Case: 16-12978 Date Filed: 08/30/2019 Page: 1 of 67
[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
________________________
No. 16-12978
________________________
D.C. Docket No. 8:14-cr-00521-JDW-AEP-1
USA,
Plaintiff - Appellee,
versus
EDWARD NEIL FELDMAN,
KIM XUAN FELDMAN,
Defendants - Appellants.
________________________
Appeals from the United States District Court
for the Middle District of Florida
________________________
(August 30, 2019)
Before JILL PRYOR and JULIE CARNES, Circuit Judges, and ANTOON,*
District Judge.
*
Honorable John Antoon II, United States District Judge for the Middle District of
Florida, sitting by designation.
Case: 16-12978 Date Filed: 08/30/2019 Page: 2 of 67
JULIE CARNES, Circuit Judge:
Following a jury trial, Defendants Dr. Edward Feldman and his wife Kim
Feldman appeal their convictions for conspiring to distribute controlled substances
without a legitimate medical purpose, conspiring to commit money laundering, and
three counts of illegal monetary transactions. Dr. Feldman was also convicted of
three counts of distributing controlled substances, without a legitimate medical
purpose, to three individuals resulting in their deaths. Both Defendants raise
various challenges to their convictions on appeal. Dr. Feldman also challenges his
300-month sentence, which incorporated a 20-year mandatory-minimum penalty
pursuant to 21 U.S.C. § 841(b)(1)(C). After careful review of the parties’ briefs
and with the benefit of oral argument, we affirm both Defendants’ convictions, but
vacate Dr. Feldman’s sentence.
BACKGROUND
I. Facts
A. The Clinic
This case involves the operation of a pain-management clinic in Florida:
Feldman Orthopedic and Wellness Center. The clinic was operated by Dr.
Feldman, a physician, along with his wife, who served as the clinic’s office
manager and handled all of the clinic’s money. The clinic did not accept
insurance. To obtain an office visit, patients paid $300 in cash or credit for their
2
Case: 16-12978 Date Filed: 08/30/2019 Page: 3 of 67
first visit and $150 for each follow-up visit. Patients were provided a discount for
referring new patients to the clinic. Office visits with Dr. Feldman were typically
brief, as he usually performed cursory examinations—or sometimes no
examination at all.
Dr. Feldman was the only physician at the clinic’s first location on 38th
Avenue, where he saw approximately 40 to 100 patients per day. According to one
former employee, the clinic’s patients came from out of state and often appeared
“stoned” and “drunk.” One of the clinic’s former patients, Mike Shaw, testified
that he came to the clinic because Dr. Feldman was a “writer,” meaning that he
would prescribe any medication suggested by the patient. The clinic sometimes
received phone calls from concerned family members of patients suffering from
addiction, yet Dr. Feldman did not treat those patients any differently.
In July 2010, the clinic moved to 66th Street, where Dr. Feldman began
seeing 75 to 150 patients per day. Due to heavy law enforcement presence at this
location, the Feldmans instructed their staff to stop accepting patients from out of
state. They also told their staff to place notes in the patient files if they suspected
that someone was an undercover law enforcement officer. If a patient was flagged
as an undercover officer, Dr. Feldman conducted a more extensive physical and
did not prescribe those patients any controlled substances. Based on his belief that
3
Case: 16-12978 Date Filed: 08/30/2019 Page: 4 of 67
sunglasses and hats could conceal recording devices, Dr. Feldman banned these
items at the clinic’s third and final location on Park Boulevard.
In an effort to tighten protocol, the Feldmans also instructed staff to
discharge patients whose urine tested positive for cocaine or other serious drugs.
In addition, the clinic began utilizing the Prescription Drug Monitoring Database—
a database that shows the prescriptions a patient has previously obtained and serves
as a tool for determining whether patients are doctor shopping. Notwithstanding
the above gestures, Mrs. Feldman ultimately told staff to stop conducting urinalysis
screenings because too many patients were being discharged based on those
results. Moreover, the Feldmans decided that no patient would be discharged until
Dr. Feldman had himself reviewed that patient.
In January 2011, a second doctor, Dr. Nancy Bruemmer joined the clinic.
Dr. Bruemmer often recommended lowering patients’ dosage of medications or
discharging them altogether. Whenever Dr. Bruemmer made these
recommendations, however, Mrs. Feldman made sure that Dr. Feldman saw these
patients before they were discharged.
In early 2011, law enforcement officers began investigating Dr. Feldman’s
clinic. As part of the investigation, several undercover officers posed as patients at
the clinic. Dr. Kevin Chaitoff, a physician who specializes in pain management
and anesthesia, reviewed the transcripts from the undercover officers’ visits to the
4
Case: 16-12978 Date Filed: 08/30/2019 Page: 5 of 67
clinic and determined that there were several problems with the way Dr. Feldman
handled each visit. Specifically, Dr. Chaitoff determined that Dr. Feldman
obtained inadequate patient histories, conducted inadequate physical examinations,
and prescribed controlled substances without documented justification.
In August 2012, law enforcement officers executed a search warrant at the
clinic and seized 3,200 patient files. At the request of Brian Zdrojewski, an agent
with the Drug Enforcement Administration, Dr. Chaitoff randomly selected 30
patient files to review in order to determine whether Dr. Feldman was operating
within the usual course of professional practice with respect to each patient. Dr.
Chaitoff concluded that none of the patients in the files he reviewed had been
prescribed controlled substances for a legitimate medical purpose. Dr. Chaitoff
was later asked to review an additional 18 patient files and he reached the same
conclusion as to those files. The investigation revealed at least three patients of
Dr. Feldman’s who had died while under his care: Joey Mayes, Shannon Wren,
and Ricky Gonzalez. Dr. Chaitoff reviewed the files of these patients and
determined that Dr. Feldman’s treatment of them was not within the usual course
of professional practice.
