United States Court of Appeals
FOR THE EIGHTH CIRCUIT
___________
No. 07-2514
No. 07-2888
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United States of America, *
*
Appellee, *
* Appeals from the United States
v. * District Court for the
* Western District of Arkansas.
Hollis Wayne Fincher, *
*
Appellant. *
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Submitted: March 10, 2008
Filed: August 13, 2008
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Before WOLLMAN, BOWMAN, and MELLOY, Circuit Judges.
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WOLLMAN, Circuit Judge.
Hollis Wayne Fincher was convicted by a jury on one count of possession of
a machine gun, in violation of 18 U.S.C. §§ 922(o), 924(a)(2), and one count of
possession of an unregistered sawed-off shotgun, in violation of 26 U.S.C. §§ 5841,
5861(d), and 5871. Fincher does not dispute that he possessed these guns or that he
did so without a license. He appeals his conviction, however, arguing that he has the
right to possess these weapons under the Second Amendment of the United States
Constitution because his possession has some reasonable relationship to the
maintenance of a well regulated militia. Fincher also challenges the district court’s
determination that he is not eligible for court appointed counsel and challenges the
district court’s request to resentence him. We affirm the conviction and remand the
issue of Fincher’s eligibility for court appointed counsel to the district court for further
inquiry.
I. Second Amendment
A. Background
Before Fincher’s trial began, the government became aware of Fincher’s
intention to argue to the jury that his possession of guns was protected under the
Second Amendment. Because that issue is a matter of law, the government filed a
motion in limine asking the district court to prevent Fincher from arguing matters of
law to the jury. After hearing oral argument on the motion, the district court granted
the motion in part and denied it in part. In doing so, the district court stated that
matters of law are “quintessentially within the province of the judge and not matters
to be addressed to the jury.” Nevertheless, the district court stated that it would allow
Fincher to present evidence outside the presence of the jury that under United States
v. Miller, 307 U.S. 174 (1939), and United States v. Hale, 978 F.2d 1016 (8th Cir.
1992), his possession of the guns was reasonably related to a well regulated militia.
At the close of the government’s case, Fincher moved for judgment of acquittal.
The district court denied the motion, stating that it was based on an attack on the law
and not the evidence, and that under Hale, 978 F.2d 1016, the fact that a particular
weapon may be susceptible to military use does not by itself establish a Second
Amendment right to possess the weapon.
During his case-in-chief, Fincher presented his own testimony, which the
district court heard in camera. Fincher testified that he possessed the guns as part of
his membership in the Washington County Militia (“WCM”), an organization he
helped found in 1994. He testified that the purpose of the WCM is to ensure the
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militia can operate as effectively militarily as possible in a time of state emergency
and that the WCM has regular meetings and training sessions for its members.
Fincher testified that between seven and nine individuals attend any given meeting of
the WCM, though it is not always the same individuals in attendance. The WCM does
not maintain a roster of its members or an inventory of weapons.
The WCM is not a secret organization. In fact, along with the other members
of the WCM, Fincher wrote and sent letters to federal agencies via certified mail
informing them of the WCM’s existence and attempting to put them on notice that the
WCM was lawful under state law. Fincher also sent at least one letter to the governor
of Arkansas, informing him about the WCM, seeking approval, and stating that the
governor’s failure to object to the WCM’s declaration would provide affirmation that
the state of Arkansas did not object to the WCM. Fincher denied receiving a letter
from the governor stating that the state records did not contain any reference to the
WCM and that no such organization was registered with, or sanctioned by, the office
of the governor or the state of Arkansas.
In addition to sending written notice of the WCM to various governmental
offices, Fincher invited local sheriffs to view the WCM facilities and weapons.
Fincher also told state officials that the WCM possessed machine guns, which the
public could observe at any one of the three annual picnics sponsored by the WCM,
and he showed the machine guns to at least one sheriff. Fincher also testified about
how the weapons used by the WCM were chosen and stored, some at the WCM
facility and others at the individual members’ residences.
When asked about the procedures for activating the WCM in the case of an
emergency, Fincher stated that if an emergency occurred while he was the commander
of the WCM, he would contact “the sheriff if – if I was able, you know, depending on
the emergency, or the governor, or probably any other – or maybe the mayor of a city
or any – anyone or no one. If there was an emergency that had to be taken care of, we
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have the right to preserve life, liberty, and pursuit of happiness. We have the duty to.
