased the offense level to 21. The government
sought an additional enhancement for obstruction of justice
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under U.S.S.G. § 3C1.1 on the basis of allegedly perjurious
testimony by Walker at the sentencing hearing, but the
sentencing judge declined to make such a finding. The court
sentenced Walker to 46 months in prison, the high end of the 37
to 46 month range provided by the Guidelines given his offense
level and criminal history.
II.
A. Calculation of Loss
Walker presents a simple argument: considering the
amount of money Walker returned to the plan, his total "theft"
was only $468,663, a loss which would enhance his offense level
by 11. See U.S.S.G. § 2B1.1(b)(1)(L). The court instead
calculated the loss by summing all eleven of Walker's unlawful
withdrawals, and hence Walker received no credit whatsoever in
the loss calculation for returning the money. This approach
resulted in a loss amount of $933,369, and an adjustment in the
offense level of 13. Despite the inherent appeal of Walker's
argument, however, the sentencing court followed the proper
approach for calculation of loss in cases of embezzlement.
We start with the standard of review. The government
argues that we should review the sentencing court's
determination of the loss amount for clear error, since the
court made a factual finding as to the amount of loss. Walker
does not, however, challenge the factual basis of the sentencing
court's loss calculation but rather the method by which the
calculation was made. The appropriate method for calculating
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loss amounts under the Guidelines is a prototypical question of
legal interpretation, and we review de novo. See United States
v. Carrington, 96 F.3d 1, 6 (1st Cir. 1996) ("This court reviews
de novo the district court's interpretation of the loss
provisions of the Guidelines. Thereafter, it normally reviews
a district court's factual findings only for clear error."); cf.
United States v. Phaneuf, 91 F.3d 255, 261 (1st Cir. 1996)
(challenges to the factual basis of the district court's loss
determination reviewed for clear error).
U.S.S.G. § 2B1.1(b)(1) itself gives no guidance on the
appropriate method for calculating loss. The commentary to the
Guidelines provides little additional direction. It simply
defines "loss" as "the value of property taken, damaged, or
destroyed." U.S.S.G. § 2B1.1 cmt. n.2. This commentary
suggests that "loss" refers primarily to the value of what was
taken, not the harm ultimately suffered by the victim. With
this limited guidance, we turn to the crime at issue. Since the
crime of embezzlement does not include as an element an intent
to permanently deprive the victim of the funds, but rather a
temporary deprivation will do, we conclude that the loss
calculation for embezzlement properly uses the amount of each
deprivation.
Walker's crimes were complete at the time that he made
the unlawful withdrawals from the Plan. See United States v.
Cruz-Santiago, 12 F.3d 1, 3 (1st Cir. 1993) ("Embezzlement need
not involve an intent to deprive permanently."); see also United
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States v. Hathcoat, 30 F.3d 913, 916 (7th Cir. 1994) (relevant
criminal action in embezzlement is fraudulent appropriation).
With each unlawful withdrawal, Walker created a significant risk
that the Plan would become unable to meet its obligations, and
Walker was guilty of an act of embezzlement regardless of any
intended or actual repayments. As each of these unlawful
withdrawals reflects a completed act of embezzlement, the
sentencing court properly calculated loss by summing the amounts
of the eleven withdrawals without regard for any repayments made
by Walker at other times. Otherwise, the logic of Walker's
argument leads to the untenable conclusion that had Walker
managed to repay fully the funds he had embezzled, the proper
amount of loss would be zero.
This conclusion is consistent with the interpretation of
similar loss provisions by other circuits. In United States v. Brach,
942 F.2d 141 (2d Cir. 1991), the court addressed a similar loss
provision in the fraud guideline.1 Id. at 143. The court concluded
that the loss calculation under the fraud guideline should be
determined in reference to the loss at the completion of the crime,
rendering the defendant's intention to repay and the actual harm
ultimately suffered by the victim irrelevant. See id.; see also United
States v. Cea, 925 F.2d 56, 57 (2d Cir. 1991) ("There is no suggestion
in the commentaries that loss was intended to be limited to the harm
1 The commentary to the fraud guideline cited in Brach, § 2F1.1
cmt. n.7, cross-references the guideline at issue here. See Brach, 942
F.2d at 143.
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done by the defendant when, for some reason, the amount taken exceeded
the harm suffered by the victim."). Cf. Cruz-Santiago, 12 F.3d at 2-3
(relying on specific example in the commentary to decide loss
calculation under the robbery guideline to include the full value of a
stolen car despite its return unharmed).