B. Money Laundering
The investigation also revealed that between 2010 and 2014, the Feldmans
deposited approximately $6,787,103.99 into 37 bank accounts—the majority of
5
Case: 16-12978 Date Filed: 08/30/2019 Page: 6 of 67
which came from cash deposits that were less than $10,000. John Barna, a retired
detective with the Pinellas County Sheriff’s Office, determined that the Feldmans
purchased their home on Trilby Avenue, in part, with $190,000 from a savings
account in Dr. Feldman’s name at JPMorgan Chase Bank. Records showed that of
that $190,000, $150,000 was transferred from the clinic’s bank account in $50,000
increments. That transfer is the subject of Count 6. At issue in Count 7, is a
$150,000 wire transfer from First Bank Creve Coeur Mark Lewis P.A. Trust
Account that Dr. Feldman used to fund the clinic location on Park Boulevard.
Finally, the subject of Count 8 is a wire transfer in the amount of $187,689.50 from
a Merrill Lynch account in Dr. Feldman’s name to one in Mrs. Feldman’s name.
II. Procedural History
A federal grand jury subsequently issued an indictment charging the
Feldmans with: (1) conspiring to distribute and dispense controlled substances—
primarily oxycodone and methadone, which are Schedule II controlled substances,
and alprazolam and diazepam, which are Schedule IV controlled substances—not
for a legitimate medical purpose, in violation of 21 U.S.C. §§ 841(b)(1)(C), (b)(2)
and 846 (Count 1); (2) conspiring to commit money laundering, in violation of 18
U.S.C. § 1956(h) (Count 5); and (3) engaging in monetary transactions with
criminal derived property exceeding the value of $10,000, in violation of 18 U.S.C.
§ 1957 (Counts 6 through 8). Dr. Feldman was also charged with three substantive
6
Case: 16-12978 Date Filed: 08/30/2019 Page: 7 of 67
counts of distribution and dispensation of Schedule II and Schedule IV controlled
substances, not for a legitimate medical purpose, resulting in the deaths of Joey
Mayes (Count 2), Ricky Gonzalez (Count 3), and Shannon Wren (Count 4), in
violation of § 841(a)(1), (b)(1)(C) (Counts 2 through 4).
The Feldmans pled not guilty and proceeded to trial. The first trial ended in
a mistrial. At the second trial, the Government presented testimony from the case
agents, undercover officers, former patients and employees, the medical examiners,
and Dr. Chaitoff. At the close of the Government’s case-in-chief, the Feldmans
moved for judgment of acquittal. Dr. Feldman argued that the Government failed
to meet its burden of proof as to each count. The district court denied the
Feldmans’ motions for judgment of acquittal.
Dr. Feldman called several witnesses on his behalf. Dr. Simopoulos, a pain
management physician, testified that, based on his review of the patient files, he
believed that Dr. Feldman’s prescribing practices were within the usual course of
professional practice. Dr. Vernard Adams, a forensic pathologist and former
medical examiner, opined about the cause of death for each of the three victims.
Dr. Feldman also testified. He denied that he had an agreement with Mrs. Feldman
or anyone else at the clinic to engage in illegal activity. After the defense rested,
the district court denied the parties’ renewed motions for judgment of acquittal.
7
Case: 16-12978 Date Filed: 08/30/2019 Page: 8 of 67
The jury found the Feldmans guilty as charged. The district court sentenced
Dr. Feldman and Mrs. Feldman to imprisonment terms of 300 months and
48 months, respectively. Dr. Feldman’s 300-month sentence incorporated the 20-
year mandatory minimum sentence under 21 U.S.C. § 841(b)(1)(C), based on his
convictions for Counts 2 through 4.1 This appeal followed.
DISCUSSION
I. Motion to Sever
Mrs. Feldman argues that the district court abused its discretion by denying
her motion to sever her trial from Dr. Feldman’s.
We review the district court’s denial of a motion for severance for an abuse
of discretion. United States v. Cobb, 185 F.3d 1193, 1196 (11th Cir. 1999). If it
appears that a joint trial will prejudice a defendant or the Government, the district
court may sever the defendants’ trials. Fed. R. Crim. P. 14(a). “In assessing the
merits of a severance motion, the district court must balance the possibility of
prejudice to the defendant against the public interest in judicial efficiency and
economy.” United States v. Eyster, 948 F.2d 1196, 1213 (11th Cir. 1991). To
obtain reversal of a district court’s denial of a severance motion, a defendant must
make a showing of “compelling prejudice” against which the district court offered
1
Dr. Feldman received ten-year concurrent sentences on each of his other five counts of
conviction.
8
Case: 16-12978 Date Filed: 08/30/2019 Page: 9 of 67
no protection. United States v. Walser, 3 F.3d 380, 385 (11th Cir. 1993). “A
defendant can show compelling prejudice by demonstrating that the jury was
unable to sift through the evidence and make an individualized determination as to
each defendant.” United States v. Ramirez, 426 F.3d 1344, 1352 (11th Cir. 2005)
(quotation marks omitted).
Prior to trial, Mrs. Feldman moved to sever Counts 2 through 4—which
charged Dr. Feldman with distributing and dispensing controlled substances,
without a legitimate medical purpose, resulting in death. She argued that she
would be substantially prejudiced by a joint trial that included those counts
because they applied to Dr. Feldman only. The district court denied the motion.
Mrs. Feldman has not met her burden of showing that the district court
abused its discretion by denying her motion for severance. The Feldmans were
indicted together and charged with being part of two conspiracies: (1) the
distribution of controlled substances without a legitimate medical purpose; and
(2) money laundering. “It is well settled that defendants who are indicted together
are usually tried together.” United States v. Browne, 505 F.3d 1229, 1268 (11th
Cir. 2007); see also United States v. Knowles, 66 F.3d 1146, 1158 (11th Cir. 1995)
(“This court is reluctant to reverse a district court’s denial of severance,
particularly in conspiracy cases, as generally ‘persons who are charged together
should also be tried together.’”).