You don’t stand around and wait for someone to tell you you can protect your life or
perform emergency medical assistance or put out a fire. These are natural offices of
the people.” He also testified that the state could call up the militia at any point, and
that even though the written notices that WCM sent to various governmental offices
did not contain any phone numbers or other direct contact information, the governor
would know how to contact them.
The district court ruled that Fincher’s proffered testimony would not be
admitted because the WCM, despite its attempts to receive state recognition, was an
unorganized and unregulated militia and therefore, as a matter of law, did not fall
within the auspices of the Second Amendment. The district court also noted that even
if the WCM was a state-sponsored or state-connected militia, there was no evidence
that the person in charge of that militia would determine that possession of machine
guns or sawed-off shotguns was necessary to the preservation of a well regulated
militia.
B. Discussion
Fincher asserts that the district court erred by not allowing the jury to determine
whether his possession of firearms was reasonably related to a well regulated militia
and therefore protected by the Second Amendment. We review a district court’s grant
of a motion in limine for abuse of discretion, Robinson v. Potter, 453 F.3d 990, 995
(8th Cir. 2006), and we accord it great deference on evidentiary rulings such as the
admissibility of proffered testimony, United States v. Wilson, 103 F.3d 1402, 1406
(8th Cir. 1997). We review de novo the district court’s legal conclusions, such as
whether possession of firearms in relation to membership in a non-state-sponsored
militia is protected by the Second Amendment. United States v. Lippman, 369 F.3d
1039, 1043 (8th Cir. 2004).
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The role of the jury is to decide facts, not legal issues. United States v. Peck,
161 F.3d 1171, 1174 (8th Cir. 1998). Accordingly, the district court did not err in
prohibiting Fincher from arguing or presenting evidence regarding a question of law
to the jury.
We turn to the question whether the district court erred by concluding that
Fincher’s possession of the guns did not fall within the protection of the Second
Amendment. We conclude that the district court’s determination that the WCM was
not affiliated with the state militia and therefore not subject to the protections of the
Second Amendment under Miller and Hale is well supported by the record.
Fincher contends that our decision in Hale, 978 F.2d 1016, established an
affirmative defense to the charge of unlawful possession of firearms. In Hale, we
stated that the possession of firearms is not protected unless the possession bears a
reasonable relationship to a well regulated militia. 978 F.2d at 1020; see also United
States v. Pfeifer, 371 F.3d 430, 438 (8th Cir. 2004) (citing Hale); United States v.
Farrell, 69 F.3d 891, 894 (8th Cir. 1995) (same). Although the WCM is not a
secretive organization and has held relatively regular training sessions and meetings
over the years, we stated in Hale that “‘[t]echnical’ membership in a state militia (e.g.,
membership in an ‘unorganized’ state militia) or membership in a non-governmental
military organization is not sufficient to satisfy the ‘reasonable relationship’ test.”
Hale, 978 F.2d at 1020 (citing United States v. Oakes, 564 F.2d 384, 387 (10th Cir.
1977)). In Arkansas, the state militia is defined as:
(a) The militia shall be divided into two (2) parts: the organized,
consisting of the active and inactive Army National Guard and Air
National Guard; and the unorganized, consisting of all those persons of
the militia not in the active or inactive Army National Guard or the Air
National Guard.
(b) The militia shall consist of all able-bodied male residents of the state
between the ages of seventeen (17) and forty-five (45) years who are, or
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intend to become, citizens of the United States, unless exempt by law,
together with all other acceptable volunteers, waiving necessary
requirements.
Ark. Code. Ann. § 12-61-101 (emphasis added). Thus, despite WCM’s attempts to
contact the governor’s office and become an organized state militia, the district court
correctly concluded that Fincher’s testimony, even if believed by the jury, would not
support his Second Amendment argument because Fincher is not a member of an
organized state militia. Rather, Fincher’s testimony established that the WCM was
an “unorganized” militia because it is not the Army National Guard or the Air
National Guard and is not formally connected with the state of Arkansas. Therefore,
under Hale, Fincher’s possession of firearms is, as a matter of law, not reasonably
related to a well regulated militia and is thus not protected by the Second Amendment.
In reaching this conclusion, we have taken into account the Supreme Court’s
recent decision in District of Columbia v. Heller, 128 S. Ct. 2783 (2008),1 in which
the Court held that the District of Columbia’s complete prohibition on the possession
of usable handguns in one’s home violated the Second Amendment. Id. at 2817-18.
