RECOMMENDED FOR FULL-TEXT PUBLICATION
Pursuant to Sixth Circuit I.O.P. 32.1(b)
File Name: 15a0208p.06
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
_________________
UNITED STATES OF AMERICA, ┐
Plaintiff-Appellee, │
│
│ No. 14-6048
v. │
>
│
ANTHONY TAYLOR, │
Defendant-Appellant. │
┘
Appeal from the United States District Court
for the Western District of Tennessee at Jackson.
No. 1:13-cr-10041-1—J. Daniel Breen, Chief District Judge.
Argued: June 12, 2015
Decided and Filed: August 25, 2015
Before:KEITH and CLAY, Circuit Judges; MARBLEY, District Judge. *
_________________
COUNSEL
ARGUED: M. Dianne Smothers, FEDERAL PUBLIC DEFENDER’S OFFICE, Memphis,
Tennessee, for Appellant. Victor L. Ivy, UNITED STATES ATTORNEY’S OFFICE, Jackson,
Tennessee, for Appellee. ON BRIEF: M. Dianne Smothers, FEDERAL PUBLIC
DEFENDER’S OFFICE, Memphis, Tennessee, for Appellant. Victor L. Ivy, UNITED STATES
ATTORNEY’S OFFICE, Jackson, Tennessee, for Appellee.
_________________
OPINION
_________________
MARBLEY, District Judge. Defendant-Appellant, Anthony Taylor, appeals his
conviction and sentence of 262 months, following a jury trial for one count of possession of a
*
The Honorable Algenon L. Marbley, United States District Judge for the Southern District of Ohio, sitting
by designation.
1
No. 14-6048 United States v. Taylor Page 2
stolen firearm, in violation of 18 U.S.C. § 922(j), and one count of felon in possession of a
firearm, in violation of 18 U.S.C. § 922(g). Taylor argues that: (1) the district court erred in
giving a jury instruction for constructive possession of the firearm, in addition to an actual
possession instruction, because the only supported legal theory at trial was one of actual
possession; (2) there was insufficient evidence to convict Taylor of possession of a stolen
firearm, in violation of 18 U.S.C. § 922(j); and (3) the district court’s sentencing was
procedurally unreasonable because the court did not explicitly discuss on the record the
argument that a shorter sentence was warranted because the age at which Taylor would be
released would decrease his danger to the community.
Finally, Taylor requests, as a separate matter, that this Court hold his appeal in abeyance
pending a decision in Johnson v. United States, 135 S. Ct. 939 (2015), which, at the time in
which Taylor filed his appeal, was considering whether the residual clause in the Armed Career
Criminal Act of 1984, 18 U.S.C. §924(e)(2)(B)(ii) (“ACCA”), was unconstitutionally vague.
Taylor contends that his prior convictions which were counted as predicate offenses for the
purposes of his ACCA enhancement may no longer be predicate offenses if the Supreme Court
finds the residual clause is unconstitutionally vague. The Supreme Court has since determined
that the residual clause is unconstitutionally vague. Johnson v. United States, 135 S. Ct. 2551
(2015).
Since Taylor has not demonstrated that: (1) the district court abused its discretion in
giving a constructive possession jury instruction; (2) there was insufficient evidence to convict
him of possession of a stolen firearm; and (3) his sentence was procedurally unreasonable, this
Court AFFIRMS the district court’s decision. Additionally, the holding in Johnson that the
residual clause is unconstitutionally vague does not affect Taylor’s ACCA enhancement.
I. BACKGROUND
A. Factual Background
Bridget Hayden got into trouble with the law in Martin, Tennessee, and the Martin Police
Department brought her in for questioning. In exchange for dismissal of her charges, she agreed
to become a confidential informant to assist an investigator in conducting an undercover
No. 14-6048 United States v. Taylor Page 3
investigation into felons in possession of firearms. At the trial, Hayden testified that the
investigator asked her whether she knew of any firearms Taylor might have stolen or might have
for sale. Hayden knew Taylor because they had attended school together. Hayden contacted
Taylor, and she testified that he told her that he had two stolen pistols, as well as a shotgun. The
investigator and his team wired Hayden’s car with an audio transmitter, and she met with Taylor
to try to purchase the guns. She was given $130.00 in controlled funds.
The first attempt was unsuccessful. Taylor took Hayden to an abandoned house and told
her that the two pistols were behind it, but he returned to the car without the pistols, stating that
someone was watching him, and so he would return later. Taylor then told Hayden that the
shotgun was at Clyde’s. Clyde is Lee Smith’s nickname. Smith is Taylor’s very close family
friend, and a man with whom Taylor once lived.
Taylor and Hayden drove to Smith’s home. Taylor went into the house, but he returned
sometime later to Hayden’s car without the shotgun. The two parted, and met back up two hours
later, at which time they drove to Smith’s home again. Taylor told Hayden that he owed Smith
$30.00, so Hayden have him $30.00 of the controlled funds. Taylor entered Smith’s house, and
after approximately ten minutes, exited with the shotgun under his jacket, disassembled into two
pieces. Taylor got into Hayden’s vehicle and the two drove off.
Taylor pulled the disassembled shotgun out of his jacket and put it down between the
passenger seat and the car door. The police subsequently stopped Hayden’s vehicle and
apprehended Taylor. Officers reported they found the shotgun between the seat and the door
where Taylor had been sitting.
At the trial, Smith testified that when Taylor entered his home the second time that day,
he gave Smith the $30, stating the money was in repayment for his debt. Smith explained that he
told Taylor that he “would put [the money] up for him until the morning because he—I said—he
said, I owe you money, Unc. I said, I know you owe me money, but I don’t want your $30. I
said, take that $30 and put it over the TV and you get it in the morning.” Smith testified that
Taylor was welcome to anything in his home, but that he did not give Taylor permission to take
his shotgun that day.
No. 14-6048 United States v. Taylor Page 4
That evening, the police went to Smith’s home to question him about Taylor. The police
asked Smith where he kept his shotgun, and he told them in his bedroom, where it no longer was
located. They asked him if he saw Taylor take the shotgun, and Smith said no. He informed the
police that Taylor did not have permission to take the gun. Smith confirmed that Taylor had
been at his house, and that Taylor had given him $30 in repayment for a debt, which the police
found on the television set. At trial, Smith confirmed that the shotgun found with Taylor upon
his arrest was Smith’s.