9
Case: 16-12978 Date Filed: 08/30/2019 Page: 10 of 67
Mrs. Feldman asserts that she was prejudiced by the admission of evidence
relating to Counts 2 through 4 because those counts applied only to Dr. Feldman.
We have concluded, however, that “[a] defendant does not suffer compelling
prejudice, sufficient to mandate a severance, simply because much of the evidence
at trial is applicable only to co-defendants.” United States v. Schlei, 122 F.3d 944,
984 (11th Cir. 1997) (quotation marks omitted). Moreover, Mrs. Feldman has not
met her burden of demonstrating that the jury was not able to make an
individualized determination of guilt as to the evidence pertaining to her. See
United States v. Francis, 131 F.3d 1452, 1459 (11th Cir. 1997) (explaining that, in
order to establish prejudice, a defendant must show “that the jury was unable to
make an individualized guilt determination for each defendant”).
Nevertheless, even if there were any potential prejudice, we have determined
that prejudice can be avoided where the district court instructs the jury that it
should consider the evidence against each defendant separately. See Schlei, 122
F.3d at 984. Here, the district court instructed the jury that:
[A] separate crime or offense is charged against each defendant
in each count of the indictment. Each charge and the evidence
pertaining to it should be considered separately. Also, the case of each
defendant should be considered separately and individually. The fact
that you may find one or any . . . of the defendants guilty or not guilty
of any of the offenses charged should not affect your verdict as to any
other offense or any other defendant.
I caution you, members of the jury, that you are here to determine
from the evidence in this case whether each defendant is guilty or not
10
Case: 16-12978 Date Filed: 08/30/2019 Page: 11 of 67
guilty. Each defendant is on trial only for the specific offense alleged
in each count of the indictment.
We presume that the district court’s cautionary instruction prevented any
possible prejudice. See Francis, 131 F.3d at 1459 (explaining that “cautionary
instructions to the jury to consider the evidence separately are presumed to guard
adequately against prejudice.” (quotation marks omitted)). Because Mrs. Feldman
has not provided any evidence showing that the jury was not able to make an
individualized determination of guilt, she has failed to demonstrate that she
suffered compelling prejudice or received an unfair trial. See Browne, 505 F.3d at
1268 (“[Defendant] must discharge the ‘heavy burden’ of demonstrating
‘compelling prejudice’ from the joinder.” (quotation marks omitted)).
Accordingly, the district court did not abuse its discretion by denying her motion
for severance.
II. Expert Testimony
Mrs. Feldman’s next claim of error is that the district court abused its
discretion by denying her motion to exclude Dr. Chaitoff’s testimony and by
permitting Dr. Chaitoff to extrapolate an opinion as to all 3,200 patient files, based
on his review of a small percentage of those files.
We review for abuse of discretion the district court’s determinations
regarding the admissibility and reliability of expert testimony. United States v.
11
Case: 16-12978 Date Filed: 08/30/2019 Page: 12 of 67
Frazier, 387 F.3d 1244, 1258 (11th Cir. 2004). Federal Rule of Evidence 702
provides that a witness who is qualified as an expert may provide an opinion if:
(a) the expert’s scientific, technical, or other specialized knowledge
will help the trier of fact to understand the evidence or to determine a
fact in issue; (b) the testimony is based on sufficient facts or data;
(c) the testimony is the product of reliable principles and methods; and
(d) the expert has reliably applied the principles and methods to the
facts of the case.
Fed. R. Evid. 702. The district court has wide discretion in deciding how to
determine reliability. United States v. Abreu, 406 F.3d 1304, 1307 (11th Cir.
2005).
Prior to trial, Dr. Feldman filed a motion in limine to exclude, or limit, the
testimony of the Government’s proposed expert, Dr. Chaitoff. Following a
Daubert 2 hearing, a magistrate judge determined that Dr. Feldman’s objection to
Dr. Chaitoff’s testimony under Rule 702 was without merit, “at least to the extent
that the opinion does not extrapolate from the reviewed files to a broader
conclusion involving files not reviewed.” The magistrate judge noted that Dr.
Chaitoff’s testimony at the hearing resolved any potential issue pertaining to
extrapolation, as he testified that the review of one patient’s file would be
insufficient to draw conclusions regarding files that were not reviewed.
2
Daubert v. Merrell Dow Pharm., Inc., 509 U.S. 579 (1993).
12
Case: 16-12978 Date Filed: 08/30/2019 Page: 13 of 67
Mrs. Feldman now challenges for the first time on appeal an isolated
statement made by Dr. Chaitoff at trial. Specifically, while discussing his selection
and review of the first 30 patient files, Dr. Chaitoff stated that, “the methodology
was random and the conclusions applied to all the patients. So whether I reviewed
30 or I reviewed 3,200, I suspect my conclusions would have been identical.” As
noted, Mrs. Feldman did not object to this statement.
The Federal Rules of Evidence provide that a defendant need not object to
preserve a claim of error on appeal if the district court makes a definitive ruling on
a pretrial motion, such as a motion in limine. See Fed. R. Evid. 103(b) (“Once the
court rules definitively on the record—either before or at trial—a party need not
renew an objection or offer of proof to preserve a claim of error for appeal.”). That
is not what happened here, however. The magistrate judge did not expressly rule
on the merits of the extrapolation issue, stating only that the objection to Dr.
Chaitoff’s testimony pursuant to Rule 702 was without merit “at least to the extent
that the opinion does not extrapolate from the reviewed files to a broader
conclusion involving files not reviewed.” Moreover, it is clear from the order that
the magistrate judge believed that any potential extrapolation by Dr. Chaitoff was a
non-issue, as he noted that Dr. Chaitoff had specifically testified that his review of
one patient’s file would be insufficient to draw conclusions as to other patient files
that had not been reviewed.