In holding that the Second Amendment guarantees “the individual right to possess and
carry weapons in case of confrontation,” Id. at 2797,2 the Court also stated that the
right to possess firearms is not beyond the reach of all government regulation. Id. at
2799, 2816 (“Like most rights, the right secured by the Second Amendment is not
unlimited. From Blackstone through the 19th-century cases, commentators and courts
1
At trial, Fincher’s Second Amendment argument focused on his claim of right
to possess the guns because they are military weapons and he is a member of the
militia and not a claim of an individual right to possess a machine gun or unregistered
sawed-off shotgun. Nevertheless, we think it is clear that even if Fincher had made
the latter argument at trial, his possession of the guns is not protected under Heller.
2
We note that the Supreme Court did not address the question whether the
Second Amendment is incorporated through the Fourteenth Amendment and thus
applicable to the states.
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routinely explained that the right was not a right to keep and carry any weapon
whatsoever in any manner whatsoever and for whatever purpose.”).
In discussing the limitations the government can place on an individual’s right
to possess firearms, the Court noted that Miller does not protect “weapons not
typically possessed by law-abiding citizens for lawful purposes, such as short-barreled
shotguns.” Heller, 128 S. Ct. at 2815-16. The Court also articulated a nonexclusive
list of what it viewed to be acceptable government regulation of firearms:
[T]he majority of the 19th-century courts to consider the question held
that prohibitions on carrying concealed weapons were lawful under the
Second Amendment or state analogues. Although we do not undertake
an exhaustive historical analysis today of the full scope of the Second
Amendment, nothing in our opinion should be taken to cast doubt on
longstanding prohibitions on the possession of firearms by felons and the
mentally ill, or laws forbidding the carrying of firearms in sensitive
places such as schools and government buildings, or laws imposing
conditions and qualifications on the commercial sale of arms. We also
recognize another important limitation on the right to keep and carry
arms. Miller said, as we have explained, that the sorts of weapons
protected were those “in common use at the time.” We think that
limitation is fairly supported by the historical tradition of prohibiting the
carrying of “dangerous and unusual weapons.”
Id. at 2816-17 (internal citations and footnote omitted).
Accordingly, under Heller, Fincher’s possession of the guns is not protected by
the Second Amendment. Machine guns are not in common use by law-abiding
citizens for lawful purposes and therefore fall within the category of dangerous and
unusual weapons that the government can prohibit for individual use. Furthermore,
Fincher has not directly attacked the federal registration requirements on firearms, and
we doubt that any such attack would succeed in light of Heller. Accordingly, because
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Fincher’s possession of guns is not protected by the Second Amendment, the district
court did not abuse its discretion in preventing him from arguing otherwise to the jury.
II. Court Appointed Counsel
A. Background
The circumstances surrounding Fincher’s court appointed counsel are fully
recited in the district court’s order, United States v. Fincher, No. 06-50064-001, 2007
WL 2177062 (W.D. Ark. July 27, 2007), and are largely undisputed by Fincher. For
the purpose of our analysis, we will highlight the main facts.
Fincher was arrested on November 9, 2006, for violating 18 U.S.C. § 922(o).
When he made his initial appearance later that day, he requested the appointment of
an attorney because of his financial inability to retain counsel. He executed a
“Financial Affidavit In Support of Request For Attorney or Other Court Services
Without Payment Of Fee” (“the financial affidavit”), which indicated that he had no
personal income, that his wife made $10.50 an hour, that he had $2,000 in savings,
that he owned two vehicles of unknown value, one on which he was still making
payments, and that he owned his home and 120 acres of real estate in Fayetteville,
Arkansas, which had unknown value. Based upon that information, the district court
appointed counsel to represent Fincher pursuant to the Criminal Justice Act.
On December 13, 2006, Fincher’s appointed counsel withdrew because Fincher
had retained other counsel. Thereafter, Fincher was convicted on both counts charged
in the indictment. On March 8, 2007, Fincher informed the district court that he no
longer had counsel and requested that counsel be appointed for him, which was done.
Before Fincher was sentenced, he executed a quitclaim deed conveying the 120
acres of real estate to his daughters in exchange for consideration of “One dollar
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($1.00) and other good and valuable consideration,” and reserving a life estate in the
property for himself and his wife. Thereafter, the district court imposed concurrent
sentences of 78 months’ imprisonment on each count. Fincher was also subject to a
fine of up to $250,000. Although the guidelines range called for a fine of between
$12,500 and $125,000, the district court imposed a fine of only $1,000 under the
belief that Fincher had no significant assets.