Walker's reliance on the commentary provision that "in
certain cases, an offense may involve a series of transactions without
a corresponding increase in loss," is misplaced. U.S.S.G. § 2B1.1 cmt.
n.2. While certain embezzlement schemes may involve complex
transactions that move funds multiple times without changing the risk
of loss or adding a new risk of loss, this is not such a case. This
provision does not encompass the return and then subsequent re-
embezzlement of funds, since each subsequent embezzlement creates a new
risk of loss, and hence is properly accounted for through an additive
loss calculation.
A defendant's repayment of embezzled funds nonetheless may
serve to mitigate a defendant's punishment in other areas of
sentencing. Here, Judge Carter calculated a loss of $933,369 as a
result of Walker's embezzlement, yet only required restitution of
$505,081.82 from Walker. Moreover, as was noted at oral argument,
Walker was certainly entitled to seek a downward departure based upon
his return of money to the Plan. He did not do so, perhaps because he
returned the money only in an attempt to cover up his own wrongdoing.
In any event, the district court calculated the loss correctly, and we
affirm its decision.
B. Acceptance of Responsibility
-8-
The sentencing judge found that Walker was not eligible for
a reduction in offense level for acceptance of responsibility under
U.S.S.G. § 3E1.1(a). We review this decision with "great deference"
because the "sentencing judge is in a unique position to evaluate a
defendant's acceptance of responsbility." U.S.S.G. § 3E1.1 cmt. n.5.
Hence we will overturn a sentencing court's decision not to reduce the
offense level for acceptance of responsibility only when that decision
is clearly erroneous. United States v. Royer, 895 F.2d 28, 29 (1st
Cir. 1990).
Section 3E1.1(a) requires that the defendant "clearly
demonstrate" acceptance of responsibility. The commentary notes that
some appropriate considerations under this guideline include (i)
whether the defendant truthfully admits the underlying offense conduct
and related conduct, see U.S.S.G. § 3E1.1 cmt. n.1(a); (ii) whether the
defendant voluntarily surrenders promptly after the commission of the
offense, see id. cmt. n.1(d); (iii) whether the defendant provides
voluntary assistance in recovering the fruits and instrumentalities of
the offense, see id. cmt. n.1(e); and (iv) the timeliness of the
manifestation of acceptance, see id. cmt. n.1(h). The district court
must also consider the defendant's credibility and demeanor. See
Royer, 895 F.2d at 30. The record indicates that the sentencing judge
considered each of these factors and found the evidence insufficient to
demonstrate clearly Walker's acceptance of responsibility.
The commentary also notes that entry of a guilty plea
"combined with truthfully admitting the conduct comprising the offense
. . . will constitute significant evidence of acceptance of
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responsibility." U.S.S.G. § 3E1.1 cmt. n.3; see Royer, 895 F.2d at
29-30. However, the defendant who offers a guilty plea is not entitled
to the adjustment as a matter of right. See U.S.S.G. § 3E1.1 cmt. n.3.
Moreover, the benefit of offering a guilty plea may be outweighed by
conduct inconsistent with the acceptance of responsibility. See id.
The court specifically noted that, despite Walker's guilty plea, he had
engaged in conduct inconsistent with acceptance of responsibility.
Because on these facts the court had a plausible basis to
conclude that Walker had not completely accepted responsibility for his
criminal conduct, the sentencing court's refusal to reduce his offense
level was not clear error. See Royer, 895 F.2d at 30.
C. Discretionary Downward Departures
Walker asserts that he was entitled to a downward departure
under one of four theories: (i) his extraordinary rehabilitation; (ii)
his substantial assistance to the government; (iii) the fact that his
wrong-doing was a single, aberrant incident in an otherwise law-abiding
life; or (iv) because he did not profit from the embezzlement. If the
sentencing court refused to grant such a departure as an exercise of
its discretion -- that is, if it considered the departure and refused
-- we have no appellate jurisdiction. See United States v. Algarín-
DeJesãs, 211 F.3d 153, 157 (1st Cir. 2000). The record indicates that
the court considered a downward departure and found that no factors
were present that would support such a departure. We cannot disturb
this ruling.
