United States v. Pitrone

USCA1 Opinion








UNITED STATES COURT OF APPEALS
FOR THE FIRST CIRCUIT

_________________________


No. 96-2090


UNITED STATES OF AMERICA,

Appellee,

v.

WILLIAM P. PITRONE,


APPEAL FROM THE UNITED STATES DISTRICT COURT

FOR THE DISTRICT OF MASSACHUSETTS

[Hon. Nancy Gertner, U.S. District Judge]

_________________________

Before

Selya, Circuit Judge,

Coffin and Bownes, Senior Circuit Judges.

_________________________

Peter B. Krupp, with whom Lurie & Krupp LLP was on brief, for
appellant.
Nadine Pellegrini , Assistant United States Attorney, with whom
Donald K. Stern, United States Attorney, was on brief, for
appellee.

_________________________


May 22, 1997
_________________________





SELYA, Circuit Judge.

examine a matter of first impression: the degree of scienter

needed for a felony conviction under 16 U.S.C. S 707(b) (1994), a This harlequinade requires us to

part of the Migratory Bird Treaty Act (MBTA). Detecting no

reversible error in the district court's rejection of the

defendant's proffered jury instruction or in any other respect, we

affirm the judgment of conviction.

I. THE STATUTORY SCHEME

In 1916, the United States and Great Britain (acting for

Canada) negotiated a treaty to protect migratory birds. See

Convention for the Protection of Migratory Birds in the United

States and Canada, Aug. 16, 1916, U.S.-Can., 39 Stat. 1702; see

also S. Rep. No. 99-445 (1986), reprinted in 1986 U.S.C.C.A.N.

6113, 6114 (reviewing the MBTA's historical antecedents). The

treaty provides for the safeguarding of migratory birds whose

pilgrimages traverse international borders. To effectuate this

commitment, 1 Congress enacted the MBTA in 1918. The United States

Department of the Interior is charged with administering the MBTA,

see 16 U.S.C. S 701 (1994), and the Secretary has promulgated a web

of regulations. The statute and the regulations offer substantial

shelter to migratory birds within the United States.

This case pirouettes around a provision of the MBTA which



1The MBTA also is in service to other treaty obligations.
See, e.g, Convention for the Protection of Migratory Birds and
Birds in Danger of Extinction and Their Environment, March 4, 1972,
U.S.-Japan, 25 U.S.T. 3329; Convention for the Protection of
Migratory Birds and Game Mammals, Feb. 7, 1936, U.S.-Mexico, 56
Stat. 1347.

2





criminalizes the taking and selling of migratory birds:

Whoever, in violation of this subchapter,
shall knowingly

(1) take by any manner whatsoever any
migratory bird with intent to sell, offer to
sell, barter or offer to barter such bird, or

(2) sell, offer for sale, barter or offer
to barter, any migratory bird shall be guilty
of a felony and shall be [punished as
provided].

16 U.S.C. S 707(b) (1994). Under this proviso, it is unlawful for

a taxidermist to receive money or compensation in exchange for a

migratory bird other than from a person who originally provided the

bird and requested the taxidermy services. See 50 C.F.R. S

21.24(c)(1), (2) (1996). In other words, a taxidermist may

receive, transport, possess, and mount migratory birds for another

person, but he may not sell any migratory birds (mounted or not)

which he has taken out of the wild.

II. BACKGROUND

Following accepted practice, we sketch the facts in the

light most favorable to the jury verdict, consistent with record

support. See United States v. Staula, 80 F.3d 596, 599 (1st Cir.),

cert. denied, 117 S. Ct. 156 (1996); United States v. Echeverri,

982 F.2d 675, 676 (1st Cir. 1993).

Defendant-appellant William P. Pitrone is a taxidermist

by trade and a huntsman by choice. Pitrone frequented sportsmen's

shows at which he offered for sale mounted game birds. In early

1993, a browser, Chris Giglio, spotted a protected migratory bird

(a Common Eider) among the birds that Pitrone displayed for sale at


3





a show held in Boston. When Giglio began questioning Pitrone about

the Eider, Pitrone immediately inquired whether Giglio was "a

warden" and, upon receiving an assurance that Giglio was not,

freely discussed his operation and produced a business card.

Giglio suspected that Pitrone was violating federal law and

informed the Interior Department's Fish and Wildlife Service (FWS)

of his suspicions.