After sentencing, Fincher requested release on bond pending appeal. The
district court conducted a hearing on the matter and agreed that Fincher could be
released on $100,000 bond. Fincher indicated that he could not post bond in that
amount. The district court noted that Fincher might be able to use his real estate to
secure the bond, whereupon Fincher’s daughters executed a mortgage for that purpose.
As a result, the district court became aware that Fincher’s property had significant
value, and that Fincher had conveyed it to his daughters.
As a result of these circumstances, on July 3, 2007, the district court held an
evidentiary hearing to determine Fincher’s financial eligibility for court appointed
counsel. The district court received testimony from Fincher, his wife, and his two
daughters. The district court also requested that Fincher provide supporting
documents, such as his contract with retained counsel and the deed transferring the
real estate. In addition, the district court ordered an independent appraisal of the
property, which estimated that it had a value of $455,000.
On July 27, 2007, the district court entered an order stating that Fincher “is not
now, nor has he ever been at any time material to this proceeding, financially unable
to obtain counsel to represent him in this proceeding and that appointments of counsel
for him were improvidently made.” Fincher, 2007 WL 2177062, at *10.
Accordingly, the district court ordered Fincher to reimburse the United States
Treasury $8,357.55 for the legal services provided to him by the attorneys appointed
under the Criminal Justice Act. Id.
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B. Discussion
Fincher asserts that the district court’s July 27, 2007, order revoking his
eligibility for court appointed counsel should be reversed because he did not
misrepresent the value of his real estate when he stated that the value was unknown.
He also challenges the appraised value of the property and the district court’s
conclusion that he owns the property free and clear. Fincher asserts that he was
subjectively unaware of the value of the property when he filled out the affidavit, that
the property is not worth nearly as much as the appraised value because it is
landlocked, and that he owned it as a joint tenant with his wife. Fincher further
contends that the transfer of the property to his daughters was legitimate because he
informed the Assistant United States Attorney who was working on the case about the
transfer.
The Criminal Justice Act provides a framework for ensuring that individuals
who are financially unable to afford defense counsel are provided counsel as required
by the Sixth Amendment. United States v. Brockman, 183 F.3d 891, 897 (8th Cir.
1999). The Act requires that each United States district court create “a plan for
furnishing representation for any person financially unable to obtain adequate
representation . . . .” 18 U.S.C. § 3006A(a). A person is eligible for court appointed
counsel if, after the United States magistrate judge or court conducts an “appropriate
inquiry,” the court is satisfied that “the person is financially unable to obtain counsel.”
18 U.S.C. § 3006A(b). Financial inability to obtain counsel is not the same as being
indigent or destitute, but the defendant has the burden of establishing that he or she
is financially unable to obtain counsel. Brockman, 183 F.3d at 897; Museitef v.
United States, 131 F.3d 714, 716 (8th Cir. 1997). “If at any time after the appointment
of counsel the United States magistrate judge or the court finds that the person is
financially able to obtain counsel or to make partial payment for the representation,
it may terminate the appointment of counsel or authorize payment as provided in
subsection (f), as the interests of justice may dictate.” 18 U.S.C. § 3006A(c)); see also
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18 U.S.C. § 3006A(f) (“Whenever the United States magistrate judge or the court
finds that funds are available for payment from or on behalf of a person furnished
representation, it may authorize or direct that such funds be paid . . . .”); Museitef, 131
F.3d at 715.
Thus, our review of the district court’s determination of financial eligibility for
court appointed counsel is a three-step process. See United States v. Parker, 439 F.3d
81, 92 (2d Cir. 2006) (reviewing district court’s mid-case appointment of counsel).
We must ask, (1) whether the district court conducted an “appropriate inquiry” into
the defendant’s financial eligibility, (2) whether the district court correctly determined
the defendant’s financial eligibility, and (3) whether the district court erred when it
weighed the “interests of justice.” Id. at 92-93. Because we ultimately remand this
issue to the district court for further review, we reach only the first of these three
questions.
To determine a defendant’s financial eligibility, the district court should make
a “full inquiry” into the defendant’s actual ability to retain counsel. Museitef, 131
F.3d at 716. A full-scale adversarial hearing is not required, however, before a district
court may order repayment of attorney’s fees under the Criminal Justice Act. United
States v. Vale, 140 Fed. Appx. 302, 303 (2d Cir. 2005) (unpublished opinion) (citing
United States v. Crosby, 602 F.2d 24, 28 (2d Cir. 1979)); see also Parker, 439 F.3d at
93 (“The task necessarily varies with the circumstances presented, and no one method
or combination of methods is required.” (internal quotation omitted)). We review de
novo the adequacy of the district court’s inquiry. Parker, 439 F.3d at 93 n.12.
