FILED
United States Court of Appeals
UNITED STATES COURT OF APPEALS Tenth Circuit
TENTH CIRCUIT March 19, 2014
Elisabeth A. Shumaker
Clerk of Court
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v. No. 12-1501
(D.C. No. 1:11-CR-00406-CMA-2)
DANIEL SHAW, (D. Colo.)
Defendant – Appellant.
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v. No. 12-1502
(D.C. No. 1:11-CR-00406-CMA-3)
DUSTIN PFEIFFER, (D. Colo.)
Defendant – Appellant.
UNITED STATES OF AMERICA,
Plaintiff – Appellee,
v. No. 12-1510
(D.C. No. 1:11-CR-00406-CMA-1)
MANUEL SANTISTEVAN, (D. Colo.)
Defendant – Appellant.
ORDER AND JUDGMENT*
Before LUCERO, MURPHY, and PHILLIPS, Circuit Judges.
Appellants Daniel Shaw, Dustin Pfeiffer, and Manuel Santistevan were all charged
in the same single-count indictment with aggravated sexual abuse of a fellow federal
inmate in violation of 18 U.S.C. § 2241(a)(1). The three were tried together and, after a
five-day trial, a jury found them guilty. They now bring separate appeals, which we
combined for purposes of oral argument.
Shaw, Pfeiffer, and Santistevan primarily contend that the district court improperly
admitted evidence of acts not charged in the indictment. We do not believe the district
court abused its discretion in this regard—nor do we find any other basis for reversal.
Exercising jurisdiction under 28 U.S.C. §1291, we affirm as to all Appellants.
BACKGROUND
At all times relevant to this appeal, Shaw, Pfeiffer, and Santistevan were
incarcerated at FCI Englewood—a federal correctional institution and detention center in
Littleton, Colorado.
* United States v. Shaw, No. 12-1501, is submitted on the briefs because those
parties waived oral argument. See Fed. R. App. P. 34(f); 10th Cir. R. 34.1(G). This order
and judgment is not binding precedent except under the doctrines of law of the case, res
judicata, and collateral estoppel. It may be cited, however, for its persuasive value
consistent with Federal Rule of Appellate Procedure 32.1 and Tenth Circuit Rule 32.1.
-2-
In January 2011, a new inmate named Trent Hix arrived at Englewood. The day
after his arrival, Shaw, Santistevan, and another inmate entered Hix’s cell. The men
discussed an “offer of protection” with Hix, which he declined. R. vol. 2, at 204.1
Santistevan then told Hix he was going to get the protection anyway, and that Hix would
have to pay for it by “sucking his dick.” Id. at 205. Hix again refused, and the three men
eventually left.
Two days later, Pfeiffer and another inmate asked Hix to come over so that they
could talk to him. At the time, the men were standing outside the cell assigned to Pfeiffer
and another relatively new inmate named Ryan Greeves. Like Hix, Greeves had also
refused protection, and, later, Shaw had assaulted him on various occasions—
accompanied by either Pfeiffer or Santistevan. In fact, Shaw and Pfeiffer had just finished
assaulting Greeves when Hix came over and entered the cell.
Shaw and Pfeiffer then began punching and kneeing Hix in the legs and stomach
while at least one other inmate held him. Soon after, Santistevan entered the cell and
moved Hix towards Pfeiffer’s bunk. Greeves left around this time.
According to Hix, another inmate stood guard by the door. Santistevan pulled
down Hix’s pants and said, “I am going to rape you.” R. vol. 2, at 227. Hix could not
break free because Pfeiffer and Shaw held him on either side. Hix then felt something
1
All record cites are to the record submitted in United States v. Santistevan, No.
12-1510.
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being rubbed on his genitals and his backside and something being inserted into his anus.
The object was continually thrust into him for approximately one minute.
Afterwards, Hix saw Santistevan wiping his fingers. Santistevan warned Hix that
if he gave him instructions to do something in the future he was to comply. Pfeiffer and
Shaw told Hix not to take the incident too seriously.
Hix reported the sexual assault the next day. A doctor examined Hix and saw what
looked like toothpaste around his anal opening.