B. Procedural Background
1. Jury Instruction
During the trial, the defense objected to the district court instructing the jury on
constructive possession of the firearm, arguing that the government had only presented evidence
of actual possession. The government retorted that the constructive possession instruction was
necessary because when Taylor was stopped, the gun was beside him in the vehicle, and not
actually on his physical person. The court’s initial response was to permit the constructive
possession instruction to stand because at the time of Taylor’s arrest “he did not physically have
possession of the firearm, it was sitting beside him . . . .” The defense then argued that insofar as
a requirement for constructive possession included “knowing you have the power to exercise
control over the gun,” the allegation that the gun had been stolen could not coexist with a theory
of constructive possession, because if the gun had been stolen, Taylor “never had the power to
exercise control over the gun.”
Finally, the defense argued that the district court should forgo a constructive possession
instruction under United States v. James, 819 F.2d 674 (6th Cir. 1987), which held it was
reversible error to include a constructive possession jury instruction when no evidence supported
that theory. The district court determined that James was distinguishable because in James there
was no question that the only kind of possession at issue was actual possession. Id. 289. The
district court further reasoned: “I’m certain that the defendant doesn’t intend to argue that he
wasn’t in possession of it, but if you did, or wanted to infer that, I think the jury could consider
constructive possession.”
No. 14-6048 United States v. Taylor Page 5
The district court noted that there was some question regarding whether James was still
good law, referencing United States v. Mari, 47 F.3d 782 (6th Cir. 1995). The district court
explained that Mari cited a Supreme Court case, U.S. v. Griffin, 502 U.S. 46 (1991), which held
that where a jury is instructed that a defendant may be found guilty on a factual theory that is not
supported by the evidence, and is charged with a factual theory that is so supported, and the only
claimed error is the lack of evidence to support the first theory, the error is harmless as a matter
of law. See Mari, 47 F.3d at 786. Accordingly, the district court permitted the constructive
possession instruction to be given to the jury.
2. Motion for Judgment of Acquittal
During trial, at the close of the government’s case in chief, which was also the close of all
evidence, the defense moved for a judgment of acquittal pursuant to Federal Rule of Criminal
Procedure 29. The defense argued that the evidence adduced did not show that Taylor possessed
the shotgun knowing it was stolen. The district court denied the motion.
3. Sentencing
The presentence report (“PSR”) found that Mr. Taylor qualified for armed career criminal
status based on four, prior violent felonies1 within the meaning of the Armed Career Criminal
Act, 18 U.S.C. § 924(e) (“ACCA”). Consequently, his total offense level was 34. His criminal
history category was VI. With a total offense level of 34 and a criminal history category of VI,
the Guidelines’ imprisonment range was 262 to 327 months.
Taylor’s Position Paper in response to the PSR did not raise the age-recidivism objection
at issue. Instead, in the Position Paper, Taylor maintained his contention at trial that he did not
steal or possess the firearm in question, objected to sentencing enhancements pursuant to the
ACCA, and included mitigating personal characteristics such as blindness in one eye, little
education, and learning disabilities. The Position Paper also included a request that Taylor be
placed in a medical facility.
1
The PSR includes the following four, prior convictions for violent felonies which qualify Taylor for his
status as an armed career criminal under the ACCA: 1987 conviction for armed third degree burglary in Tennessee,
1992 conviction for robbery in Tennessee, 1996 conviction for robbery in Tennessee, and 2002 conviction for
burglary in the first degree in Kentucky.
No. 14-6048 United States v. Taylor Page 6
Defense raised the age-recidivism objection at the beginning of the sentencing hearing in
support of its request for the statutory minimum sentence of 180 months:
We are asking Your Honor to vary somewhat, most specifically in light of his
multiple serious medical situations. He has one eye. He has lost the vision in his
other eye as a small child because of an assault that an adult committed on him.
He has other serious medical problems . . . because of his age, the other problems
he has, but most specifically his eye, I think he’s more at risk of an injury or of a
permanent disabling situation. . . . We’re asking your Honor to sentence him to
the statutory minimum of 180 months. We understand the guidelines put him
above that, simply by virtue of having proceeded to trial…However, it’s our
position that a sentence of 180 months for someone in Mr. Taylor’s age, his
medical condition. Your honor sees his criminal history there. It’s not the best
history. He does have a fairly extensive criminal history. But nevertheless, the
age at which he would return to the community would be such that I think the
danger to the community would be satisfied by a sentence of 180 months . . .
I think it would adequately protect the community. . . . We’re also asking Your
Honor to recommend a placement facility . . . And I know the history is there; we
have to deal with it. But it’s a significant sentence in any court and for any
defendant, certainly someone of his age.
The government responded that the sentence was warranted because of Taylor’s
significant criminal history.
Thereafter, most of the hearing was consumed with defense counsel’s arguments relating
to whether Taylor’s prior convictions qualified him as an armed career criminal. At the
conclusion of arguments, the district court reiterated all of Taylor’s objections, including the
objections to the gun having been stolen, and objections to an upward variance under the ACCA,
and ruled on those objections. The district court then asked defense counsel if she had other
objections that the court may have “overlooked.” She replied, “No, sir, Your Honor. Just our
request, obviously, for placement.” Likewise, the court asked counsel for the government if he
had anything else to add, at which time he reminded the court that the jury found Taylor guilty of
possessing a stolen firearm, which should enhance the Guidelines range. The court then gave the
defense another opportunity to speak, stating, “Was there anything else, Ms. Smothers,” to which
she responded, “no.”
At that point, the court went through the Guidelines, and determined that the advisory
range for the defendant, based on his past convictions and convictions in this case, would be
No. 14-6048 United States v. Taylor Page 7
between 262 and 327 months. Then, the court considered the nature and circumstances of the
offense, as well as the history and characteristics of the defendant, pursuant to 18 U.S.C.
§ 3553(a). First, the court considered the nature of the offense, finding that it was:
[a] serious matter on a couple of levels. One being that Mr. Taylor was, as a
convicted felon, on several occasions in possession of a firearm. And, secondly,
that it was in his possession by reason of a robbery or burglary. And, obviously,
Congress has seen fit to prohibit felons from possessing firearms. Which is
evidence in this case, based upon Mr. Taylor’s previous record, many of which
had been violent activity in possession of a firearm. And doubly so because it
was as a result of a robbery or burglary.
Next, the district court considered Taylor’s personal characteristics, noting his abuse as a
child, borderline mental retardation, blindness in one eye, and his other medical issues. The
district court stressed, however, that it had to “consider a sentence that would reflect the
seriousness of this offense” in order to promote respect of the law, and provide punishment for
the offense. Further, the district court found it had to consider a sentence “to act as a deterrent
effect. To send a message to Mr. Taylor, as well as others, that this conduct is to be avoided.”