In this case, the district court’s initial inquiry was based upon the financial
affidavit submitted by Fincher. See id. at 93 (noting that in some cases the court’s
inquiry may be limited to the defendant’s statements on the financial affidavit). Based
upon the limited information available at that time, the district court did not err in
appointing counsel for Fincher. Brockman, 183 F.3d at 897 (any doubt about the
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defendant’s eligibility for court appointed counsel should be resolved in the
defendant’s favor); United States v. Cohen, 419 F.2d 1124, 1127 (8th Cir. 1969)
(district court’s determination that defendant was ineligible for court appointed
counsel based upon the ownership of real estate with an unknown value and without
a more searching inquiry was error).
Although a district court should investigate information contained in an
affidavit when the information provided renders the defendant’s eligibility
questionable, the district court’s initial determination of eligibility can be amended
when new information comes to light. See In re Boston Herald, Inc., 321 F.3d 174,
179 (1st Cir. 2003) (erroneous eligibility determinations can be corrected at a later
time). In this case, the district court became aware of the fact that Fincher’s property
had significant value when it was mortgaged to secure Fincher’s $100,000 bond and
Fincher testified that he knew that property in the same area had recently sold for
between $2,000 and $4,000 an acre. This new information was sufficient to warrant
a reexamination of Fincher’s eligibility.3
Fincher argues that the district court erred in determining that he was not
eligible for court appointed counsel because the district court did not take into
consideration the fact that the property is landlocked and therefore is not as valuable
as the appraisal indicates. Fincher testified at the hearing, however, that the property
is located one mile off a public road and that there is an unpaved road that goes
3
In its July 27, 2007, order, the district court noted that it should have conducted
a investigation beyond Fincher’s financial affidavit before it initially appointed him
counsel. Fincher, 2007 WL 2177062, at *7. Nevertheless, the district court reasoned
that the defendant has the burden of establishing financial eligibility for court
appointed counsel and that Fincher did not meet this burden and in fact misrepresented
his financial eligibility by listing the 120 acres as having an unknown value when, in
fact, he knew that real estate in the same area had recently sold for between $2,000
and $4,000 an acre. See id. (citing United States v. Lefkowitz, 125 F.3d 608 (8th Cir.
1997)).
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directly to the property. Fincher also informed the district court that the property has
a right-of-way that, although not currently used, is attached to ownership of the
property. Furthermore, it is undisputed that Fincher and his wife currently reside on
the property, suggesting that the property is not in fact inaccessible. The appraisal
acknowledges that any ingress and egress to the property would need to be improved,
as the current road is not paved. Accordingly, we conclude that the district court did
not err in accepting as accurate the appraiser’s opinion that the property had a value
of $455,000, which falls within Fincher’s estimate that the property is worth between
$2,000 and $4,000 an acre.
Fincher argues for the first time on appeal that because he owned the property
as a joint tenant with his wife, he did not own it free and clear, and that the district
court therefore erred by concluding otherwise. This late-raised assertion is directly
contradicted, however, by the testimony of Fincher’s daughter, who testified that
Fincher’s name is the sole one on the title. Furthermore, Fincher’s wife testified that
she did not know if she had ever been deeded any portion of the property. Although
the quit claim deed that transferred the property to Fincher’s daughters in early 2007
recites that Fincher and his wife each owned an undivided one-half interest in the
property as tenants in common, there is no evidence in the record that Fincher and his
wife owned the property as joint tenants. Accordingly, the district court did not err
when it found that Fincher owned the property free and clear because Fincher has not
established that there are any mortgages or liens on the property.
Regarding Fincher’s transfer of the property to his daughters via quit claim
deed, we conclude that Fincher’s letter to the Assistant United States Attorney
regarding the transfer of the property does not insulate the transfer from later question.
Testimony at the evidentiary hearing from Fincher, his wife, and his two daughters,
as well as the letter sent to the AUSA, all indicate that the property was transferred
after Fincher’s conviction to avoid the possibility of the property being sold to pay
any fine imposed by the district court as part of Fincher’s sentence. Accordingly, the
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district court did not err in concluding that the attempted transfer of the property
should be considered when determining Fincher’s eligibility for court appointed
counsel.