D. Obstruction of Justice
The government appeals from the district court's decision not
-10-
to give a sentence enhancement for obstruction of justice based on
allegedly false statements made by Walker during his testimony at
sentencing. At sentencing, Walker testified that he did not accept any
money from his friend John Arsenault, and that any money he returned to
the dealership was his own. The government then produced Arsenault as
a witness, and Arsenault rebutted the testimony. Contending on the
basis of this rebuttal that Walker had perjured himself at the
sentencing, the Government sought a two-point enhancement of Walker's
offense level under U.S.S.G. § 3C1.1 for obstruction of justice.
Walker, of course, had no specific notice the government would seek
this enhancement when he took the stand, although he had general notice
of the Guidelines. Significantly, Arsenault had made a prior statement
to Walker's defense counsel which supported Walker's testimony and was
materially at odds with Arsenault's later rebuttal testimony. Thus,
when Walker took the stand, he understood that Arsenault, if he
testified, would do so consistently with Walker's own testimony. Only
the government knew that was not so. The government also knew that
Arsenault had given a different version of the facts to defense
counsel, but the government did not alert Walker's counsel to
Arsenault's change in position.
U.S.S.G. § 3C1.1 increases the offense level by two points
if "the defendant willfully obstructed or impeded, or attempted to
obstruct or impede, the administration of justice during . . .
sentencing or the instant offense of conviction." Such obstructing
conduct includes "committing . . . perjury." Id. cmt. n.4(b). When a
court finds that the defendant has perjured himself, the Guidelines
-11-
mandate the enhancement. See United States v. Dunnigan, 507 U.S. 87,
98 (1993).
The sentencing court declined to decide the perjury question
or reach the question of the enhancement because the Government had
failed to give notice to Walker of Arsenault's rebuttal testimony, the
basis for the claimed enhancement. The sentencing court stated that it
would not impose the enhancement "when the government could have, with
a single sentence, made it clear to him that, if he took the stand and
testified falsely, that there was rebuttal testimony available which
would lay a predicate for the imposition of an enhancement for
obstruction of justice."
A district court must give the parties reasonable notice
before making either an upward or downward departure from the
Guideline's sentencing range. See Burns v. United States, 501 U.S. 129
(1991) (reviewing sua sponte departure by the district court). The
government relies on the reading of Burns given by this court in United
States v. Canada, 960 F.2d 263 (1st Cir. 1992). This court read Burns
to require special notice only for departures from the Guidelines
sentencing range rather than for all Guidelines adjustments, reasoning
that the delineation of adjustments in Sentencing Guidelines themselves
provides notice to defendants of possible grounds for adjustment, at
least where the facts relevant to the adjustment are known to the
defendant. Id. at 266-67. Thus in Canada we did not require prior
notice from the court for an enhancement based upon the defendant's
supervisory role. Id. at 268. See also United States v. Willis, 997
F.2d 407 (8th Cir. 1993) (not requiring trial judge to provide prior
-12-
notice before imposing enhancement for obstruction of justice).
This case is not controlled directly by either Burns or
Canada, but both have policy underpinnings which support the trial
judge's decision here. Both were concerned with adequate notice to
defendants of variations from Guideline ranges, Burns with departures
and Canada with enhancements and adjustments. Both are premised on
defendant's having adequate notice of the facts and the law.
Canada was a very different situation than this. In Canada
the court imposed a three-point enhancement for the role in the offense
based on the trial testimony that Canada was a manager. Neither the
presentence report nor the government had recommended such an
enhancement. The question was whether the trial judge was precluded
from considering an enhancement. Canada held that the court was not so
precluded because the Guidelines provided notice. Canada also said
that the facts suggested that Canada "had plenty of notice" that his
role could be at issue. Canada, 960 F.2d at 267 n. 4. Canada thus
concerned a constraint on the ability of the court to consider an
enhancement when there was no prior recommendation for such an
enhancement. Significantly, Canada suggests there might be limits on
the court notwithstanding, if it were not true that "the facts relevant
to the adjustment are already known to the defendant." Id. at 266.
By contrast, in this case the government rather than the
court raised the possible sentencing enhancement, and here the court
declined to consider the requested enhancement because it felt the
government had not played fair under the rules. That is a very
different issue. The government now argues that the court was
-13-
required, against its sense of fairness and the government's own
articulation of the rules, to entertain the enhancement.