In a single-count indictment, a grand jury charged Shaw, Pfeiffer, and Santistevan
with aggravated sexual abuse of Hix in violation of 18 U.S.C. § 2241(a) and § 2 (aiding
and abetting). Pfeiffer and Santistevan moved for separate trials, but the district court
denied the motions and all three men were tried together.
At trial, Hix testified about these events. He also testified about his earlier
interaction with Santistevan and Shaw and the offer of protection. Greeves, in turn,
testified about being assaulted, sexually and otherwise, a total of four times, including the
assault immediately preceding the sexual assault of Hix. Before trial, the district court
determined that all of this other-act evidence was admissible under Federal Rule of
Evidence 404(b), and that certain acts were also admissible as intrinsic evidence and
under Federal Rule of Evidence 413. After a James hearing, the district court also ruled
that the statements made by Shaw, Pfeiffer, and Santistevan during the commission of
these other acts were admissible as coconspirator statements under Federal Rule of
Evidence 801(d)(2)(e).
-4-
DISCUSSION
Shaw, Pfeiffer, and Santistevan challenge their convictions on various grounds.
All three argue that the district court abused its discretion in admitting evidence of other
acts involving Hix and Greeves. In addition, both Pfeiffer and Santistevan argue that the
district court abused its discretion in denying their motions for separate trials. Pfeiffer
alone argues that the prosecution failed to disclose exculpatory evidence in violation of
Brady v. Maryland. And finally, Santistevan alone argues that cumulative error and
insufficiency of the evidence both require reversal. We address each of these arguments
in turn.
A. Admission of other-act evidence
We review a district court’s decision to admit evidence for an abuse of discretion
and reverse only if the court’s decision was “manifestly erroneous.” United States v.
Irving, 665 F.3d 1184, 1210 (10th Cir. 2011).2 Even if the district court abused its
discretion, this court will “not disturb a jury verdict based on a Rule 404(b) error if it was
harmless.” United States v. Caldwell, 589 F.3d 1323, 1334 (10th Cir. 2009).
Under Federal Rule of Evidence 404(b)(1), “[e]vidence of a crime, wrong, or other
act is not admissible to prove a person’s character in order to show that on a particular
2
The government asserts that Santistevan never objected to the admission of
other-act evidence at or before trial and that we should review the district court’s decision
as to him only for plain error. As far as we can tell, it is indeed true that Santistevan never
objected to the admission of evidence of other acts he himself committed. Regardless, we
elect to apply a uniform abuse-of-discretion standard as to all Appellants because the
result remains the same.
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occasion the person acted in accordance with the character.” But such evidence “may be
admissible for another purpose, such as proving motive, opportunity, intent, preparation,
plan, knowledge, identity, absence of mistake, or lack of accident.” Fed. R. Evid.
404(b)(2). The standard for satisfying Rule 404(b) admissibility is permissive: “If the
other act evidence is relevant and tends to prove a material fact other than the defendant’s
criminal disposition, it is offered for a proper purpose under Rule 404(b) and may be
excluded only under Rule 403.” Irving, 665 F.3d at 1211.
In the Tenth Circuit, evidence of other acts may be admissible if it satisfies a four-
part test: “(1) it must be introduced only for a proper purpose under Federal Rule of
Evidence 404(b); (2) it must be relevant; (3) its probative value must not be substantially
outweighed by its potential for unfair prejudice under Federal Rule of Evidence 403; and
(4) the district court must, on request, instruct the jury to consider the evidence only for
the purpose for which it was admitted.” United States v. Esquivel-Rios, 725 F.3d 1231,
1240 (10th Cir. 2013). In this case, we conclude that all of the other-act evidence
admitted by the district court satisfies this test.
1. Offer of protection involving Hix, Shaw, and Santistevan
The government sought to introduce evidence of the encounter in which
Santistevan, Shaw, and another inmate approached Hix with an offer of protection. After
Hix refused, Santistevan told him that he would have to pay for protection anyway by
performing oral sex. Shaw stood watch by the door during the exchange.