At the behest of the FWS, Giglio contacted Pitrone by

telephone and arranged to visit him at his home in Medford,

Massachusetts. Once inside, Giglio observed that Pitrone

maintained a large inventory of mounted waterfowl. Pitrone

declared that all the mounts were for sale. When Giglio reported

this information to the FWS, the agents smelled smoke. They

outfitted Giglio with cash and a clandestine body recorder, and

sent him back to Pitrone's residence in search of fire. During the

ensuing conversation, Pitrone volunteered that he had recently been

to Alaska to hunt Harlequin ducks (a protected species of migratory

bird) and claimed to have bagged 42 of them. He also said that he

sold standing mounts for $50 apiece, flying mounts for $60 apiece,

and Harlequin mounts for $75 apiece.

On May 13, 1993, Giglio returned to Pitrone's abode, this

time accompanied by an undercover FWS agent. During this meeting

(which Giglio surreptitiously recorded), Pitrone crowed that he had

sold the 42 Harlequin mounts for $75 each, and he described in

colorful language the enthusiasm with which decoy carvers clamored

to purchase them. When asked why Harlequins cost more than other


4





mounts, Pitrone replied that the price differential reflected the

additional cost he had incurred in travelling to Alaska to hunt

them.

By the fall of 1995, the FWS had its ducks in a row and

a federal grand jury returned an eight-count indictment. At trial,

the prosecution relied, i nter alia, on the testimony of Giglio, FWS

agent Robert Garabedian, and four of Pitrone's customers. One

customer, James Olenick, told Pitrone in advance of the Alaska

hunting trip that he would be interested in purchasing a Harlequin

duck if Pitrone bagged one. Olenick subsequently bought such a

duck from Pitrone (a transaction that formed the basis for the

count of conviction). After the FWS investigation surfaced,

Pitrone contacted Olenick and suggested that, if approached, he

should tell the FWS agents that the duck was merely a "leftover,"

implying that Pitrone gave it to him as a gift. James Boone,

another customer, stated that he had purchased mounts from Pitrone

and had provided him with a "wish list" of mounts he sought to

purchase. A third customer, Donald Todd, testified that Pitrone

contacted him after a sale of two mounts and requested that Todd,

if questioned by the FWS, tell the agents that his payment to

Pitrone had not been for merchandise received but for services

rendered. A fourth customer, George Anzivino, said Pitrone bragged

that he had sold all the Harlequin ducks he had shot in Alaska,

that the hunt had cost him $2400, and that he had recouped the cost

by selling the birds. Later, Pitrone admonished Anzivino not to

mention their conversation to anyone.


5





The trial lasted for six days. In the end, the jury

acquitted Pitrone on seven counts, but found him guilty on count 2

(the knowing sale of a Harlequin duck). Following the imposition

of sentence, Pitrone sought refuge in this court.

III. ANALYSIS

On appeal, Pitrone grouses about two rulings. One

complaint implicates the jury instructions and the other centers

around the admission of evidence. We discuss these remonstrances

separately.

A. The Jury Instructions.

If a party asserts that an error infected the

instructions given to a trial jury, a reviewing court must

determine if the instructions "adequately illuminate[d] the law

applicable to the controlling issues in the case without unduly

complicating matters or misleading the jury." United States v.

Destefano , 59 F.3d 1, 3 (1st Cir. 1995). When, as now, the alleged

error involves the interpretation of the elements of a statutory

offense, it poses a question of law and sparks plenary review. See

United States v. Carroll, 105 F.3d 740, 744 (1st Cir. 1997).

In this instance, Judge Gertner instructed the jurors

that, in order to convict on count 2, they must find that Pitrone

acted knowingly. This meant, the judge explained, that "he was

conscious and aware of his actions, realized what he was doing and

what was happening around him, and did not act because of

ignorance, mistake, or accident." The government, she added, did

not need "to prove that the defendant knew that his actions were


6





unlawful," but he "must know within the meaning of the statute that

t



that it did not require the government to prove that th he was selling a bird." Pitrone requested a more lenien instruction and objected to the instruction actually given on the ground e

defendant knew his actions contravened federal law.

On appeal, Pitrone widens the scope of his barrage.

While he renews his claim that the government should have been

required to prove beyond a reasonable doubt that he knew his

conduct was unlawful (and, therefore, that the jury should have

been so instructed), he goes on to raise a new and entirely

different point: that the instruction afforded the jury was

defective because it did not require the government to prove that

he knew he was selling a migratory bird. We address the second

claim first.