Despite these conclusions and the fact that the district court conducted a more
thorough inquiry into Fincher’s eligibility in July 2007 than it did initially, the district
court’s analysis leaves factual questions unanswered. Thus, we remand this issue to
the district court for further consideration of whether Fincher’s wife has any
ownership in the property and, if so, whether that affects Fincher’s ownership of the
property or the application of the Arkansas Homestead Exemption. Specifically, the
district court must consider whether the entire 120 acres of real estate is protected by
the Homestead Exemption, making Fincher eligible for court appointed counsel
despite his ownership of the property, or whether the exemption protects only a
portion of the real estate. See Ark. Code Ann. § 16-66-210; see also United States v.
Trevino, 679 F.Supp. 636, 636 (S.D. Tex. 1987) (doubting that defendants should
have to sell their homestead to appeal criminal conviction); Perry v. Chief of Police
of City of Marianna, Ark., 660 F.Supp. 1546, 1552 (E.D. Ark. 1987) (in determining
indigency, defendant should not be required to sell his inexpensive car or his home).4
Additionally, the district court should consider whether Fincher has the current ability
4
Generally, cases in which a defendant’s ineligibility for court appointed
counsel has been affirmed are based upon the defendant’s income and cash flow, not
a requirement that the defendant sell his homestead to facilitate the payment of
defense costs. See, e.g., Lefkowitz, 125 F.3d at 621 (defendant had recently spent
several hundred thousand dollars on other attorney’s fees and personal expenses and
district court found defendant’s own testimony of indigence to be lacking credibility);
United States v. Harris, 707 F.2d 653, 661 (2d Cir. 1983) (district court found that
defendant had “substantial income” in the past two years and might have had other
undisclosed income); United States v. Wetzel, 488 F.2d 153, 157 (8th Cir. 1973)
(affirming reimbursement order (for about $350) because defendant received $19,000
for the sale of cattle and owned real estate (the opinion provides no indication that the
real estate was defendant’s homestead)).
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to reimburse the United States Treasury for the legal services he received in light of
the transfer of the real estate to Fincher’s daughters.
III. IFP Status on Appeal
We turn next to Fincher’s request for in forma pauperis (“IFP”) status on
appeal. Because we remand to the district court for further review the issue of
Fincher’s eligibility for court appointed counsel, we do not reach this issue.
Nevertheless, Fincher’s IFP status on appeal is dependent upon his eligibility for court
appointed counsel at the trial level. If the district court concludes that Fincher is
eligible for court appointed counsel and therefore should not be required to reimburse
the cost of the legal services he received, and Fincher’s financial circumstances do not
change between the time of the district court and the appellate court proceedings, he
should be granted IFP status on appeal. See United States v. Danielson, 325 F.3d
1054, 1077 (9th Cir. 2003) (court appointed counsel continues on appeal unless
defendant’s financial situation changes and he or she is no longer financially eligible).
IV. Sentencing
On the basis of its conclusion that Fincher misrepresented his financial
eligibility for court appointed counsel, the district court seeks a remand for
resentencing. In light of our conclusion that the district court must conduct a more
searching inquiry into Fincher’s eligibility for court appointed counsel, we decline the
request for remand. Moreover, it is questionable whether we have jurisdiction to
remand in the absence of an appeal or cross-appeal from the government, or whether
the district court has jurisdiction to resentence a defendant in the absence of statutory
authority to do so. See Greenlaw v. United States, No. 07-330, 2008 WL 2484861
(U.S. June 23, 2008) (holding that a circuit court cannot increase a defendant’s
sentence without a government appeal or cross-appeal); United States v. Ross, 245
F.3d 577, 585-86 (6th Cir. 2001) (district court may not resentence defendant without
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statutory authority); see also United States v. Sadler, 234 F.3d 368, 373-74 (8th Cir.
2000) (a district court’s “change of heart as to the appropriateness of the sentence,
rather than a correction in the application of the guidelines,” is not the type of “clear
error” that can be corrected under Rule 35(c) (internal quotation and citation
omitted)); cf. United States v. Fortino, No. 07-3476, 2008 WL 2388893 (8th Cir. June
13, 2008) (per curiam).
V. Conclusion
The conviction is affirmed. The order directing Fincher to reimburse the United
States Treasury $8,357.55 for the legal services he received pursuant to the Criminal
Justice Act is vacated and the case is remanded the district court for further
proceedings consistent with the views set forth in this opinion.
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