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In a pretrial ruling, the district court concluded that this evidence was properly
admissible against Santistevan and Shaw under Rule 404(b) to show motive. The court
believed the evidence had significant probative value given its similarity and close
temporal nexus with the charged crime. During the encounter, Santistevan threatened
sexual contact and then, just two days later, forced the threatened sexual contact on Hix.
While the evidence was prejudicial, the district court did not consider it to be particularly
inflammatory or likely to confuse or mislead the jury. The district court further ruled that
a limiting instruction would be given to instruct the jury that the evidence was not
admitted against Pfeiffer—who was not present during the encounter. At trial, the district
court did in fact instruct the jury as promised. It further instructed that evidence that
certain defendants may have committed prior similar acts did not necessarily mean that
those defendants had committed the crime charged.
We see nothing wrong with the district court’s approach to this evidence. Federal
Rule of Evidence 404(b) lists motive as a proper purpose for admission, and the incident
involving the offer of protection was relevant to proving this purpose. The evidence
tended to show that Santistevan had a motive for assaulting Hix after he had threatened to
do so just two days prior. Even though Shaw did not voice the threat, the evidence also
suggested that he had a motive for participating in the charged assault because Hix had
refused the demands of his cohort. The evidence had probative value because the incident
involving the offer of protection “was similar to the charged crime and sufficiently close
in time.” United States v. Zamora, 222 F.3d 756, 762 (10th Cir. 2000). Both involved
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Santistevan and Shaw working together to intimidate by way of forced or threatened
sexual activity.
To be sure, this evidence prejudiced both defendants, but we perceive no unfair
prejudice warranting exclusion under Rule 403. Relevant evidence is usually prejudicial
to one side or another. It only becomes unfairly prejudicial when it “makes a conviction
more likely because it provokes an emotional response in the jury or otherwise tends to
affect adversely the jury’s attitude toward the defendant wholly apart from its judgment
as to his guilt or innocence of the crime charged.” United States v. Tan, 254 F.3d 1204,
1211–12 (10th Cir. 2001) (emphasis in original). In this case, we do not believe the
district court abused its “considerable discretion” in concluding that the evidence did not
provoke this kind of emotional response. United States v. MacKay, 715 F.3d 807, 839
(10th Cir. 2013). Any unfair prejudice did not “substantially outweigh the probative value
of the evidence. ” Irving, 665 F.3d at 1214 (emphasis omitted).
Moreover, the danger of unfair prejudice to Santistevan and Shaw was mitigated
by the court’s limiting instruction. While Shaw generally argues that the court’s limiting
instructions failed to identify the purpose for which the evidence could be considered, he
never challenged the adequacy of the court’s instructions at trial—nor did he personally
request a limiting instruction from the court with respect to this evidence. Under our four-
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part test, a district court is only required to instruct the jury “on request.” Esquivel-Rios,
725 F.3d at 1240.3
2. First Greeves assault
The government sought to introduce evidence of the first Greeves assault as
evidence of a common plan or scheme and as evidence of motive. This assault occurred
when Shaw, Pfeiffer, and another inmate entered Greeves’s cell and made him an offer of
protection. Like Hix, Greeves declined and the three inmates took turns holding Greeves
while the other two beat him.
The district court agreed with the government that this evidence was admissible
against Shaw and Pfeiffer under Rule 404(b) to show an overarching plan. The court
observed that the assault on Greeves followed the same pattern as the attack on Hix and
was related to the charged conduct. While the evidence was prejudicial to Shaw and
Pfeiffer, the danger of unfair prejudice did not substantially outweigh its probative value.4
3
Pfeiffer was the only defendant to request a limiting instruction with respect to
this evidence. Granting the request, the court instructed the jury that the evidence could
not be considered against Pfeiffer because he was not present when Santistevan and Shaw
first approached Hix. Having received the limiting instruction, Pfeiffer did not object or
request anything from the court. Accordingly, to the extent Pfeiffer challenges the court’s
failure to instruct the jury regarding the limited purpose for which the evidence could be
considered, his argument is also without merit.