Pitrone cannot duck one basic fact: he did not object

below to the omission of a specific statement that the government

must prove that he knew he was selling a migratory bird (as opposed

to a bird, simpliciter). For all intents and purposes, that ends

the matter. We have been steadfast in treating as forfeit

objections to a judge's charge that might have been, but were not,

raised below in the approved manner.2 See, e.g., United States v.


2A party who objects to jury instructions in a criminal case
must follow a regime that is delineated in Fed. R. Crim. P. 30.
The rule provides in pertinent part:

No party may assign as error any portion of
the charge or omission therefrom unless that
party objects thereto before the jury retires
to consider its verdict, stating distinctly
the matter to which that party objects and the

7





Griffin, 818 F.2d 97, 99-100 (1st Cir. 1987); United States v.

Coady, 809 F.2d 119, 123 (1st Cir. 1987); cf. Putnam Resources v.

Pateman, 958 F.2d 448, 456 (1st Cir. 1992) (holding, under

substantially identical civil counterpart, that "[s]ilence after

instructions . . . typically constitutes a waiver of any

objections").

To be sure, we still retain the power to grant relief

under the plain error doctrine, notwithstanding that Pitrone did

not preserve this claim of error. Fed. R. Crim. P. 52(b). Still,

a party who asks an appellate tribunal to correct an error not

preserved at the trial level must demonstrate "(1) `error,' (2)

that is `plain,' and (3) that `affects substantial rights.'"

Johnson v. United States, ___ S. Ct. ___, ___ (U.S. May 12, 1997)

[No. 96-203, slip op. at 7] (quoting United States v. Olano, 507

U.S. 725, 732 (1993)). Even then, the appellate court may exercise

its discretion to correct a forfeited error only if the error

seriously impairs the integrity and basic fairness of the

proceedings. See id. Given these criteria, it is apparent that

"the plain error hurdle is high." United States v. Hunnewell, 891

F.2d 955, 956 (1st Cir. 1989). Pitrone cannot surmount it here.

For present purposes, we need look only to the last

element of the test. In the district court, there was never any

issue about whether a Harlequin duck was a migratory bird (it is)

or whether Pitrone, a nimrod of note, knew as much (it strains

credulity to suggest he did not). In this regard, the instructions


grounds of the objection.

8





that he proposed are telling; he beseeched the lower court to

charge the jury "that the government must prove beyond a reasonable

doubt: first, that Mr. Pitrone actually knew that he was selling

the migratory birds, as opposed to giving away the birds and

charging only for his mounting services (emphasis supplied)." This

proposed instruction assumes that Pitrone knew he was selling

migratory birds, as demonstrated by the repeated use of the article

"the." And, moreover, Pitrone has limned no plausible basis for

believing that he lacked such knowledge.

Where, as here, a defendant criticizes a jury instruction

on a ground not raised below, and does so on the basis of an

alleged error induced at least in part by his implied concessions

before the district court, it will be infrequent that he can

satisfy the fourth furcula of the plain error test. In this

respect, the case at hand is not a rara avis. Thus, the omission,

if error at all a matter on which we do not opine did not

"seriously affect the fundamental fairness" of Pitrone's trial,

Griffin, 818 F.2d at 100, and, thus, did not constitute plain

error. See Johnson, ___ S. Ct. at ___ [slip op. at 11]

(suggesting, in words appropriate here, that "it would be the

reversal of a conviction such as this" which would run afoul of

fundamental fairness).

We turn next to the compass of the term "knowingly" as

that word is used in MBTA S 707(b). The statute proscribes, inter

alia, "knowingly" taking migratory birds with intent to sell them

and "knowingly" selling such birds. Since the meaning of the word


9





"knowingly" is neither precisely defined in the statute itself nor

immediately obvious in the statutory context, we resort to the

legislative history. See United States v. Ven-Fuel, Inc., 758 F.2d

741, 757-58 (1st Cir. 1985).

For most of its existence, the MBTA contained no scienter

requirement whatever; its felony provision, like its misdemeanor

provision, 16 U.S.C. S 707(a), imposed strict liability. See Pub.

L. 86-732, 40 Stat. 756 (1960) (amended by Pub. L. 99-645, 100

Stat. 3590 (1986)). But in 1985, the Sixth Circuit held that the

felony provision section 707(b) ran afoul of the Due Process

Clause on this account. See United States v. Wulff, 758 F.2d 1121,

1125 (6th Cir. 1985). The following year, Congress amended section

707(b) to meet the Wulff court's objection by including an element

of scienter, that is, by adding the modifier "knowingly." See S.