Further, the district court considered that the sentence must “protect the public from further
crimes of the defendant. Because of Mr. Taylor’s extensive criminal history, the court believes
that a sentence that would be commensurate with that history should be imposed.” Thus, the
court found a sentence within the advisory guidelines range was appropriate, and sentenced
Taylor to 262 months, at the lowest end of the Guidelines, as enhanced by the ACCA.
When the court asked the Bostic question, “any other objections as far as sentencing, or
any other matters I failed to address on behalf of the defendant,” defense counsel replied, “No.
Just housekeeping. We just reiterate our earlier objections.”
III. DISCUSSION
Taylor raises three arguments on appeal: (1) the district court abused its discretion in
giving a jury instruction for constructive possession, in addition to actual possession, when only
actual possession had been established; (2) there was insufficient evidence to convict him of
possession of a stolen firearm in violation of 18 U.S.C. § 922(j); and, (3) his sentence is
procedurally unreasonable because the district court failed explicitly to address his argument that
the community’s safety interests would be served by his release at age 60. In addition, Taylor
No. 14-6048 United States v. Taylor Page 8
asks this Court to consider holding his appeal in abeyance pending the Supreme Court’s decision
in Johnson v. United States, 135 S. Ct. 939 (2015), where the parties have been ordered to
provide supplemental briefing on whether the ACCA’s residual clause is unconstitutionally
vague. The Supreme Court has since ruled on the issue, holding that the residual clause is
unconstitutionally vague. Johnson v. United States, 135 S. Ct. 2551 (2015).
A. Constructive Possession Jury Instruction
1. Standard of Review
We review a district court’s choice of jury instructions for abuse of discretion. United
States v. Ross, 502 F.3d 521, 527 (6th Cir. 2007). We may reverse a judgment based on
improper jury instructions “only if the instructions, viewed as a whole, were confusing,
misleading, or prejudicial.” United States v. Svoboda, 633 F.3d 479, 483 (6th Cir. 2011). In
reviewing the instructions, we consider whether they “adequately informed the jury of the
relevant considerations and provided a basis in law for aiding the jury in reaching its decision.”
Id.
2. Analysis
Taylor argues that the district court erred in giving the jury an instruction for constructive
possession of the shotgun because the only type of possession that the evidence supported was
actual possession of the shotgun.
It is well established that boilerplate instructions “should not be used without careful
consideration being given to their applicability to the facts and theories of the specific case being
tried.” United States v. Hughes, 134 F. App’x 72, 76-77 (6th Cir. 2005) (quoting United States v.
Wolak, 923 F.2d 1193, 1198 (6th Cir. 1991)). Throughout trial, the government’s witnesses
testified that Taylor actually possessed Smith’s shotgun. At the end of trial, however, the district
court determined that a constructive possession instruction should be given, in addition to an
actual possession instruction, due to testimony showing that when the officers apprehended
Taylor in Hayden’s car, the shotgun was not on Taylor’s physical person, but was found, instead,
at arm’s length on the floorboards between his seat and the door of the vehicle. Neither party
contests that there is no other evidence to suggest that at any time when Taylor did not physically
No. 14-6048 United States v. Taylor Page 9
possess the shotgun, or have it directly next to him in the car, he had constructive possession of
the shotgun. Further, no evidence exists on the record of Taylor possessing, either constructively
or actually, a firearm other than Smith’s shotgun.
The district court’s determination that such facts warranted a constructive possession
instruction, therefore, was in error. As explained in United States v. Gardner, “[c]onstructive
possession exists when a person does not have possession but instead knowingly has the power
and the intention at a given time to exercise dominion and control over an object, either directly
or through others.” 488 F.3d 700, 713 (6th Cir. 2007). In contrast, actual possession exists
“where the defendant has physical contact with a firearm-e.g., he holds it, holsters it, or keeps it
in a place where it is immediately accessible.” Id. Thus, when Taylor put down his shotgun on
the floor board next to him, but the shotgun was immediately accessible to him, the gun was still
in Taylor’s actual possession, not his constructive possession, within the legal meaning of that
term.
Accordingly, the district court should not have instructed the jury on constructive
possession; the court’s error, however, does not require reversal of an otherwise valid conviction.
See Griffin v. United States, 502 U.S. at 60 (holding that refusal to remove an insufficiently
supported theory from the jury’s consideration does not provide an independent basis for
reversing an otherwise valid conviction). “Where one of two grounds for conviction is
unsupported by the evidence and sufficient evidence supports the other ground for conviction, an
error claimed as to the unsupported charge is harmless as a matter of law.” Hughes, 134 F.
App’x at 77 (citing United States v. Mari, 47 F.3d 782, 786 (6th Cir. 1995)). Further, courts can
assume that jurors are able to analyze the evidence and discard factually inadequate theories.
Mari, 47 F.3d at 786.
Taylor argues that the rule in Mari and Griffin applies only where there is an absence of
anything in the record to support the constructive possession theory. In contrast, in this case,
Taylor avers that the jury could have found him guilty based on the inadequate legal theory of
constructive possession because he momentarily laid the shotgun on the floorboards between his
seat and the door of the vehicle during the traffic stop. Contrary to Taylor’s assertion, however,
this is a case to which the rule in Mari perfectly applies because the only evidence which could
No. 14-6048 United States v. Taylor Page 10
have been construed to support a constructive possession theory, in reality, supported an actual
possession theory.
Thus, this case is analogous to Smith, Hughes, and Bowman, where this Court found that
giving an unwarranted constructive possession instruction, in addition to a supported actual
possession instruction, amounted only to harmless error where facts in evidence could not have
led the jury to discard an actual possession theory while instead returning an unsupported
conviction for constructive possession. See United States v. Smith, 419 F. App’x 619, 620-22
(6th Cir. 2011) (finding harmless error in giving a constructive possession jury instruction
because: the government’s only theory was that the defendant actually possessed a gun upon
arrest; the defendant’s theory was that the police returned to his home after his arrest and found a
gun there that did not belong to him; and, the defendant’s theory, which was the basis of the
constructive possession jury instruction, did not support a theory of constructive possession, but
only that the gun did not belong to the defendant); Hughes, 134 F. App’x. at 76-77 (finding
harmless error in giving a constructive possession instruction where: no record evidence
supported a theory of constructive possession; both parties agreed defendant actually possessed
ammunition; no evidence suggested that at any time when the defendant did not possess
ammunition, she had effective control of it; and, the district court only wrongfully gave
constructive possession instruction because there was testimony that the ammunition in the
defendant’s actual possession really belonged to someone else); United States v. Bowman, 126 F.