4
The court also recognized Rule 403’s concerns with “confusing the issues,
misleading the jury, undue delay, wasting time, or needlessly presenting cumulative
evidence.” R. vol. 2, at 38. The court found that the probative value of all other-act
evidence was not substantially outweighed by any of these dangers. From the district
court’s perspective, there was not a lot of other-act evidence—the government had
(Continued . . .)
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The court instructed the jury that evidence of this assault could only be considered
against Shaw and Pfeiffer to the extent that it bore on their plan to commit the charged
assault—as well as their motive and intent. The court further instructed that because
Santistevan was not involved in this assault, the evidence could not be considered against
him.
We have consistently held that evidence of a common plan or scheme may be
properly admitted under Rule 404(b). See, e.g., United States v. McGuire, 27 F.3d 457,
461 (10th Cir. 1994); United Sates v. Gutierrez, 696 F.2d 753, 755 (10th Cir. 1982). The
other act need not be “identical” to the crime charged; it must only be “similar.”
Gutierrez, 696 F.2d at 755. Here, the first assault on Greeves and the assault on Hix
shared several common characteristics: both occurred in January 2011 in the same jail
cell, both involved recently admitted inmates who had never been in federal prison, both
were preceded by an offer of protection, and both featured Shaw and Pfeiffer as
enforcers. So even though the first Greeves assault was not sexual and did not involve
Hix, the evidence had probative value because it tended to show a common plan among
Shaw and Pfeiffer and an ongoing motive or intent to intimidate and assault targeted
inmates. We are not persuaded that the probative value of this evidence was substantially
outweighed by the danger of unfair prejudice—particularly in light of the district court’s
focused on just one prior incident involving the alleged victim (Hix) and on a series of
incidents involving another inmate (Greeves). The court also believed that the evidence
was sufficiently related to the charged offense that it would not sidetrack the jury or
waste time. We generally agree with these observations and find no abuse of discretion.
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comprehensive limiting instruction. For these reasons, the district court did not abuse its
discretion in admitting this evidence under Rule 404(b).
3. Second and third Greeves assaults
The second Greeves assault also involved Shaw and Pfeiffer. Immediately before
this assault, Greeves was watching TV with a group of Hispanic inmates known as the
“Paises.” R. vol. 2, at 381. Upon his return to his cell, Shaw, Pfeiffer, and another inmate
cornered Greeves and asked why he was watching TV with that group. The men beat
Greeves, and then Pfeiffer and the other inmate held Greeves down while Shaw rubbed
Ben Gay on his testicles.
Shaw and Santistevan committed the third Greeves assault shortly afterwards.
According to Greeves’s testimony, Santistevan overtook Greeves while he was in his cell
and bent him over Pfeiffer’s bunk. Both Santistevan and Shaw told Greeves to hold still
and that Greeves was “going to enjoy this.” R. vol. 2, at 383. Shaw then pulled down
Greeves’s shorts and squirted toothpaste on his backside. Greeves feared that he was
going to be raped or that Santistevan would use the soda pop can he had with him to
sexually assault him, although this did not occur.
The government sought to introduce evidence of both of these acts for the purpose
of showing a common plan.
The district court found the evidence of the second assault admissible against
Shaw and Pfeiffer (but not Santistevan) under Rule 404(b) to show common plan—
specifically, a common plan to sexually assault and abuse other inmates as punishment
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for disobeying the defendants. The court weighed the evidence under Rule 403 and
concluded that its probative value was not substantially outweighed by its potential for
unfair prejudice. The court gave a limiting instruction that evidence of the second
Greeves assault could not be considered against Santistevan and that the evidence could
only be considered against Shaw and Pfeiffer for the limited purpose of showing plan,
motive, and intent.
Similarly, the court found the evidence of the third assault admissible against
Shaw and Santistevan (but not Pfeiffer) under Rule 404(b) to show the same common
plan. The court considered this evidence to have particularly high probative value given
its similarity to the crime charged. The court again concluded that this probative value
was not substantially outweighed by any danger of unfair prejudice. Still, the court
sought to limit prejudice by instructing the jury that evidence of prior wrongdoing by
Shaw and Santistevan did not mean the men had committed the crime charged. The court
also instructed that evidence of the third Greeves assault could not be considered against
Pfeiffer.