13
Case: 16-12978 Date Filed: 08/30/2019 Page: 14 of 67
Because the magistrate judge did not make a definitive ruling on the
extrapolation issue, Mrs. Feldman was required to object to Dr. Chaitoff’s
statement to avoid plain error review. See United States v. Wilson, 788 F.3d 1298,
1313 (11th Cir. 2015) (reviewing defendant’s argument for plain error where the
district court’s pretrial ruling was not definitive); Cf. United States v. Harris, 886
F.3d 1120, 1127 n.2 (11th Cir. 2018) (concluding that defendant’s argument on
appeal was not subject to plain error review—despite the defendant’s failure to
object at trial—because the district court definitively ruled on the motion in
limine). She did not object, so we review her argument for plain error. 3
Mrs. Feldman cannot prevail under plain error review. Even if she could
show an error that was plain, she cannot demonstrate that her substantial rights
were violated. Indeed, she cannot show that she was prejudiced—much less
substantially prejudiced—by one stray comment made by Dr. Chaitoff concerning
his suspicion as to the remaining 3,000+ patient files not reviewed. The comment
was made during approximately three days’ worth of testimony from Dr. Chaitoff.
During that testimony, Dr. Chaitoff focused entirely on the 48 patient files that he
reviewed and his opinion as to whether Dr. Feldman’s treatment of the specific
3
To show plain error, the defendant must establish that there was “(1) an error (2) that is plain
and (3) that has affected the defendant’s substantial rights; and if the first three prongs are met,
then a court may exercise its discretion to correct the error if (4) the error ‘seriously affect[s] the
fairness, integrity or public reputation of judicial proceedings.’” United States v. Madden, 733
F.3d 1314, 1320 (11th Cir. 2013) (quotation marks omitted).
14
Case: 16-12978 Date Filed: 08/30/2019 Page: 15 of 67
patients in those files was within the ordinary course of professional practice.
Accordingly, Mrs. Feldman is not entitled to relief on this claim.
III. Double Jeopardy
Mrs. Feldman asserts that the district court’s order declaring a mistrial
during the first trial was not supported by manifest necessity, and thus the court
should have granted her motion to dismiss the indictment on double jeopardy
grounds. She also argues that the district court failed to comply with Federal Rule
of Criminal Procedure 26.3, which requires the court to give the parties an
opportunity to object or consent to an order declaring mistrial.
We review the district court’s declaration of a mistrial on grounds of
manifest necessity to determine whether the court exercised sound discretion in
deciding that such a necessity existed. United States v. Davis, 708 F.3d 1216, 1221
(11th Cir. 2013). And “if the court’s decision to declare a mistrial was not based
on manifest necessity, it was an abuse of discretion not to dismiss the indictment
on double jeopardy grounds.” See id.
The Double Jeopardy Clause of the Fifth Amendment safeguards a criminal
defendant from being subjected to multiple prosecutions for the same offense.
U.S. Const. amend. V. “Ordinarily, when ‘a defendant successfully seeks to avoid
his trial prior to its conclusion by a motion for mistrial, the Double Jeopardy
15
Case: 16-12978 Date Filed: 08/30/2019 Page: 16 of 67
Clause is not offended by a second prosecution.’” United States v. Shelley, 405
F.3d 1195, 1200 (11th Cir. 2005) (quotation marks omitted).
“[D]istrict courts are permitted to declare a mistrial and discharge a jury
only where, ‘taking all the circumstances into consideration, there is a manifest
necessity for the act, or the ends of public justice would otherwise be defeated.’”
United States v. Therve, 764 F.3d 1293, 1298 (11th Cir. 2014) (quotation marks
omitted). “Our task is to decide whether the district court exercised ‘sound
discretion’ in declaring a mistrial, and in order to determine that ‘we review the
entire record in the case without limiting ourselves to the actual findings of the trial
court.’” Davis, 708 F.3d at 1221 (quotation marks omitted and citation omitted).
But “the requirement that manifest necessity be demonstrated operates[] only when
the trial court has declared a mistrial without the consent of the defendant.” United
States v. Puleo, 817 F.2d 702, 705 (11th Cir. 1987). If the defendant consents to a
mistrial, the Double Jeopardy Clause will not bar her retrial. Id.
The facts surrounding the declaration of a mistrial during the first trial are as
follows. During the first trial, Mrs. Feldman’s attorney asked Dr. Feldman on
cross-examination if he had ever been convicted of a felony. Dr. Feldman stated
that he had been convicted of one felony. Thereafter, the prosecutor asked Dr.
Feldman whether the felony he was convicted of related to his practice as a doctor.
Dr. Feldman objected and moved for a mistrial, arguing that a curative instruction
16
Case: 16-12978 Date Filed: 08/30/2019 Page: 17 of 67
was not going to cure the prejudice. Indeed, the defendants were united in their
position that a mistrial was necessary. Mrs. Feldman indicated that she had “the
same position as this is a conspiracy case with regard to that I agree that, I agree
that I don’t believe a curative instruction is going to—.” Following subsequent
discussion, the district court recessed for the day. The next morning, the district
court heard argument from the Government and Dr. Feldman as to whether the
prejudicial effect of the question could be remedied by a curative instruction.
Ultimately, the district court decided that the defendants were correct in asserting
that a mistrial was necessary because the court concluded that it was not possible
to cure this issue. The court thus declared a mistrial. During this lengthy
deliberative process by the court, Mrs. Feldman never indicated any change in her
original position that a mistrial was necessary nor did she object when the district
court ultimately acquiesced to the defense position that a mistrial was required.
Instead, almost a month later—when the jury was long gone—she filed a
motion arguing that the court was wrong to conclude that manifest necessity
required a mistrial. She further argued that she was not provided the opportunity to
consent or object to the order declaring a mistrial. The district court denied the
motion.