App’x 251, 254-55 (6th Cir. 2005) (finding constructive possession instruction was harmless
error because: neither the defendant nor the government suggested that the defendant had
constructive possession of the gun police found on the ground; the officer testified that he saw
the defendant, while running from police, throw a gun on the ground; and, although the
defendant admitted he owned a gun, the prosecutor never argued that the defendant should be
convicted for possession of a gun other than the one found on the ground that the officer saw the
defendant discard).
As stated, supra, the only possible evidence on the record which could have been
construed to support a jury instruction for constructive possession was that when the police
apprehended Taylor, the shotgun was on the floor next to him, and not on his physical person;
No. 14-6048 United States v. Taylor Page 11
such facts do not, however, warrant a constructive possession instruction, but, instead, constitute
evidence supporting an actual possession instruction. Thus, there is no question that the only
evidence offered at trial was of actual possession, and this Court can assume that the jury
convicted Taylor only on a theory of actual possession, regardless of the instructions given.
See Hughes, 134 F. App’x. at 77; Smith, 419 F. App’x at 620-22; Bowman, 126 F. App’x at 254-
55. Accordingly, the district court’s constructive possession instruction was harmless as a matter
of law.
Finally, Taylor argues harmless error should not apply in this case because it gives an
incentive to district courts to be over-inclusive with jury instructions regardless of the theory of
possession presented, which hampers the incentive for careful consideration of the facts and
theories of the specific case being tried. Such an argument is inappropriate in the case
sub judice, where the district court showed a reasoned consideration of facts which it believed
supported a constructive possession instruction. In light of the minute-to-minute legal
determinations that a district court must make during a jury trial, it cannot be said that the district
court’s harmless legal error was a result of lackadaisical consideration of the facts of the case.
B. Sufficiency of the Evidence
1. Standard
We review Taylor’s motion for judgment of acquittal de novo. United States v. Kone,
307 F.3d 430, 433 (6th Cir. 2002) (citing United States v. Keeton, 101 F.3d 48, 52 (6th Cir.
1996)). Evidence is sufficient to support a conviction if “after viewing the evidence in the light
most favorable to the prosecution, any rational trier of fact could have found the essential
elements of the crime beyond a reasonable doubt.” United States v. Grubbs, 506 F.3d 434, 438
(6th Cir. 2007) (citing United States v. Blakeney, 942 F.2d 1001, 1010 (6th Cir. 1991)). “[W]e
will reverse a judgment for insufficiency of evidence only if, viewing the record as a whole, the
judgment is not supported by substantial and competent evidence.” Id. (citation omitted). While
“we do not weigh the evidence” or “assess the credibility of the witnesses,” our “power of
review in these cases is not toothless.” Id. at 439. Substantial evidence is “more than a scintilla.
It means such relevant evidence as a reasonable mind might accept to support a conclusion. It is
No. 14-6048 United States v. Taylor Page 12
evidence affording a substantial basis of fact from which the fact in issue can be reasonably
inferred.” Id. (citing United States v. Martin, 375 F.2d 956, 957 (6th Cir. 1967)).
2. Analysis
Taylor contends that no rational trier of fact could have found him guilty of being in
possession of a stolen firearm. The elements required to establish the receipt or possession of a
stolen firearm under 18 U.S.C. § 922(j) are: “1) the receipt or possession of stolen firearms;
2) which moved or were shipped in interstate commerce before or after being stolen; and
3) knowledge or reasonable cause to believe that they were stolen.” United States v. Roalin,
62 F. App’x 594, 595 (6th Cir. 2003). Taylor argues that the evidence adduced at trial showed
that he did not steal Smith’s shotgun, but, instead, acted as a broker in the sale of his gun to
Hayden. Accordingly, Taylor argues there is insufficient evidence to show he possessed a stolen
gun, or that he had knowledge or any reasonable cause to believe the firearm was stolen.
Taylor asserts that the facts adduced at trial establish only that he took Hayden to Smith’s
home to retrieve a shotgun that he sold to her for a down payment of $30.00; that he owed Smith
$30.00; that he went into the house for ten minutes and returned to Hayden’s vehicle with a
shotgun; and that Taylor gave Smith the $30.00 when he entered the house, which was on top of
the television set when the police entered the home the next morning. Taylor contends that
Smith only reported his gun was missing after three police officers questioned him at his home
regarding the whereabouts of his gun. Taylor speculates that the more likely story is that Smith
panicked when the officers arrived at his house and questioned him about his gun because he
likely thought he might be in trouble for using Taylor to broker the sale of his gun. Finally,
Taylor argues that the fact that the $30.00 was on the television shows Taylor paid Smith for the
shotgun.
The following evidence demonstrates that the district court did not err when it denied
Taylor’s motion for judgment of acquittal: Smith’s testimony that he always maintained his
shotgun in his closet, and that it was missing on the evening the police came to question him;
Smith’s testimony that the shotgun found in Hayden’s car when the police apprehended Taylor
was the same shotgun that Smith testified was missing from his home; Smith’s testimony that
No. 14-6048 United States v. Taylor Page 13
Taylor had given him the $30.00 in repayment for a $30.00 debt; and, Smith’s testimony that he
did not see Taylor take the gun, and that Taylor did not have permission to take his shotgun.
Taylor did not testify at trial. Additionally, it is uncontroverted that Hayden did not go
inside Smith’s home, so she could not have known if Taylor bought or stole the gun. Thus, in
order to find Taylor guilty of possession of a stolen firearm, the jury only could have relied on
Smith’s testimony that he had not consented to sell his gun via Taylor, that he had received the
$30.00 from Taylor reluctantly in payment of a debt, and not in exchange for the shotgun, and
that Taylor took his gun without his permission. In sum, Taylor’s argument can be reduced to an
attack on Smith’s credibility as a witness. Attacks on witness credibility, however, “are simple
challenges to the quality of the government’s evidence and not the sufficiency of the evidence.”
United States v. Gibbs, 182 F.3d 408, 424 (6th Cir. 1999). As the Gibbs court concluded,
“[a]lthough testimony from one eyewitness is spare, the quality of the evidence is a factual
matter for the jury to evaluate.” Id. Although the government’s case ultimately depended on a
single witness’ testimony, the jury was within its right to evaluate and credit Smith’s testimony
that Taylor stole his gun.