We see no reason to disturb the district court’s exercise of discretion in finding
this evidence admissible under Rules 404(b) and 403. The second and third Greeves
assaults are arguably even more similar to the charged offense than the first. Beyond the
similarities identified above, these assaults were similar to the assault on Hix because all
three involved the application of a lubricant to the victim’s genital area, bringing sexual
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humiliation into the mix of practices the defendants employed to punish new inmates
when they refused to pay for protection.5 We also agree with the district court that
evidence of the third assault bore particular resemblance to the assault on Hix. Both
involved the application of toothpaste to the victim’s backside, and in both instances
Santistevan threatened rape as Shaw held the victim down on Pfeiffer’s bunk.
At trial, the district court gave limiting instructions regarding both of these other
acts to further address any danger of unfair prejudice. While Pfeiffer and Shaw generally
challenge the district court’s failure to identify the limited purpose for which evidence
could be considered, again, under our caselaw, a district court need only give such a
limiting instruction “on request.” Esquivel-Rios, 725 F.3d at 1240; see United States v.
Jefferson, 925 F.2d 1242, 1258 (10th Cir. 1991) (“The litigants, not the trial judge, bear
the burden to request a limiting instruction.”). Here, Shaw made no request for a limiting
instruction, and Pfeiffer merely responded in the affirmative when asked by the court if
he wanted a limiting instruction with respect to the third Greeves assault (in which
Pfeiffer was not a participant). The district court instructed the jury that evidence of the
third Greeves assault could not be considered against Pfeiffer, and Pfeiffer did not object
or request anything further from the court. Under these circumstances, the district court
was not obliged to further instruct the jury sua sponte regarding the limited purposes for
which this evidence was admitted.
5
Given that these assaults were sexual in nature, Rule 413 provided another basis
for admitting this evidence—as recognized by the district court.
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4. Fourth Greeves assault
The fourth Greeves assault occurred in Pfeiffer and Greeves’s cell just before the
assault on Hix. Like the first assault, this assault was not sexual. Shaw fought Greeves,
and Pfeiffer grabbed Greeves from behind and “choked [him] out.” R. vol. 2, at 389.
Afterwards, Greeves heard someone say, “Go get Hix.” Id. at 390. Greeves then saw Hix
enter the room, at which point Shaw and Pfeiffer began to beat him. Just before he left,
Greeves saw Santistevan enter the room. The government sought to introduce evidence of
the fourth Greeves assault under 404(b) as proof of a common plan.
The district court found that the evidence was admissible against Shaw and
Pfeiffer under Rule 404(b) for this purpose.6 The court found that the evidence had
significant probative value given its close temporal proximity to the charged conduct and
that the evidence showed an overarching plan to control and punish inmates who refused
to trade sexual favors for protection. The court weighed the evidence under Rule 403 and
concluded that its probative value was not substantially outweighed by its potential for
unfair prejudice. The court gave a limiting instruction that the evidence could only be
considered against Pfeiffer, but that evidence that Pfeiffer may have previously
committed an act similar to the one charged did not mean that he had necessarily
committed the act charged.
6
The district court also concluded that this evidence was admissible as intrinsic to
the charged offense. We agree with this conclusion. Because we find the evidence
admissible under Rule 404(b), however, we need not separately discuss its admissibility
under the more flexible standard for evidence “inextricably intertwined” with the charged
(Continued . . .)
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The court’s only oversight on this evidence was in instructing the jury that the
fourth Greeves assault could be considered against Pfeiffer alone—as opposed to Pfeiffer
and Shaw. But this oversight only benefitted Shaw—it did not further prejudice Pfeiffer.
Also, the district court did not refuse to instruct the jury of the limited purpose for which
this evidence was admitted. Neither Shaw nor Santistevan even requested any limiting
instruction with respect to this evidence, and Pfeiffer only did so in response to the
district court’s general inquiry. The court then gave a limiting instruction advising the
jury against considering the evidence for improper propensity purposes. Once again,
absent any objection or further request from the defendants, we find no fault with the
court’s instruction.