Mrs. Feldman argues that the Double Jeopardy Clause barred her retrial
because a mistrial was not manifestly necessary. But we need not address manifest
17
Case: 16-12978 Date Filed: 08/30/2019 Page: 18 of 67
necessity. Because Mrs. Feldman acquiesced in the court’s decision to declare a
mistrial, she cannot now be credibly heard to argue that the court’s decision was a
mistake.
Mrs. Feldman argues that she could not have agreed with the district court’s
decision to declare a mistrial because the district court failed to provide proper
notice before declaring a mistrial. Federal Rule of Criminal Procedure 26.3
provides that prior to ordering a mistrial, “the court must give each defendant and
the government an opportunity to comment on the propriety of the order, to state
whether that party consents or objects, and to suggest alternatives.” Fed. R. Crim.
P. 26.3. “[C]ompliance with Rule 26.3 is only one factor to be considered in
determining whether a trial judge exercised sound discretion in declaring a
mistrial.” Davis, 708 F.3d at 1224 (citing United States v. Berroa, 374 F.3d 1053,
1058 (11th Cir. 2004)).
We conclude that Mrs. Feldman gave implied consent to the mistrial. The
record in the present case clearly shows that Mrs. Feldman had numerous
opportunities to comment or object to the potential declaration of a mistrial, and
she never gave even a hint that she objected during the lengthy proceedings
concerning this matter. Indeed, after Dr. Feldman moved for a mistrial, Mrs.
Feldman agreed that the prejudice could not be cured by a curative instruction, and
then noted that this was a conspiracy case. When the court reconvened after the
18
Case: 16-12978 Date Filed: 08/30/2019 Page: 19 of 67
overnight recess, Mrs. Feldman raised no objection to the court declaring a
mistrial, nor did she object or argue that the court should allow the ongoing trial to
proceed against her alone. Even as the jury was departing, she said nothing to the
court indicating that a mistrial should not have been declared as to her. See Puleo,
817 F.2d at 705 (concluding that defendant consented to mistrial when “even as the
jury was departing . . . [counsel] said nothing regarding the mistrial”).
In deciding a Double Jeopardy challenge to a second trial, we have recently
reconfirmed Puleo’s teaching that “a defendant’s consent to a mistrial need not be
express but may always be implied from the totality of circumstances.” United
States v. Isaac Feldman, 931 F.3d 1245, 1256–57 (11th Cir. 2019) (quotation
marks omitted and alterations accepted). As with the present case, we noted in
Isaac Feldman that, albeit aware that the district court was in the process of
declaring a mistrial, the defendant “never voiced any objection to the jury’s
dismissal . . . . The totality of these circumstances compels the conclusion that [the
defendant] impliedly consented to the dismissal of the original jury . . . .” Id. at
1257.
So it is here. Mrs. Feldman implicitly consented to the order declaring a
mistrial. We therefore conclude that she is entitled to no relief on her claim
challenging the district court’s denial of her motion to dismiss the indictment on
double jeopardy grounds.
19
Case: 16-12978 Date Filed: 08/30/2019 Page: 20 of 67
IV. Prosecutorial Misconduct
Mrs. Feldman argues that the prosecutor’s closing argument was improper
and prejudicial because the prosecutor argued facts not in evidence, put forth a new
legal theory of conviction not alleged in the indictment, and interjected her own
personal opinion to inflame the jury.
We generally review allegations of prosecutorial misconduct de novo.
United States v. Eckhardt, 466 F.3d 938, 947 (11th Cir. 2006). Where a defendant
fails to object during a prosecutor’s closing argument, however, “relief is available
to rectify only plain error that is so obvious that failure to correct it would
jeopardize the fairness and integrity of the trial.” United States v. Bailey, 123 F.3d
1381, 1400 (11th Cir. 1997).
To prevail on a prosecutorial misconduct claim, the defendant must show
that the conduct was improper and that it was prejudicial to his substantial rights.
Id. A defendant’s substantial rights are prejudiced if there is a reasonable
probability that, but for the remarks, the outcome of the trial would have been
different. United States v. Lopez, 590 F.3d 1238, 1256 (11th Cir. 2009).
“Prosecutorial misconduct must be considered in the context of the entire trial,
along with any curative instruction.” Id. If the district court provided a curative
instruction, “we will reverse only if the evidence is so prejudicial as to be incurable
by that measure.” Id.
20
Case: 16-12978 Date Filed: 08/30/2019 Page: 21 of 67
Mrs. Feldman raises several challenges to the prosecutor’s remarks during
closing argument. We conclude that only a few of those challenges warrant any
discussion here. 4 First, Mrs. Feldman asserts that the prosecutor improperly
commented on facts that were not in evidence when discussing Dr. Feldman’s
expert, Dr. Adams. Specifically, she takes issue with the prosecutor’s statement
that when Dr. Adams was employed by the county medical examiner’s office, he
had found that people who died at home had died of drug overdoses. However,
now that he was being paid as a defense expert, he had concluded that one of the
victims who died at home—Shannon Wren—died from a heart attack, not a drug
overdose. We find nothing improper about the prosecutor’s statement, as it was
supported by Dr. Adams’ testimony that he had previously made findings of drug
overdose deaths where people were found dead in their homes.5
We next address Mrs. Feldman’s assertion that the prosecutor inserted a new
theory of conviction not alleged in the indictment by arguing that Mrs. Feldman
4
Mrs. Feldman argues that the prosecutor’s following remarks were also improper: (1) a
statement that Mayes’ sister testified that Dr. Feldman was surprised when she accused Dr.
Feldman of prescribing Xanax and methadone to her brother; (2) a statement implying that there
were several actions the Department of Health could have taken against Dr. Feldman; and (3) a
statement that Mrs. Feldman had spoken with Aimee Martin about ways to stay off the Drug
Enforcement Administration’s radar. We find no merit to these challenges.