In light of the foregoing, when viewing the evidence in the light most favorable to the
government, this Court finds that any rational trier of fact could have found the essential
elements of the crime beyond a reasonable doubt. See Grubbs, 506 F.3d at 438.
C. Reasonableness of Taylor’s Sentence
1. Standard of Review
Post-United States v. Booker, 543 U.S. 220 (2005), this Court reviews a district court’s
sentencing determination under a deferential abuse-of-discretion standard for reasonableness.
United States v. Bolds, 511 F.3d 568, 578 (6th Cir. 2007) (quoting Gall v. United States,
552 U.S. 38, 41 (2007)). “Sentences in criminal cases are reviewed for both procedural and
substantive reasonableness.” United States v. Morgan, 687 F.3d 688, 693 (6th Cir. 2012) (citing
Gall, 552 U.S. at 51). Taylor challenges only the procedural reasonableness of his sentence.
The determination of which standard of review applies to a defendant’s challenge to the
procedural reasonableness of a sentence depends on whether the defendant preserved that
No. 14-6048 United States v. Taylor Page 14
challenge for appeal by making a clear objection. United States v. Richards, 593 F. App’x 500,
503 (6th Cir. 2014). The court reviews preserved procedural-reasonableness claims for abuse of
discretion. Id. Pursuant to United States v. Bostic, 371 F.3d 865, 872 (6th Cir. 2004), where a
party has failed to object to a procedural defect at sentencing, including a procedural defect in
the district court’s § 3553 analysis, we review claims of procedural unreasonableness for plain
error. United States v. Wallace, 597 F.3d 794, 802 (6th Cir. 2010) (citing United States v.
Vonner, 516 F.3d 382, 385-86 (6th Cir. 2008) (en banc)). Under Bostic:
a district court must “ask the parties whether they have any objections to the
sentence ... that have not previously been raised.” Id. The purpose of the Bostic
question is twofold: to allow parties a chance to raise objections not previously
raised, United States v. Freeman, 640 F.3d 180, 186 (6th Cir.2011), and,
critically, to allow the district court an opportunity to address and “correct[ ] any
error ... on the spot.” Bostic, 371 F.3d at 873. Accordingly, in general,
defendants can preserve challenges to the procedural reasonableness of their
sentence when: (1) the district court addresses a procedural-reasonableness claim
the defendant raised prior to asking the Bostic question; or (2) the district court
addresses a procedural-reasonableness claim after asking the Bostic question—in
this scenario, the claim could be one raised for the first time after the district court
asks the Bostic question, or it could be a previously developed claim that the
district court failed to address prior to asking the Bostic question. See United
States v. Vonner, 516 F.3d 382, 385–86 (6th Cir.2008) (en banc); United States v.
Simmons, 587 F.3d 348, 354–55 (6th Cir.2009). When determining whether a
party has adequately preserved a claim for appeal, this court examines the record
“with an eye to the realities of the facts and circumstances of each sentencing
proceeding.” United States v. Morgan, 687 F.3d 688, 694 (6th Cir.2012) (internal
citation and quotation marks omitted).
Richards, 593 F. App’x at 503. In contrast, “[u]nlike with a procedural-reasonableness claim, a
defendant is not required to preserve a substantive-reasonableness claim for appellate review. . . .
Accordingly, all challenges to the substantive reasonableness of a sentence are reviewed for
abuse of discretion.” Id. at 504 (citations omitted).
The government argues plain error applies because Taylor did not object to the district
court’s failure to address his age-recidivism mitigation argument at the close of the sentencing
hearing. Taylor responds that under the rationale in Bostic, he was not required to reiterate his
age-recidivism argument at the close of the sentencing hearing in order to avoid plain error
review. See United States v. Freeman, 640 F.3d 180, 186 (6th Cir. 2011) (finding “the purpose
No. 14-6048 United States v. Taylor Page 15
of the Bostic question is to allow the parties to raise objections ‘that have not previously been
raised,’” not to give parties an opportunity to renew their previously raised objections).
Taylor is correct, in part, that Bostic does not require a defendant to reiterate a procedural
objection, previously raised, to preserve it for appeal under abuse-of-discretion review; nor does
the law require a defendant to raise a substantive objection at all to receive abuse-of-discretion
review on appeal. Under Vonner, however, the law is well-settled that a defendant’s failure to
object to the adequacy of a district court’s explanation for rejecting some of his requests for
leniency previously raised—“an issue that became apparent as soon as the court finished
announcing its proposed sentence”—triggers plain error review under Bostic. Vonner, 516 F.3d
at 386. In this case, Taylor argues that the district court committed a procedural error by failing
to address explicitly his previously raised age-recidivism argument during sentencing. The
district judge, however, inquired after sentencing as to whether Taylor had any “any other
objections as far as sentencing, or any other matters I failed to address on behalf of the
defendant,” and Taylor did not respond with any new objections not previously raised regarding
procedural defects in the district court’s sentencing decision stated a few moments before. Thus,
Taylor’s challenge to the procedural reasonableness of the district court’s sentencing decision is
subject to plain error review.
To demonstrate plain error, a defendant must show: “(1) error (2) that was obvious or
clear, (3) that affected defendant’s substantial rights and (4) that affected the fairness, integrity,
or public reputation of the judicial proceedings.” Wallace, 597 at 802 (citing Vonner, 516 F.3d
at 386).
2. Analysis
Taylor argues that the district court’s sentence was procedurally unreasonable because
the sentencing record shows that the court did not discuss explicitly Taylor’s mitigation
argument that his advanced age upon his release would be sufficient to protect the public from
any further crimes, thus weighing in favor of a downward departure.