In sum, the district court did not abuse its discretion in admitting evidence of the
incident in which Shaw and Santistevan approached Hix with an offer of protection or
any of the four assaults on Greeves. We agree with the district court that this other-act
evidence tended to show certain defendants’ motive to commit the charged offense as
well as a common plan to punish new inmates who refused to pay for the group’s offers
of protection.7 While we do not believe that the evidence was all that important to the
government’s case, we also do not believe it was all that prejudicial. The other-act
conduct. See Irving, 665 F.3d at 1212 (recognizing that Rule 404(b) does not apply in this
context and that such evidence only remains subject to Rule 403).
7
Contrary to the position of certain Appellants, there need be no formal
conspiracy charge for a district court to admit evidence as probative of a common plan
under Rule 404(b) or for a court to conclude a conspiracy existed—as the district court
did at the James hearing in this case.
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testimony was relatively limited (both in duration and in the number of acts described).
None of the other acts involved conduct any worse than the conduct charged. And the
court’s limiting instructions regularly reminded the jury that evidence of a defendant’s
prior wrongdoing did not mean that the defendant had done wrong again. We have
certainly upheld the admission of far more prejudicial evidence in the past.
Because we conclude the district court did not abuse its discretion in admitting all
other-act evidence under Rules 404(b) and 403, we need not address Appellants’
challenges to the alternate grounds for admission cited by the district court.
B. Motions for separate trial
When two or more defendants have been properly joined in the same indictment,
Federal Rule of Criminal Procedure 14 provides that “the court may . . . sever the
defendants’ trials” if joinder “appears to prejudice a defendant.” Fed. R. Crim. P. 14(a).
Here, no one disputes that the defendants were properly joined under Federal Rule of
Criminal Procedure 8(b), yet Pfeiffer and Santistevan argue that the district court should
have granted their motions for separate trials because evidence of the other acts of their
codefendants would not have been admitted had they been tried on their own.8 “We
review the district court’s denial of a motion to sever for an abuse of discretion.” United
States v. Clark, 717 F.3d 790, 818 (10th Cir. 2013).
8
Shaw did not move for a separate trial, most likely because it would not have
made a difference in his case. He participated in all of the other acts admitted into
evidence.
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Reversal of a district court’s denial of a motion for separate trial is only
appropriate if a defendant can establish “actual prejudice” as a result of the denial. Id.
Under this standard, a defendant must effectively show that he was deprived of his right
to a fair trial by being tried with his codefendants. United States v. Zapata, 546 F.3d
1179, 1191 (10th Cir. 2008); see Zafiro v. United States, 506 U.S. 534, 539 (1993) (“[A]
district court should grant a severance under Rule 14 only if there is a serious risk that a
joint trial would compromise a specific trial right of one of the defendants, or prevent the
jury from making a reliable judgment about guilt or innocence.”). Neither Pfeiffer nor
Santistevan have made this showing.
Pfeiffer argues that, had he been tried on his own, the encounter involving the
offer of protection made to Hix and the third Greeves assault would not have been
admitted into evidence because he was not involved in those acts. From his perspective, it
was too much to ask the jury to disregard this evidence and the risk of prejudice against
him was too high for the court not to grant his motion to sever. Additionally, he argues
that Hix’s testimony would have been the only direct evidence against him had he been
tried separately.
Pfeiffer is correct that those acts would not have been admitted during a separate
trial—at least under Rule 404(b). See Huddleston v. United States, 485 U.S. 681, 689
(1988) (“In the Rule 404(b) context, similar act evidence is relevant only if the jury can
reasonably conclude that the act occurred and that the defendant was the actor.”