The question here is not the legal point (of whether the law
compels notice) addressed by the dissent but rather the factual
question of whether notice was possible on the particular facts of this
case. The district court reasonably understood the question was not
one of legal obligation to give notice of its sentencing positions to
the defendant, but of whether on the facts of this case, the government
had sufficient knowledge to trigger an obligation.2 On appeal, the
government does not make the argument against a legal obligation the
dissent makes. Rather, the government argues that it was in no
position to give notice because it could not, in advance, know what
Walker would say, or that it would seek an obstruction enhancement.
The district court, familiar with the case, rejected that contention as
a factual matter, and instead determined that "on the circumstances of
this case" the situation permitted the government to give Walker
adequate notice. The government, after all, on learning that Walker
would testify, had Arsenault ready and available as a rebuttal. There
is adequate support for the trial court's factual conclusion, and hence
no basis for finding its ruling to be in clear error.
2 The government acknowledged at the sentencing hearing
that it was required, where possible, to give notice of its substantial
sentencing positions to defendants. The government explicitly agreed
to the court's statement that "if the[ ] basis for the two-point
increase for obstruction is known to the government before the time of
the sentencing hearing, [ ] it has an obligation to come forward and
make that claim so that the defendant can have an opportunity to resist
it."
-14-
Where the defendant perjures himself or suborns perjury at
the sentencing hearing, circumstances may not permit notice to the
defendant that the adjustment for obstruction of justice will be
sought. The government may be totally unaware in advance of the
content of that testimony, so as to render notions of notice
inapplicable, even where the government is prepared to rebut potential
false statements. See, e.g. United States v. Knight, 76 F.3d 86, 88-89
(5th Cir. 1996) (recognizing that "under certain circumstances
providing notice will be impossible, such as when a defendant obstructs
justice by lying at a sentencing hearing in an attempt to induce
leniency"). However, this is not that case.
What renders this case unique is that the government was
aware (1) that its rebuttal witness, Arsenault, had provided a
materially different statement to defense counsel, indeed one that
corroborated Walker's testimony; and (2) that unlike in Canada, here
the defendant did not know all of the facts relevant to the potential
enhancement. Cf. Canada, 960 F.2d at 266. The defendant did not know
that Arsenault would disagree with him; he thought that Arsenault would
support his testimony. Only the government knew the rebuttal witness's
statement would be to the contrary, and it decided to withhold that
information. Indeed, it may be that Walker's testimony was not in fact
false; then, advance knowledge of Arsenault's shift in position would
have been essential to allowing the defense to meet effectively the
government's evidence in the sentencing hearing. In light of these
particular circumstances and the government's acknowledgment that
notice, if possible, was required, we cannot say that the district
-15-
court abused its discretion in declining to reach the question of
enhancement for obstruction of justice.
District courts have an independent duty to ensure the
fairness of criminal trials. United States v. Bosch, 584 F.2d 1113,
1124 (1st Cir. 1978). In order to effectively fulfill this duty,
district courts must have considerable latitude to make discretionary
judgments in governing the trial process, relying on immersion in the
factual particulars of the case to render appropriate judgments. These
judgments, such as in evidentiary rulings, often rest in the
complexities of the particular case, and therefore appellate courts
review them only for abuse of discretion. See, e.g. United States v.
Lachman, 48 F.3d 586, 590-91 (1st Cir. 1995) (discussing need for
discretion in evidentiary rulings). Unfair surprise in witness
testimony is one instance where the judicious management of the trial
process by the trial judge plays a critical role. Cf. Licciardi v. TIG
Ins. Group, 140 F.3d 357 (1st Cir. 1998) (rejecting trial court's
refusal to exclude expert witness testimony where testimony was
directly contradictory to expert's prior report). In this case, the
district court judge declined to reach the question of the obstruction
enhancement because of the particular circumstances under which it
arose.
Here, not only was the government fully anticipating the
scenario that played out at the sentencing hearing, it was aware that
the defense counsel was relying on an admittedly false statement by
Arsenault in presenting Walker's testimony. While as a general matter
the government is not required to disclose the names of witnesses who
-16-
will testify unfavorably to the defendant, nor to disclose the content
of their testimony, see Weatherford v. Bursey, 429 U.S. 545, 559-60
(1977), under these particular circumstances, we will not reverse the
trial court's determination that the government should have given
Walker notice of the rebuttal testimony they possessed. These
particular facts present precisely the sort of circumstance where the
discretionary judgment of the trial judge is essential to preserving
the fairness of the judicial process, and we would not undertake to
disturb that judgment absent an abuse of discretion. As the district
court did not abuse its discretion in declining to reach the question
of obstruction of justice here, in light of the circumstances of this
case, we affirm the district court's sentence at the current offense
level.