At the highest level, procedural reasonableness requires that a district court “properly
calculate the guidelines range, treat the guidelines as advisory, consider the § 3553(a) factors and
No. 14-6048 United States v. Taylor Page 16
adequately explain the chosen sentence—including an explanation for any variance from the
guidelines range.” United States v. Presley, 547 F.3d 625, 629 (6th Cir. 2008) (quotation marks
omitted). In order for a district court’s sentencing determination to be procedurally reasonable, a
“‘sentencing judge should set forth enough to satisfy the appellate court that he has considered
the parties’ arguments and has a reasoned basis for exercising his own legal decisionmaking
authority.’” United States v. Gapinski, 561 F.3d 467, 474 (6th Cir. 2009) (quoting Rita v. United
States, 551 U.S. 338, 127 S.Ct. 2456, 2468, 168 L.Ed.2d 203 (2007)); see also Vonner, 516 F.3d
at 387 (the question regarding procedural reasonableness in each case “is whether ‘[t]he record
makes clear that the sentencing judge listened to each argument,’ ‘considered the supporting
evidence,’ was ‘fully aware’ of the defendant’s circumstances and took ‘them into account’ in
sentencing him”) (quoting Rita, 127 S.Ct. at 2469, 127 S.Ct. 2456) (alteration in original);
Wallace, 597 F.3d at 804. While, on the one hand, the district court is not required to “give the
reasons for rejecting any and all arguments [made] by the parties for alternative sentences,”
Vonner, 516 F.3d at 387, on the other hand, when a defendant raises a “non-frivolous argument
in seeking a lower sentence, the record must reflect both that the district judge considered the
defendant’s argument and that the judge explained the basis for rejecting it.” Gapinski, 561 F.3d
at 474 (quoting United States v. Lalonde, 509 F.3d 750, 770 (6th Cir. 2007) (internal quotation
marks omitted)); see also Rita, 127 S.Ct. at 2467, 127 S.Ct. 2456; United States v. Peters,
512 F.3d 787, 789 (6th Cir. 2008) (“When the defendant or prosecutor ‘presents nonfrivolous
reasons for imposing a different sentence,’ . . . a sentencing judge should address the ‘parties’
arguments’ and ‘explain why he has rejected those arguments.’”). Further, the Supreme Court in
Rita suggested that “[w]hen a judge decides simply to apply the Guidelines to a particular case,
doing so will not necessarily require lengthy explanation…” Vonner, 516 F.3d at 387 (citing
Rita, 127 S.Ct. at 2468).
While the district court judge in this case did not make even a cursory mention of
Taylor’s age-recidivism argument, this Court cannot conclude that the sentencing was
procedurally unreasonable. Taylor did not raise the objection with a sufficient degree of
specificity under the circumstances to apprise the court of the true basis for his objection. Bostic,
371 F.3d at 871 (a party “must ‘object with that reasonable degree of specificity which would
have adequately apprised the trial court of the true basis for his objection’”) (quoting United
No. 14-6048 United States v. Taylor Page 17
States v. LeBlanc, 612 F.2d 1012, 1014 (6th Cir.)); see also Fed.R.Crim.P. 51(b). As explained
in Bostic, “[a] specific objection provides the district court with an opportunity to address the
error in the first instance and allows this court to engage in more meaningful review.” Id.
The one and only time Taylor raised his age-recidivism argument, it was in a fleeting
manner, and buried within a series of interrelated objections concerning his personal
characteristics, including his age, disabilities, and request for placement in a medical facility. In
the briefs before this Court, Taylor fleshes out policy and legal arguments concerning the
correlation between increased age and lower recidivism rates, including citation to academic and
statistical findings; such supporting legal and policy rationales, however, were not before the
district court. While an argument for leniency based on lower recidivism rates for older prior
offenders certainly is not frivolous, see Payton v. United States, 754 F.3d 375, 377 (6th Cir.
2014), neither is it so well established in our jurisprudence that it can be said with certainty that a
brief reference to it, without any supporting argument, would adequately apprise the court of its
import. Further, of some consideration is the fact that Taylor’s written objections to the PSR did
not raise the age-recidivism objection. This is not to say that placing an objection in a response
to a PSR is necessary in order to make an objection with a reasonable degree of specificity. In
this case, however, in combination with the fleeting and inexplicit nature of the comment at the
sentencing hearing, it provides support for the conclusion that such an objection was not stated
with a reasonable degree of specificity to put the district court on notice of it. We must
conclude, in sum, that the objection as raised did not apprise the court of its responsibility to
resolve it explicitly within the sentencing hearing.
Although the district court did not refer to Taylor’s age-recidivism argument explicitly
when it denied a downward departure, the district court did consider Taylor’s personal
characteristics, and set forth a sufficient explanation for Taylor’s within-Guidelines sentence. In
weighing Taylor’s personal characteristics against other §3553(a) factors, the district court found
that the other factors weighed against deviating below the minimum Guidelines range, including:
the seriousness of Taylor’s crime, his criminal history, protection of the community, and the
deterrent effect of the sentence both on Taylor, as well as on others. Taylor’s age-recidivism
argument is, essentially, that the community’s interest in safety, a factor to be considered under
No. 14-6048 United States v. Taylor Page 18
§ 3553(a), still would be served by a below-Guidelines sentence because he is less likely to
offend as he ages. The transcript shows implicitly, though not explicitly, however, that the
district court concluded that the community’s interest in safety and deterrence would not be
served by granting Taylor a shorter sentence. While the Supreme Court and this Court
“encourage[] district court judges to give ‘reasoned’ explanation for all sentencing decisions
. . . ‘[t]he law leaves much, in this respect, to the judge’s own professional judgment.’” Vonner,
516 F.3d at 387 (citing Rita, 127 S.Ct. at 2468). In this case, the court provided a reasoned
explanation for its sentence.
This is not to say that Taylor’s age-recidivism argument would be frivolous under
different circumstances. On the contrary, this decision does not undermine the continuous
vitality and validity of Payton v. USA, where this Court found that it was procedurally
unreasonable for the district court to fail to address on the record its consideration of the
defendant’s age-recidivism argument in favor of a shorter sentence. 754 F.3d at 377. The
Payton court concluded that statistical evidence2 showing a decline in recidivism with age
required “the sentencing judge to explain carefully why a criminal defendant like Payton remains
likely to engage in violent robberies between the age of seventy and ninety.” Id. at 379.
Accordingly, the Payton Court held that a complete failure to provide any rationale as to why the
district court rejected such an argument warranted a remand. Id. Thus, as with any non-
2
The Payton Court included the following statistical and scientific evidence in its decision:
The Sentencing Commission has observed that “[r]ecidivism rates decline relatively consistently
as age increases.”1 Recent analysis from the Bureau of Justice Statistics considering the recidivism
rates of released prisoners in 30 states (including Michigan) from 2005 to 2010 supported the
Commission’s conclusion, finding decreased recidivism rates as prisoners age.2 These statistics
suggest that past fifty years old there is a significantly lower rate of recidivism.3 Both the
Guidelines and our Circuit’s cases explicitly acknowledge that a defendant’s age, and specifically
old age, is a relevant consideration in sentencing. U.S.S.G. § 5H1.1; United States v. Berry,
565 F.3d 332, 341 (6th Cir.2009); United States v. Davis, 537 F.3d 611, 616–17 (6th Cir.2008).
And observers of the criminal justice system have long acknowledged the “key” argument “that
elderly offenders pose so low a risk to the public that long or otherwise harsh sentences have little
to no utilitarian benefit.”4 Indeed, they observe that “because of health or other reasons, elderly
offenders have the lowest rate of recidivism of all types of offenders; in fact, only about one
percent of elderly offenders ever face a second conviction.” Id. Studies indicate that
neurotransmitters affecting aggression supplied at the synapses of brain neurons vary based on
age, and may explain the observed decline in recidivism among older prisoners.