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(emphasis added)). But even assuming this evidence was otherwise inadmissible,9 we can
hardly view testimony of these two other acts as the difference between a fair trial and an
unfair one. Had Pfeiffer been tried alone, Greeves could still have testified about being
assaulted by Pfeiffer on three separate occasions. And of course, Hix could still have
testified about Pfeiffer’s role in the charged offense. We see no reason why a jury would
have weighed this testimony much differently in the absence of the background evidence
regarding the offer of protection and the other Greeves assault. Put another way, we do
not believe that the admission of this evidence erroneously led the jury to conclude that
Pfeiffer was guilty. See Zafiro, 506 U.S. 539. In fact, in multi-defendant cases, we have
repeatedly held that one defendant’s complaint about the “spillover effect” of evidence
properly admitted against a codefendant, without more, fails to rise to the level of actual
prejudice. Clark, 717 F.3d at 818.
Santistevan’s argument is only slightly better. Had he been tried alone, he claims
that the first, second, and fourth Greeves assaults would not have been admitted against
him. He generally asserts that, because these three other acts were introduced into
evidence, he was not judged by his own actions, but by the actions of his codefendants.
Santistevan argues that the jury’s consideration of these other acts was particularly
damaging to him given their similarity to the charged offense.
9
The district court found that evidence of the offer of protection involving
Santistevan, Shaw, and Hix was also admissible as intrinsic evidence.
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But again, the spillover effect of damaging evidence presented against Shaw and
Pfeiffer did not deprive Santistevan of a fair trial. While two of the assaults on Greeves
may not have been admitted, evidence of the fourth assault could still have been
introduced in a separate trial as intrinsic evidence, and Greeves could still have testified
that Santistevan assaulted him on one occasion. (Notably, the district court believed that
this assault—the one involving the toothpaste and the pop can—was the most similar to
the crime charged.) And, of course, regardless of whether Santistevan was tried alone,
Hix would still have testified that Santistevan sexually assaulted him.
Even assuming (without granting) that the joint trial created a significant risk of
prejudice to either Pfeiffer or Santistevan, “the Supreme Court has recognized that, like
the decision to sever itself, tailoring of the relief to be granted, if any, [is left] to the
district court’s sound discretion.” United States v. Hutchinson, 573 F.3d 1011, 1026 (10th
Cir. 2009) (alteration in original) (quoting Zafiro, 506 U.S. at 539) (internal quotation
marks omitted). Importantly, in this case, the district court determined that both Pfeiffer
and Santistevan were entitled to limiting instructions to protect them from evidence of
their codefendants’ wrongdoing. In its final instructions, the court also instructed the jury
to separately consider the evidence against each Defendant and to return a separate
verdict for each. Limiting instructions of this variety are “ordinarily sufficient to cure
potential prejudice.” United States v. Hardwell, 80 F.3d 1471, 1487 (10th Cir. 1996).
While we can appreciate that distinguishing among the various assaults would require
some attention from the jurors, we presume that they followed the court’s cautionary
instructions and compartmentalized the evidence as to each of the defendants. See United
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States v. Williams, 897 F.2d 1034, 1037–38 (10th Cir. 1990) (presuming effectiveness of
cautionary instruction); see United States v. Pinto, 838 F.2d 426, 434 (10th Cir. 1988)
(providing special limiting instruction enables a jury to compartmentalize the evidence).
In conclusion, the district court appropriately weighed any prejudice to Pfeiffer
and Santistevan caused by a joint trial against the significant expense and inconvenience
of trying them separately. See United States v. Lane, 883 F.2d 1484, 1498 (10th Cir.
1989) (stating that “the trial judge should balance the prejudice to the defendant caused
by a joint trial against the expense and inconvenience of separate trials”). There was no
abuse of discretion, particularly given the preference for joint trials in this circuit and
others. See Zafiro, 506 U.S. at 537 (“There is a preference in the federal system for joint
trials of defendants who are indicted together.”); Zapata, 546 F.3d at 1191 (recognizing
that joint trials “promote efficiency and serve the interests of justice by avoiding the
scandal and inequity of inconsistent verdicts”).