III.
We affirm the district court's sentencing decision in all
respects.
Dissent follows.
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TORRUELLA, Chief Judge (Dissenting in part). Although I
agree with the majority on the bulk of the opinion, I am troubled by
their apparent willingness to open the door to perjured testimony
during sentencing. I would find that the district court erred in not
entertaining the possibility that Walker committed perjury during the
sentencing hearing.
The majority premises its holding on the "independent duty"
of the district court "to ensure the fairness of criminal trials."
United States v. Bosch, 584 F.2d 1113, 1124 (1st Cir. 1978). Thus,
according to the majority, the district court "declined to consider the
request enhancement because it felt the Government had not played
fair," and that to find otherwise would require the district court to
rule against its sense of fairness. The majority thus considered
whether the district court abused its discretion in making such a
ruling, and concluded that it did not.
I would first contest this standard of review. The district
court did not make its ruling based on an innate conception of
fairness, but rather upon "the belief that the law requires that there
be adequate notice given, where the circumstances permit, to a
defendant to meet any substantial portion of the government['s case]
which may yield a substantially adverse result to him in the sentencing
process" (emphasis added). In fact, the district court expressly
feared "that the Court of Appeals would not countenance the imposition
of the enhancement" without such notice, a fear ironically realized
only because the majority mistakenly understands the district court as
exercising discretion. The real issue here is whether such notice was
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legally required. As this is a question of law, we review the district
court's decision de novo. See United States v. Luna-Díaz, 222 F.3d 1,
2 (1st Cir. 2000).1
Burns v. United States, 501 U.S. 129 (1991), held that a
district court must give the parties reasonable notice before making
either an upward or downward departure. Id. at 138-39. However, in
United States v. Canada, 960 F.2d 263 (1st Cir. 1992), we read Burns as
not requiring special notice where "a court decides that an upward
adjustment is warranted based on offense or offender characteristics
delineated within the Sentencing Guidelines themselves, at least where
the facts relevant to the adjustment are already known to the
defendant." Id. at 266. Adjustments based on characteristics outlined
in the Guidelines differ from sua sponte departures because the
defendant can anticipate the possibility of a Guideline-related
enhancement; "the [G]uidelines themselves provide notice to the
defendant." Id. at 267. Thus in Canada we did not require notice of
an enhancement based on the defendant's supervisory role. Id. at 268.
Similarly, in United States v. Willis, 997 F.2d 407 (8th Cir. 1993),
the Eighth Circuit did not require prior notice to impose an
enhancement for obstruction. Id. at 417.
1 Even were we to review this for abuse of discretion, I would
note that the district court lacks any discretion not to enhance a
defendant's sentence when he commits perjury. See United States v.
Dunnigan, 507 U.S. 87, 98 (1993). As a result, the district court's
refusal to entertain the enhancement in the absence of affirmative
Government misconduct or actual unfairness to Walker would, in my mind,
constitute an abuse of discretion.
-19-
This case differs slightly from Canada and Willis in that
Walker does not claim that he lacked notice of the obstruction section
of the Guidelines, but that he lacked notice of Arsenault's unfavorable
testimony. I am not convinced that this distinction saves Walker.
Except in the limited fashion provided by Fed. R. Crim. P. 16(a)(1)(E)
(providing for disclosure of expert witness testimony), the Government
is in no way required to inform a defendant of the witnesses it intends
to use against him. See Fed. R. Crim. P. 16(a)(2) ("Nor does the rule
authorize the discovery or inspection of statements made by government
witnesses. . . ."); Weatherford v. Bursey, 429 U.S. 545, 559 (A
defendant has "no general constitutional right to discovery."). These
rules have equal force in sentencing hearings, see Fed. R. Crim. P. 1,
and I am unaware of any exception in this respect, statutory or
otherwise. The majority not only creates such an exception, but goes
further in placing a burden on the Government of forecasting that a
defendant will take the stand and perjure himself, as well as informing
him or her that it has information to contradict the testimony in
question.