Rep. 99-445, supra, 1986 U.S.C.C.A.N. at 6128. Congress clearly

indicated that, by inserting this word, it sought only to require

proof that "the defendant knew (1) that his actions constituted a

taking, sale, barter, or offer to sell or barter, as the case may

be, and (2) that the item so taken, sold, or bartered was a bird or

portion thereof." Id. At the same time, Congress warned that:

"It is not intended that proof be required that the defendant knew

the taking, sale, barter or offer was a violation of the

subchapter, nor that he know the particular bird was listed in the

various international treaties implemented by this Act." Id.

Against this backdrop, Pitrone's assertion that the word

"knowingly" modifies the phrase "in violation of this subchapter"


10





and, thus, requires proof of specific intent in order to convict,

is unconvincing. When it is necessary to go beyond the text in

construing criminal statutes, meaning ordinarily should be derived

by "draw[ing] upon context, including the statute's purpose and

various background legal principles, to determine which states of

mind accompany which particular elements of the offense." United

States v. Gendron, 18 F.3d 955, 958 (1st Cir. 1993). The

appellant's interpretatio n of the MBTA flouts this precept: it not

only involves a forced reading of the text but also flatly

contradicts Congress's stated purpose. We are, therefore,

disinclined to swallow it.

We find encouragement for this disinclination in United

States v. Flores , 753 F.2d 1499 (9th Cir. 1985), a case which posed

an analogous interpretive problem. Determining that the word

"knowingly" in 18 U.S.C. S 922(e) modified the phrase describing

the prohibited act delivering or causing to be delivered firearms

to any common carrier without written notice the Ninth Circuit

read the language naturally and held that the government need not

prove a specific intent to violate the statute. See id. at 1505.

In reaching this conclusion, the court stressed "the absence of

words such as `intent' and `willfully,' which traditionally

accompany specific intent crimes" and the lack of any other

indication that Congress purposed to require an element of specific

intent. Id. The instant case is a supercharged version of Flores;

in drafting the amendment to section 707(b), Congress not only

omitted language indicating that it specifically intended to make


11





specific intent an element of the offense but also stated

positively that it did not intend to do so.

Pitrone tries to make an end run around the lessons

taught by the legislative history, citing a plethora of cases

headed by Rat zlaf v. United States, 510 U.S. 135 (1994). But this

argument overlooks (or, at least, fails to acknowledge) that the

element of willful intent and the element of scienter are birds of

a very different feather: the cases which the appellant includes

in this string citation stand for the proposition that knowledge of

the unlawfulness of one's conduct is required when the statutorily

prohibited behavior includes an element of willful intent. See id.

at 143-49; United States v. Jain, 93 F.3d 436, 439-41 (8th Cir.

1996); United States v. Sanchez-Corcino, 85 F.3d 549, 552-54 (11th

Cir. 1996); United States v. Curran, 20 F.3d 560, 566-71 (3d Cir.

1994).

Here, the proposition is beside the point. The

applicable statute, section 707(b), requires the government to

prove a knowing act, but it does not require proof of willfulness.

That makes a world of difference. "Knowingly" has a meaning

distinct from "willfully" in the lexicon of statutory construction.

See United States v. Hayden, 64 F.3d 126, 129-30 (3d Cir. 1995).

Thus, courts consistently have rejected arguments as we do here

which posit that the term "knowingly," standing alone, requires

the prosecution to show that the defendant knew his behavior was

unlawful, instead interpreting "knowingly" as we do here to

require no more than that "the defendant know he was engaging in


12





the prohibited conduct." Id. at 130 (collecting cases);

United States Sherbondy, 865 F.2d 996, 1001-03 (9th Cir. 1988)

(explaining see also v. that "knowingly" does not ordinarily include a

requirement that the defendant have had knowledge of the law). By

contrast, "willfully" a word which is conspicuously absent from

section 707(b) sometimes has been construed to require a showing

that the defendant knew his behavior transgressed the law. See

Ratzlaf, 510 U.S. at 141-43. We decline either to read into a

statute a word that Congress purposely omitted, or, on our own

initiative, to rewrite Congress's language by ascribing to one word

a meaning traditionally reserved for a different word.

Pitrone also floats a bareboned constitutional argument.

Citing Wulff , 758 F.2d at 1124-25, he contends that section 707(b),

read as we propose to read it, remains subject to the same

constitutional infirmity which prompted the Sixth Circuit to strike

down the earlier (unamended) version. This argument was not

advanced below, and for that reason, it will not fly here.3 See

Teamsters, Chauffeurs, Warehousemen & Helpers Union v. Superline

Transp. Co., 953 F.2d 17, 21 (1st Cir. 1992) ("If any principle is

settled in this circuit, it is that, absent the most extraordinary

circumstances, legal theories not raised squarely in the lower

court cannot be broached for the first time on appeal.").