Id. at 378-79.
No. 14-6048 United States v. Taylor Page 19
frivolous mitigation argument, a district court is under an obligation to articulate its rationale for
accepting or rejecting an age-recidivism argument in favor of a lower sentence.
Under the circumstances of this case, however, we hold that the sentencing procedure
was not unreasonable, and thus the district court did not commit plain error by failing to discuss
explicitly Taylor’s statement that he would pose a lesser threat to the community at age 60.
D. Request to Hold the Appeal in Abeyance
In his reply brief and a letter submitted to this Court on April 10, 2015, Taylor urged this
Court to hold his appeal in abeyance in light of the Supreme Court’s February 18, 2015 request
in Johnson v. United States, 135 S. Ct. 939 (2015) for parties to file supplemental briefs
addressing the following question: “Whether the residual clause in the Armed Career Criminal
Act of 1984, 18 U.S.C. §924(e)(2)(B)(ii),3 is unconstitutionally vague.” On June 26, 2015, after
the completion of oral arguments in this case, the Supreme Court issued an opinion in Johnson,
holding that the residual clause is unconstitutionally vague, and, thus, that imposing an increased
sentence under the residual clause violates the Constitution’s guarantee of due process. Johnson
v. United States, 135 S. Ct. 2551 (2015). The Supreme Court’s decision, however, did “not call
into question application of the [ACCA] to the four enumerated offenses [preceding the residual
clause], or the remainder of the Act’s definition of a violent felony.” Id. at 2563.
Taylor submits that his two prior convictions for simple robbery in Tennessee, and his
conviction for pre-1989 third degree burglary in Tennessee, have been found by this Court to be
3
“Under the ACCA, a defendant who violates 18 U.S.C. § 922(g) and has three prior convictions for
serious drug offenses or violent felonies must receive a fifteen-year mandatory minimum sentence.” United States v.
Johnson, 707 F.3d 655, 658 (6th Cir.2013) (citing 18 U.S.C. § 924(e)(1)). The ACCA defines “violent felony” as:
any crime punishable by imprisonment for a term exceeding one year, or any act of juvenile
delinquency involving the use or carrying of a firearm, knife, or destructive device that would be
punishable by imprisonment for such term if committed by an adult, that—
(i) has as an element the use, attempted use, or threatened use of physical force against the person
of another; or
(ii) is burglary, arson, or extortion, involves use of explosives, or otherwise involves conduct that
presents a serious potential risk of physical injury to another[.]
18 U.S.C. § 924(e)(2)(B) (emphasis added). We refer to § 924(e)(2)(B)(i) as the “use of physical force” clause and
the italicized portion of § 924(e)(2)(B)(ii) following the enumerated offenses as the “residual clause.” See United
States v. Mitchell, 743 F.3d 1054, 1058 (6th Cir.) cert. denied, 135 S. Ct. 158, 190 L. Ed. 2d 115 (2014).
No. 14-6048 United States v. Taylor Page 20
ACCA predicate offenses under the residual clause.4 Thus, he argued that the then-pending
Supreme Court decision in Johnson v. United States gave this Court good reason to hold his
appeal in abeyance. Now that the Supreme Court has indeed found the residual clause to be
unconstitutionally vague, we must consider what effect, if any, that change in the law has on
Taylor’s upward enhancement pursuant to the ACCA.
Taylor did not raise on direct appeal any objections to his classification as an armed
career criminal under the ACCA. He did, however, raise some objections to his classification as
an armed career criminal in its Position Paper in response to the PSR. Specifically, Taylor
objected to the application of his two Tennessee simple robbery convictions as qualifying
convictions for ACCA purposes, arguing that the Tennessee statute was non-generic, overly
broad, and indivisible, in that it could be violated simply by placing a person in fear, which
might not necessarily entail violence.5 As Taylor acknowledged, this argument has been
foreclosed by this Court in United States v. Mitchell, which is why he did not raise it on appeal.
743 F.3d 1054 (6th Cir.) cert. denied, 135 S. Ct. 158, 190 L. Ed. 2d 115 (2014). Further, Taylor
states that he never raised the argument that the ACCA’s residual clause was void for vagueness,
and thus could not form the basis for a finding that Tennessee simple robbery is a violent felony
under the ACCA, because that argument was foreclosed in United States v. Taylor, 696 F.3d 628,
633 (6th Cir. 2012). He argues, now, that a holding in Johnson finding the residual clause
unconstitutionally vague might entail that Tennessee simple robbery no longer qualifies as a
predicate offense under the ACCA. We conclude that even though the Supreme Court struck
down the residual clause, our holding in Mitchell stands.
4
The PSR includes the following four, prior convictions for violent felonies which warrant Taylor’s status
as an Armed Career Criminal: The PSR includes the following four, prior convictions for violent felonies which
qualify Taylor for his status as an armed career criminal under the ACCA: 1987 conviction for armed third degree
burglary in Tennessee, 1992 conviction for robbery in Tennessee, 1996 conviction for robbery in Tennessee, and
2002 conviction for burglary in the first degree in Kentucky. In Taylor’s reply brief, he argues that his two prior
convictions for simply robbery in Tennessee are not crimes of violence. In his objections to the PSR, he argues that
one conviction for simple robbery in Tennessee, and one conviction for first degree burglary in Kentucky, are not
crimes of violence. Then, in a letter submitted pursuant to FRAP 28(j), he states that his sentence should not have
been enhanced under the ACCA based upon convictions for simply robbery under Tennessee law and Tennessee’s
third degree robbery statute in 1982. This Court will address all four convictions.
5
“In 1988, Tennessee law defined robbery as ‘the felonious and forcible taking from the person of another,
goods or money of any value, by violence or putting the person in fear.’ Tenn. Code Ann. § 39–2–501(a) (1982)
(repealed). The version in effect in 2003 differed only slightly, defining robbery as the ‘intentional or knowing theft
of property from the person of another by violence or putting the person in fear.’ Tenn. Code Ann. § 39–13–401.”