5
Notably, the district court also provided the following curative instruction when Mrs. Feldman
objected to the prosecutor’s statement regarding Dr. Adams’ testimony: “[t]o the extent the
lawyers disagree on what the facts are, members of the jury, you will resolve those
disagreements. These are arguments of counsel, they are not evidence.”
21
Case: 16-12978 Date Filed: 08/30/2019 Page: 22 of 67
violated an Internal Revenue Service reporting requirement by failing to disclose
foreign bank accounts. When addressing the money laundering convictions in her
closing argument, the prosecutor stated that she asked defense expert, Stephen
Oscher, if he noticed whether Mrs. Feldman had disclosed to the federal
government that she had bank accounts outside of the country. After the district
court overruled Mrs. Feldman’s objection to this statement, the prosecutor
explained that Oscher had said he did not know, he had not seen anything. The
prosecutor then stated, “[t]hat’s also a requirement, a reporting requirement.” In
other words, the prosecutor appeared to imply that Mrs. Feldman had violated a
reporting requirement by failing to disclose foreign bank accounts. The
indictment, however, charged Mrs. Feldman with violating a transaction reporting
requirement, not failing to report the existence of a foreign bank account.
Nevertheless, even if we assume that this remark was improper, it does not
amount to prosecutorial misconduct because Mrs. Feldman has not met her burden
of showing that her substantial rights were violated. In the first place, the district
court provided curative instructions. See Lopez, 590 F.3d at 1256 (explaining that
“we will reverse only if the evidence is so prejudicial as to be incurable by that
measure”). The court instructed the jury that their decision must be based on
evidence, which “includes the testimony of the witnesses and the exhibits which
have been admitted in the record . . . anything the lawyers say is not evidence in
22
Case: 16-12978 Date Filed: 08/30/2019 Page: 23 of 67
the case.” The record likewise contained sufficient evidence of guilt independent
of the challenged remarks. Id. (“When the record contains sufficient independent
evidence of guilt, any error is harmless.” (citing Eckhardt, 466 F.3d at 947)). As
discussed infra, the Government presented sufficient evidence from which a
reasonable jury could conclude that Mrs. Feldman was guilty beyond a reasonable
doubt. In short, the challenged comment was a small portion of the 17-day trial in
which the Government presented substantial evidence of guilt against Mrs.
Feldman.
Finally, we reject Mrs. Feldman’s argument that the prosecutor’s statement
that Wren had a “butt-load” of drugs in his body was unfairly prejudicial. Because
Mrs. Feldman failed to object to this statement, our review is limited to plain error.
Mrs. Feldman has failed to show error, let alone plain error. See United States v.
Bailey, 123 F.3d 1381, 1400 (11th Cir. 1997) (“When a defendant fails to object to
the prosecutor’s closing argument, relief is available to rectify only plain error that
is so obvious that failure to correct it would jeopardize the fairness and integrity of
the trial.”). We have stated that “there is no prohibition on colorful and perhaps
flamboyant remarks if they relate to the evidence adduced at trial.” Id. (quotation
marks omitted). We acknowledge that the prosecutor could have described the
quantity of drugs in Wren’s body in a less graphic manner. However, the truth is
that Wren did have a great deal of drugs in his system, and ultimately he died.
23
Case: 16-12978 Date Filed: 08/30/2019 Page: 24 of 67
Thus, the prosecutor’s description was consistent with the evidence presented at
trial. In short, the remark challenged by Mrs. Feldman does not amount to error,
let alone plain error.
As a final matter, Mrs. Feldman asserts that the alleged errors, when viewed
individually or cumulatively, prejudiced her substantial rights and deprived her of
a fair trial. “The cumulative error doctrine provides that an aggregation of non-
reversible errors . . . can yield a denial of the constitutional right to a fair trial,
which calls for reversal.” United States v. Capers, 708 F.3d 1286, 1299 (11th Cir.
2013) (quotation marks omitted). Because Mrs. Feldman has established no error,
she cannot prevail under the cumulative error doctrine. See United States v.
Gamory, 635 F.3d 480, 497 (11th Cir. 2011) (“Where there is no error or only a
single error, there can be no cumulative error.”).
V. Jury Instruction
Dr. Feldman argues that the district court abused its discretion by denying
his proposed jury instruction on his theory of defense.6 The specific instruction
Dr. Feldman requested was the following:
It is a physician’s duty and obligation to try to relieve a patient’s pain.
Therefore, it is ethical and medically justifiable for a physician to
prescribe controlled substances for a patient suffering from chronic
moderate to severe pain, even if the patient has developed a tolerance
or addiction to those substances. It is also ethical and medically
justifiable for such treatment to be performed for the purpose of
6
Mrs. Feldman adopts this argument.
24
Case: 16-12978 Date Filed: 08/30/2019 Page: 25 of 67
relieving chronic moderate to severe pain in a patient, regardless of the
patient’s [addiction] history.
The district court denied the instruction as argumentative, citing this Court’s
decision in United States v. Paradies, 98 F.3d 1266, 1287 (11th Cir. 1996), where
we rejected a defendant’s proposed jury instruction because it was partisan and
sought to have the court parrot the factual findings that the defendant was
advocating to the jury.
We review the district court’s refusal to give a requested jury instruction for
an abuse of discretion. United States v. Dohan, 508 F.3d 989, 993 (11th Cir.
2007). The district court’s refusal to give a requested instruction is reversible error
where the instruction “(1) was correct, (2) was not substantially covered by the
charge actually given, and (3) dealt with some point in the trial so important that
failure to give the requested instruction seriously impaired the defendant’s ability
to conduct his defense.” Eckhardt, 466 F.3d at 947–48.
Here, the district court did not abuse its discretion by refusing to give Dr.