3 In all events, the argument has little substance. The Wulff
court declared that, in order for section 707(b) to pass
constitutional muster, "Congress must require the prosecution to
prove the defendant acted with some degree of scienter." 758 F.2d
at 1125. But Congress repaired this defect, and there is nothing
in the Constitution which requires the government to prove, in a
case like this, that the defendant knew his conduct was unlawful.

13





Finally, the appellant hawks the importance of the

Supreme Court's decision in Liparota v. United States, 471 U.S. 419

(1985). There, the Court held that, when prosecuting a person for

violation of the statute governing food stamp fraud (which

prohibits the "knowing" acquisition of food stamps in an

unauthorized manner, 7 U.S.C. S 2024(b)(1)), the government must

prove the defendant knew that his conduct was unauthorized. 481

U.S. at 433. We think Liparota is distinguishable. First, unlike

in this case, the legislative history of the provision before the

Liparota Court shed no light on what Congress meant by the term

"knowing violation." See id. at 424-25. Second, the Food Stamp

Act covers a variegated array of conduct undertaken by literally

millions of people, many of whom are unencumbered by a working

knowledge of the regulatory labyrinth. These facts, together with

the sheer volume of food stamp transactions which occur, create a

high probability of unauthorized, yet innocent, transfers. See id.

at 426. Thus, the Liparota Court sought to prevent the

criminalization of a wide range of innocent behavior. See id.

In sharp contrast, the felony provision of the MBTA

prohibits conduct that occurs on a much smaller scale and which is

much more likely to be committed by individuals familiar with

existing protections for migratory birds (e.g., hunters,

taxidermists, scientists, or artisans whose trades require

knowledge of birds' habits and attributes). Consequently, applying

the scienter requirement in the manner described in the legislative

history of section 707(b) does not pose the same type of threat


14





that prompted the Liparota Court to condition a conviction under

the Food Stamp Act upon proof that the defendant knew his behavior

was unauthorized by law.

Broadly speaking, it is within the discretion of the

legislature to define the elements of statutory offenses. See

United States v. Hudson, 11 U.S. (7 Cranch) 32, 34 (1812). In

drafting the MBTA and thereafter in amending it, Congress carefully

defined the elements of the offense created under section 707(b).

In doing so, it left no room for ignorance of the law as a defense.

Thus, we are constrained to give section 707(b) its natural

reading, under which the word "knowingly" applies to the putative

offender's actions rather than to the legality of those actions.

This reading comports with the plain meaning of the MBTA, with the

usual canons of statutory construction, and with Congress's

revealed intent. Since the district court's instructions to the

jury followed this path, we cannot honor the appellant's assignment

of error.

B. The Evidence.

Pitrone also protests the district court's admission of

two types of evidence, namely, (1) evidence anent his hunting trip

to Alaska, and (2) evidence anent his sales (and intended future

sales) of birds. In each instance, he maintains that the evidence

ought to have been barred as impermissible character evidence.4 We


4 Pitrone premises this exhortation on Fed. R. Evid. 404(b) and
403. Rule 404(b) provides in pertinent part:

Evidence of other crimes, wrongs, or acts is
not admissible to prove the character of a

15





review rulings admitting or excluding evidence for abuse of

discretion. See United States v. Rivera-Gomez, 67 F.3d 993, 997

(1st Cir. 1995). When Rule 403 balancing is in issue, we grant

especially wide latitude to the district court's informed judgment.

See id.

Here, both aspects of the evidentiary squabble originally

arose in pretrial proceedings. Pitrone filed a motion in limine to

exclude evidence relating to his journey to Alaska and his boast

that he killed more than 40 Harlequin ducks on that trip (selling

the skins for $50 each and the mounts for $75 each). He filed a

separate motion to exclude evidence of sales of birds other than

those which were the subject of specific counts in the indictment.

The district court denied both motions, concluding that the

challenged proffers not only provided direct evidence of the crime

charged but also furnished relevant extrinsic evidence illustrating

Pitrone's intent to hunt and sell the Harlequins, as well as the

existence of a plan to do so. The prosecution subsequently



person in order to show action in conformity
therewith. It may, however, be admissible for
other purposes, such as proof of motive,
opportunity, intent, preparation, plan,
knowledge, identity, or absence of mistake or
accident . . . .