Mitchell, 743 F.3d at 1058.
No. 14-6048 United States v. Taylor Page 21
In Mitchell, this Court rejected the defendant’s argument that the Tennessee robbery
statute is indivisible and overly broad, finding, instead, that it was divisible and not overly broad,
because the language “ ‘by violence . . . or putting in fear,’ enunciate two alternative elements.”
Id. at 1063-66. Thus, Taylor’s argument that the Tennessee robbery statute is non-generic,
overly broad, and indivisible, has been entirely foreclosed by Mitchell. Further, this inquiry is
not reopened by the unrelated holding under Johnson that the residual clause is
unconstitutionally vague, as the two holdings have nothing to do with one another.
The Mitchell Court concluded, further, that:
[a]lthough the Tennessee robbery statutes are divisible, we need not defer to the
modified categorical approach to determine which alternative formed the basis of
Mitchell’s prior conviction. As already discussed, neither alternative element
departs from the definitions provided in the ‘use of physical force’ clause or the
residual clause.
Id. at 1066. Indeed, earlier in the decision, the Mitchell Court had concluded that under the
categorical approach, simple robbery in Tennessee was a violent felony under the “use of
physical force clause” and the residual clause. In terms of the “use of physical force clause,” the
Court found that “the commission of a robbery through fear, which in Tennessee reduces to the
fear of bodily injury from physical force offered or impending, directly corresponds to
§ 924(e)(2)(B)(i)’s ‘use ... or threatened use of physical force.’” Id. at 1059. In terms of the
residual clause, under the categorical approach, the Court found that robbery in Tennessee
presented a risk of physical injury, as it was a lesser included offense than larceny, which this
Court had already concluded posed a serious risk of injury to others. Id. at 1060. Further, the
Court found that robbery required intentional conduct, and compared favorably with the offense
of generic burglary in the enumerated clause, or first clause of § 924(e)(2)(B)(ii). Id. at 1062.
Thus, the Mitchell Court found that Tennessee simple robbery is a violent crime under
both the “use of physical force clause” and the residual clause. The crime need only qualify as a
violent felony under one of the clauses. Accordingly, the Supreme Court’s holding in Johnson
leaves unaffected this Court’s determination that simple robbery in Tennessee is a predicate
offense under “the use of physical force” clause.
No. 14-6048 United States v. Taylor Page 22
Next, this Court will determine whether the holding in Johnson affects whether Taylor’s
2002 conviction for first degree burglary in Kentucky qualifies as a predicate violent felony
under the ACCA. It does not. In U.S. v. Jenkins, this Court found that second degree burglary in
Kentucky6 is a violent felony under the enumerated offenses clause in § 924(e)(2)(B)(ii), and,
thus, found it did not need to rely on the residual clause to determine if second degree burglary
was a predicate offense. 528 F. App’x 483, 484-85 (6th Cir.) cert. denied sub nom. Jahns v.
United States, 134 S. Ct. 455, 187 L. Ed. 2d 304 (2013) and cert. denied, 134 S. Ct. 488, 187 L.
Ed. 2d 330 (2013). Thus, first degree burglary7, which encompasses the same definition as
second degree burglary, but is enhanced because the offender is armed, injures another, or
threatens to use a dangerous instrument against another, is a predicate offense under the ACCA.
In sum, the holding in Johnson does not disrupt the conclusion, pursuant to Jenkins, that first
degree burglary in Kentucky is a predicate offense under the “enumerated offenses” clause of the
ACCA.
Finally, this Court will determine whether Johnson affects whether Taylor’s
1987 conviction for third degree burglary in Tennessee qualifies as a predicate violent felony
under the ACCA. We are not required to do so, however, since it has already been determined,
supra, that Taylor has three predicate offenses for ACCA purposes which Johnson does not
affect.
Taylor argues that in United States v. Bureau, 52 F.3d 584, 591 (6th Cir. 1995), this
Court determined that pre-1989 third degree burglary in Tennessee8 is a violent felony under the
residual clause. That case is inapposite, however, because it determined that attempted pre-1989
third degree burglary in Tennessee was a violent felony under the residual clause.
6
“A person is guilty of burglary in the second degree when, with the intent to commit a crime, he
knowingly enters or remains unlawfully in a dwelling.” Ky. Rev. Stat. § 511.030.
7
“(1) A person is guilty of burglary in the first degree when, with the intent to commit a crime, he
knowingly enters or remains unlawfully in a building, and when in effecting entry or while in the building or in the
immediate flight therefrom, he or another participant in the crime:
(a) Is armed with explosives or a deadly weapon; or (b) Causes physical injury to any person who
is not a participant in the crime; or (c) Uses or threatens the use of a dangerous instrument against
any person who is not a participant in the crime.” Ky. Rev. Stat. Ann. § 511.020.
8
Pre-1989, burglary in the third-degree in Tennessee was defined as: “the breaking and entering into a
business house, outhouse, or any other house of another, other than a dwelling house, with the intent to commit a
felony.” Tenn. Code Ann. § 39-904.
No. 14-6048 United States v. Taylor Page 23
In United States v. Caruthers, this Court found that third degree burglary under the pre-
1989 Tennessee statute was “generic” burglary under the ACCA’s enumerated clause because:
(1) the case law showed that the statute did in fact require unlawful entry; and, (2) so long as the
indictment shows that the defendant broke and entered into an actual building, the crime
committed is a generic burglary under the ACCA. 458 F.3d 459, 474-76 (6th Cir. 2006). In the
case sub judice, the PSR indicates that Taylor’s 1982 conviction for burglary in the third degree
resulted from him breaking into a store. Under Caruthers, therefore, Taylor’s 1987 conviction
qualifies as a generic burglary under the “enumerated offenses” clause. Accordingly, Johnson
leaves unaffected Taylor’s ACCA enhancement based on his 1987 conviction for burglary in the
third degree under Tennessee law.
IV. CONCLUSION
Since Taylor has not demonstrated: (1) the district court abused its discretion in giving a
constructive possession jury instruction; (2) there was insufficient evidence to convict him of
possession of a stolen firearm; and (3) his sentence was procedurally unreasonable, this Court
AFFIRMS the district court’s conviction and sentence. Additionally, this Court holds that the
Supreme Court’s recent decision in Johnson v. United States does not impact Taylor’s sentencing
enhancement under the ACCA.