Feldman’s proposed jury instruction. In the first place, Dr. Feldman has not cited
to any legal authority demonstrating that his requested instruction was a correct
statement of the law. Although he cites to Florida Statute § 765.1103—a statutory
provision governing pain management with respect to palliative care—this statute
does not state that it is ethical for a doctor to prescribe controlled substances for
chronic pain, regardless of a patient’s tolerance or addiction issues. See Fla. Stat.
25
Case: 16-12978 Date Filed: 08/30/2019 Page: 26 of 67
§ 765.1103 (providing that “practitioners . . . must, as appropriate, comply with a
request for pain management or palliative care from a patient under their care”).
Further, Dr. Feldman’s proposed jury instruction essentially asked the
district court to instruct the jury about the facts Dr. Feldman hoped the jury would
find: that it was ethically and medically justifiable for Dr. Feldman to prescribe
controlled substances without respect to the patient’s medical history or addiction
issues. See United States v. Maxwell, 579 F.3d 1282, 1304 (11th Cir. 2009)
(explaining that the district court is not obliged to present jury instructions that
“contain partisan and argumentative statements of law and fact”); Paradies, 98
F.3d at 1287 (same). The proposed instruction was plainly argumentative and the
court was not required to give a theory-of-defense instruction that “was more in the
nature of a jury argument than a charge.” United States v. Barham, 595 F.2d 231,
245 (5th Cir. 1979). In short, the district court’s refusal to give Dr. Feldman’s
proposed instruction was not an abuse of discretion.
VI. Sufficiency of the Evidence as to the Conspiracy Counts
Both Feldmans challenge the sufficiency of the evidence presented to
support each of their conspiracy convictions. We review challenges to the
sufficiency of the evidence de novo, “viewing the evidence in the light most
favorable to the government and drawing all reasonable inferences and credibility
choices in favor of the jury’s verdict.” United States v. Taylor, 480 F.3d 1025,
26
Case: 16-12978 Date Filed: 08/30/2019 Page: 27 of 67
1026 (11th Cir. 2007). “If a reasonable jury could conclude that the evidence
establishes guilt beyond a reasonable doubt, we will affirm the verdict.” Browne,
505 F.3d at 1253. “Because we recognize that ‘the jury is free to choose between
or among the reasonable conclusions to be drawn from the evidence presented at
trial,’ our sufficiency review requires only that a guilty verdict be reasonable, not
inevitable, based on the evidence presented at trial.” Id. (quotation marks omitted).
A. Conspiracy to distribute controlled substances without a
legitimate medical purpose (Count 1)
Both defendants challenge their conviction for conspiring to distribute or
dispense controlled substances without a legitimate medical purpose. To establish
a conviction for illegal distribution or dispensation of controlled substances under
21 U.S.C. § 841(a)(1), the Government must prove that the defendant distributed
or “dispensed controlled substances for other than legitimate medical purposes in
the usual course of professional [medical] practice, and that he did so knowingly
and intentionally.” United States v. Azmat, 805 F.3d 1018, 1035 (11th Cir. 2015)
(quotation marks omitted). In order to establish a conspiracy conviction, the
Government must show that: (1) “an agreement existed between two or more
persons to commit a crime” and (2) “the defendants knowingly and voluntarily
joined or participated in the conspiracy.” United States v. Seher, 562 F.3d 1344,
1364 (11th Cir. 2009) (quotation marks omitted). The existence of an agreement
may “be proved by inferences from the conduct of the alleged participants or from
27
Case: 16-12978 Date Filed: 08/30/2019 Page: 28 of 67
circumstantial evidence of a scheme.” Azmat, 805 F.3d at 1035 (quotation marks
omitted). “A conspiracy conviction will be upheld if ‘the circumstances
surrounding a person’s presence at the scene of conspiratorial activity are so
obvious that knowledge of its character can fairly be attributed to him.’” Id.
Here, the Feldmans do not challenge the jury’s finding that Dr. Feldman was
dispensing controlled substances outside the usual course of professional practice.
Instead, their arguments focus on whether Mrs. Feldman conspired with Dr.
Feldman to do so. We conclude that the Government presented ample evidence
from which a reasonable jury could conclude that the Feldmans had an agreement
to illegally distribute and dispense prescription medications.
The evidence presented at trial showed that Mrs. Feldman was extensively
involved in the operation of the clinic. She wore a white doctor’s coat, she sat in
on office visits, she encouraged new patient referrals, and she managed all of the
clinic’s money. Because staff members were instructed to copy the sign-in sheets
when providing Mrs. Feldman with any cash payments, the jury could infer that
Mrs. Feldman was aware of the large number of patients seen at the clinic each
day. According to former patient Charlene Riffle, Mrs. Feldman also wrote out
prescriptions ordered by Dr. Feldman while he sat at his desk eating fruit.
The Government presented sufficient evidence from which a reasonable jury
could infer not only that Mrs. Feldman was aware that Dr. Feldman was
28
Case: 16-12978 Date Filed: 08/30/2019 Page: 29 of 67
prescribing controlled substances outside the usual course of medicine but also that
she knowingly participated in his efforts to do so. Mrs. Feldman asked staff
members to alert her when law enforcement officers were present in the parking lot
and, on those days, she parked in the back of the office. Multiple staff members
also testified that Mrs. Feldman directed them to put post-it notes in patient files
for anyone whom they believed was an undercover law enforcement officer. She
told them that post-it notes were important, so they could be removed easily and
not become a permanent item in the file.
When the clinic began discharging too many patients, Mrs. Feldman
instructed staff to stop conducting urinalysis screenings. As two experts testified,
the urinalysis screenings are instrumental to determining whether a patient is
taking the medication as prescribed or diverting it to others. And, on at least one
occasion, Aimee Martin, a former patient and friend of the Feldmans, asked Mrs.
Feldman if she could fill her prescription early because it had run out. Mrs.