In turn, Rule 403 provides:

Although relevant, evidence may be excluded if
its probative value is substantially
outweighed by the danger of unfair prejudice,
confusion of the issues, or misleading the
jury, or by considerations of undue delay,
waste of time, or needless presentation of
cumulative evidence.

16





introduced the evidence at trial and argued its significance to the



ssuming, wit

were properly preserved, jury. A hout deciding, that Pitrone's objections to the evidence cf. Conway v. Electro Switch

Corp., 825 F.2d 593, 596 n.1 (1st Cir. 1987), his claim of error

nonetheless is unavailing. In the count of conviction, the

government charged Pitrone with the knowing sale of a Harlequin

duck. Testimony regarding his Alaskan sojourn and his subsequent

sales of Harlequin skins and mounts comprises direct evidence which

helps to establish the crime charged. Because the evidence is

directly probative of the crime, Pitrone's contention that it is

impermissible "other act" evidence is well wide of the mark. See,

e.g., United States v. Hadfield, 918 F.2d 987, 994-95 (1st Cir.

1990).

The evidence of past (and future intended) sales of birds

consisting largely of statements made by Pitrone during the

course of commercial transactions is plainly relevant to illumine

Pitrone's intent even though these sales are not themselves the

basis of the charges preferred against him. Since Rule 404(b)

evidence appropriately can be admitted for such a purpose, see,

e.g., United States v. Bank of New Eng., 821 F.2d 844, 858 (1st

Cir. 1987), the appellant's claim that it is impermissible

character evidence founders.5


5If more were needed and we doubt that it is we note in
passing that the evidence of past sales was imbricated with the
charged crime and helped to put that crime into context. On that
basis, too, the evidence was relevant. See United States v.
DiSanto, 86 F.3d 1238, 1252-53 (1st Cir. 1996), cert. denied, 117

17





Moving to Rule 403, we do not find that either



evidence is prejudicial if the truth be evidentiary line carried with it an unacceptable risk of improper prejudice. Virtually all

told, that is almost always why the proponent seeks to introduce it

but it is only unfair prejudice against which the law protects.

See Rivera-Go mez, 67 F.3d at 997 (collecting cases); United States

v. Rodriguez-Estrada, 877 F.2d 153, 155-56 (1st Cir. 1989).

Evidence should function to "help the jury reconstruct earlier

events and then apportion guilt or responsibility as the law may

require" and "Rule 403 exists to facilitate that process, not

impede it." Rivera-Gomez, 67 F.3d at 998. Because the judicial

officer who presides at a trial has a unique perspective which

enables her to make assessments of this kind knowledgeably, "only

rarely and in extraordinarily compelling circumstances will we,

from the vista of a cold appellate record, reverse a district

court's on-the-spot judgment concerning the relative weighing of

probative value and unfair effect." Freeman v. Package Mach. Co.,

865 F.2d 1331, 1340 (1st Cir. 1988).

In the case at bar, these tenets augur favorably for the

lower court's rulings. Under the terms of the MBTA, Pitrone could

not knowingly sell a Harlequin duck. He could, however, sell his

services as a taxidermist. Evidence of the sale prices of

Harlequin duck skins and mounts, as contrasted with the prices of

other bird mounts sold by him, laid the foundation for a permissive



S. Ct. 1109 (1997); United States v. Rodriguez-Estrada, 877 F.2d
153, 155 (1st Cir. 1989).

18





inference that the higher price for a Harlequin duck reflected an

actual charge for the bird, above and beyond a reasonable charge

for taxidermy services. Evidence of the trip to Alaska helped to

explain the reason for the price differential and to show

opportunity. The evidence of Pitrone's statements provided the

jury with valuable insights into Pitrone's motives. All in all,

the challenged evidence possessed considerable probative value.

The opposite pan of the scale is nearly empty. For one

thing, the appellant has not credibly shown how the evidence

threatened to trigger any of the dangers that Rule 403 bids courts

to monitor. For another thing, there is nothing in the record that

leads us to believe that the jury, which acquitted Pitrone on seven

other counts, was improperly influenced by this evidence. Given

the easily discernible asymmetry substantial probative value and

negligible risk of unfairly prejudicial effects we descry no

abuse of discretion in the district court's admission of the

evidence.

IV. CONCLUSION

We need go no further. From aught that appears, Pitrone

was tried fairly and convicted lawfully in a proceeding untainted

by reversible error. No more is exigible.



Affirmed.








19