The majority suggests that the Government has essentially
waived its claim here with the admission that it "has an obligation to
come forward" if "the basis for the . . . obstruction [enhancement] is
known before sentencing." I understand this admission as agreeing that
if Walker had committed perjury during trial or pre-sentencing, the
Government would have to provide notice prior to seeking an
enhancement. Here, however, the Government only anticipated that
Walker would commit perjury; they can hardly be required to provide
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notice that they will seek an enhancement on facts that might not occur
(such as where Walker chose to tell the truth or to not testify at
all).2
In the present case, the Sentencing Guidelines put Walker on
notice that perjury during the sentencing hearing could lead to an
obstruction enhancement. The fact that Walker's ignorance as to the
content of Arsenault's testimony may have "lulled [him] into a false
sense of security," and encouraged him to commit perjury, is
irrelevant. Cf. Weatherford, 429 U.S. at 559-60 (although defendant
had been lulled into false security by lack of notice of unfavorable
testimony, because he had no constitutional right to plea-bargain, he
could not complain that his lack of notice had encouraged him not to
make a deal). Because there is no constitutional right to commit
perjury, Nix v. Whiteside, 425 U.S. 157, 173 (1986), I cannot conclude
that Walker should have felt entitled to perjure himself simply because
he was unaware that his testimony could, and would, be refuted. As the
Fifth Circuit noted in United States v. Knight, "under certain
circumstances providing notice will be impossible, such as when a
defendant obstructs justice by lying at a sentencing hearing in an
attempt to induce leniency." 76 F.3d 86, 88-89 (5th Cir. 1996). Such
are the facts here, and, although giving notice of Arsenault's
2 I have no quarrel with the majority's claim that "notice was
possible on the particular facts of this case." My disagreement is
with the relevance of this fact, given that (i) the district court
based its conclusion on a finding of law, rather than one of fact; (ii)
I find no waiver of the Government's argument; and (iii) the district
court's discretion, to the extent it was exercised, is severely limited
in the context of perjured testimony.
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testimony to Walker was not impossible, it was unnecessary given
Walker's notice of the punishment for perjury under the Sentencing
Guidelines.
The majority seeks to distinguish Canada by suggesting that
Walker somehow lacked knowledge of "all of the facts relevant to the
potential enhancement." It is true that Walker did not know Arsenault
would testify against him, and in fact believed that Arsenault would
corroborate his story. However, the only "fact" relevant to the
enhancement, in the Canada sense, is whether Walker knew that his
testimony was false. In other words, if Walker knowingly lied under
oath, he committed perjury, which must be punished by an enhanced
sentence under Dunnigan. Whether the perjury is discovered or not,
whether the defendant is aware that it may be discovered, or even
whether the defendant is misled into believing that it will not be
discovered (as may be the case here) is entirely irrelevant to the
basis for the enhancement, which was the concern in Canada.3
3 It is of course possible that because Walker thought
Arsenault would agree with his testimony, he came to believe the
perjured testimony himself. This scenario, however, would not change
the fairness of the sentencing hearing, but would merely mean that
Walker lied unconsciously, or unknowingly. By remanding to the
sentencing court for a finding of perjury (or no perjury) we would
leave the court open to make such a determination.
The majority makes a good point in noting that defense counsel may
have relied on an admittedly false statement by Arsenault in presenting
Walker's testimony. First, I note that the district court did not view
such a misrepresentation to the defense as actionable, commenting that
"as regrettable as it may be, lying to a lawyer is not a new offense."
Second, although Arsenault's misrepresentation to the defense might
shield the attorney from a charge of suborning perjury, it should not
immunize Walker from his decision to commit perjury. I might feel
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Perjury is serious business, and is accordingly a federal
crime punishable by up to five years in prison, 18 U.S.C. § 1621, or by
a two-level enhancement in sentencing, U.S.S.G. § 3C1.1 cmt. n.4(b).
Unlike the majority, I am unwilling to countenance it in this case, and
I feel that the district court only did so in error.
Although the sentencing judge suggested that a finding of
perjury would be forthcoming, he did not make an explicit finding to
that effect. "The proper resolution, in these circumstances, is to
vacate the sentence and remand to the district court 'to make findings
to support all the elements of a perjury violation,' or to articulate
clearly the elements it believes not to have been satisfied." United
States v. Tracy, 989 F.2d 1279, 1290 (1st Cir. 1993) (quoting Dunnigan,
507 U.S. at 98). Accordingly, I would remand for further findings on
this issue.
differently if the Government had in some way coerced Walker into
testifying on his own behalf, or coerced counsel into calling Walker.
On these facts, however, no such coercion occurred.
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