C. Brady claim
Before sentencing, the government submitted a sentencing memorandum
containing a prosecutor’s characterization of the evidence that Pfeiffer now claims
revealed a violation of Brady v. Maryland, 373 U.S. 83 (1963). According to the
prosecutor’s characterization, Santistevan “whispered” to Hix that he was going to rape
him. Pfeiffer treats this as real evidence and not as a prosecutor’s characterization. He
believes the whisper is important because it suggests that no one heard Santistevan’s
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expressed intent—making it less likely that he knowingly aided and abetted in the sexual
assault.
“To establish a Brady violation, the defendant must prove that the prosecution
suppressed evidence, the evidence was favorable to the defense, and the evidence was
material.” United States v. Erickson, 561 F.3d 1150, 1163 (10th Cir. 2009). In this case,
we are not persuaded that the government’s single characterization of Santistevan’s threat
as a “whisper” constitutes evidence—let alone suppressed evidence. And, even if
Santistevan really did whisper his threat, that is hardly inconsistent with the evidence at
trial. Hix testified that Santistevan repeatedly “said” he was going to rape him. R. vol. 2,
at 227. He did not specify the volume at which Santistevan spoke, and Pfeiffer’s attorney
did not solicit this information on cross. In any event, we doubt Santistevan’s tone of
voice could ever be considered material to Pfeiffer’s case given the other evidence
presented. After all, Hix testified that Pfeiffer was there, holding him down on a bunk as
Santistevan rubbed toothpaste on Hix’s backside and then inserted his finger into Hix’s
anus. Whether or not Pfeiffer heard Santistevan utter his plans, Hix’s testimony is enough
to support an inference that Pfeiffer knew that a sexual assault was underway.
D. Cumulative error
Even when individual errors are harmless, their collective effect may require
reversal where “the defendant’s substantial rights were affected.” United States v. Wood,
207 F.3d 1222, 1237 (10th Cir. 2000). Santistevan argues that the district court’s
admission of other-act evidence and its denial of his motion to sever negatively affected
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his substantial rights so as to require reversal. As discussed, however, we do not believe
the district court erred at all, so there can be no claim of cumulative error under these
circumstances.
E. Sufficiency of the evidence
Santistevan generally asserts, without support, that the evidence presented at trial
was insufficient to support his conviction. In addressing a sufficiency challenge, this
court must “take the evidence—both direct and circumstantial, and reasonable inferences
drawn from that evidence—in the light most favorable to the government and ask only
whether a reasonable jury could find the defendant guilty beyond a reasonable doubt.”
United States v. Rufai, 732 F.3d 1175, 1188 (10th Cir. 2013) (internal quotation marks
omitted). We review the sufficiency of the evidence to support a conviction de novo. Id..
Here, we have little difficulty concluding that the evidence was sufficient to
support Santistevan’s conviction of aggravated sexual abuse in violation of 18 U.S.C.
§ 2241. A person is guilty under that statute if, while “in a Federal prison . . . [he]
knowingly causes another person to engage in a sexual act by using force against that
person . . . or attempts to do so.” 18 U.S.C. § 2241(a). The term sexual act includes “the
penetration, however slight, of the anal or genital opening of another by a hand or finger
or by any object, with an intent to abuse, humiliate, harass, degrade, or arouse or gratify
the sexual desire of any person.” 18 U.S.C. § 2246(2)(C).
Hix testified that Santistevan pushed him onto a bunk, pulled down his shorts, told
him that he was going to rape him, and then penetrated his anal opening with an object
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Hix believed to be Santistevan’s finger. While Santistevan was outside Hix’s direct line
of sight during the actual penetration, Hix testified that he saw Santistevan approach him
and push him towards Pfeiffer’s bunk. Hix testified that he saw Santistevan’s ponytail
dangling next to him when Santistevan told him that he was going to rape him. And Hix
testified that he saw Santistevan wiping his fingers after the assault, at which point
Santistevan warned Hix to follow his instructions from then on.
This testimony alone was enough to establish Santistevan’s guilt under the statute.
CONCLUSION
For the reasons stated, we reject the arguments on appeal. The judgment of the
district court is AFFIRMED as to all Appellants.
Entered for the Court
Gregory A. Phillips
Circuit Judge
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