Feldman suggested that Martin instead take the medication of her husband—who
was also one of Dr. Feldman’s patients—thereby encouraging the use of controlled
substances outside the usual course of professional practice.
Additionally, Mrs. Feldman told former employee Melinda Detwiler that she
and Dr. Feldman had moved their assets into her name and the names of her
children, in case anything happened. Finally, as to Dr. Feldman, he testified that
29
Case: 16-12978 Date Filed: 08/30/2019 Page: 30 of 67
he did not have any agreement with Mrs. Feldman to illegally distribute controlled
substances, but the jury obviously rejected this testimony. We may therefore
consider his disbelieved testimony as substantive evidence of his guilt. See United
States v. Woodard, 459 F.3d 1078, 1087 (11th Cir. 2006) (“[A] defendant’s
testimony—if disbelieved by the jury—may be considered substantive evidence of
guilt.”).
Although Mrs. Feldman asserts that there was an innocent explanation for
her instruction to staff to stop conducing urinalysis screenings—the test was
purportedly too costly—Detwiler testified that the reason Mrs. Feldman instructed
staff to stop doing the test was because it was resulting in too many patients being
discharged. Further, Dr. Feldman admitted on cross-examination that the
urinalysis screening did not cost the clinic a lot of money, as the screening done in
the clinic was included in the cost of the office visit and the patient bore the cost of
any urinalysis screening sent to the laboratory. We are likewise unpersuaded by
Mrs. Feldman’s argument that she made the comment to Detwiler about shifting
her assets because she wanted to have everything in place if Dr. Feldman passed
away. Indeed, Detwiler testified that Mrs. Feldman made the comment during a
conversation about clinic patients who were being investigated by law
enforcement. Viewing all of the evidence in the light most favorable to the
Government, a reasonable jury could conclude that the Feldmans conspired and
30
Case: 16-12978 Date Filed: 08/30/2019 Page: 31 of 67
worked together to illegally dispense controlled substances without a legitimate
medical purpose.
B. Money Laundering (Counts 5 through 8)
The Feldmans also argue that the Government presented insufficient
evidence to establish that they conspired to commit money laundering or that they
committed any substantive money laundering offenses.
As to the conspiracy charge alleged in Count 5, the Government needed to
prove two elements to establish a conspiracy under § 1956(h): “(1) an agreement
between two or more persons to commit a money-laundering offense; and
(2) knowing and voluntary participation in that agreement by the defendant.”
United States v. Moran, 778 F.3d 942, 962 (11th Cir. 2015) (quotation marks
omitted). An essential element of money laundering conspiracy is that the
defendant “knew that the funds involved in the transactions represented the
proceeds of unlawful activity.” See United States v. Awan, 966 F.2d 1415, 1434
(11th Cir. 1992).
Relying on their argument that the Government presented insufficient
evidence as to the drug conspiracy alleged in Count 1, the Feldmans argue that the
evidence presented at trial was insufficient to prove beyond a reasonable doubt that
they knew the funds involved in the financial transactions at issue involved
criminal proceeds. However, based on our conclusion that sufficient evidence
31
Case: 16-12978 Date Filed: 08/30/2019 Page: 32 of 67
supported the drug conspiracy conviction, it necessarily follows that the Feldmans
knew that the transactions involved the proceeds of unlawful activity.
Dr. Feldman’s argument that the Government failed to present sufficient
evidence showing that the Feldmans conducted these financial transactions with
the intent to conceal the criminal proceeds is also without merit. Concealment was
only one of the objects of the conspiracy. Indeed, Count 5 alleged that the
Feldmans conspired to conduct a financial transaction with criminal proceeds from
the drug conspiracy (1) to promote the carrying on of unlawful activity, (2) to
conceal the proceeds, (3) to avoid transaction reporting requirements, and (4) to
engage in monetary transactions in property derived from a specified unlawful
activity. The jury determined that the Feldmans were guilty of all four objects of
the conspiracy. Further, Dr. Feldman does not challenge the jury’s finding as to
those other three objects, and he has therefore abandoned any challenge he may
have had. See United States v. Jernigan, 341 F.3d 1273, 1283 n.8 (11th Cir. 2003)
(stating that an issue not briefed on appeal is considered abandoned). Because the
Feldmans argue only that the Government failed to establish their knowledge of
the specified unlawful activity—the drug conspiracy—they are not entitled to relief
from their money laundering convictions. United States v. Ross, 131 F.3d 970, 984
(11th Cir. 1997) (“A guilty verdict in a multi-object conspiracy will be upheld if
the evidence is sufficient to support a conviction of any of the alleged objects.”).
32
Case: 16-12978 Date Filed: 08/30/2019 Page: 33 of 67
VII. Sufficiency of Evidence as to the Convictions Based on the
Dispensation of Controlled Substances Without a Legitimate
Medical Purpose that Resulted in Death (Counts 2 through 4)
In Counts 2 through 4, Dr. Feldman was charged with distribution of
controlled substances without a legitimate medical purpose resulting in the deaths
of three people: Joey Mayes (Count 2), Ricky Gonzalez (Count 3), and Shannon
Wren (Count 4). The jury convicted Dr. Feldman on all counts, finding that each
victim died as a result of ingesting drugs that Dr. Feldman had prescribed. On
appeal, Dr. Feldman challenges the sufficiency of the evidence showing that
Schedule II drugs he prescribed caused each victim’s death: a fact that triggers a
20-year mandatory minimum sentence under the Controlled Substances Act.
To establish a conviction for unlawful dispensation by a physician under
21 U.S.C. § 841(a)(1), the Government must establish that the defendant
knowingly and intentionally distributed or dispensed controlled substances other
than for a legitimate medical purpose and outside the ordinary course of
professional practice. 21 U.S.C. § 841(a)(1); Azmat, 805 F.3d at 1035. There is a
penalty-enhancement provision for § 841(a), which provides that a defendant shall
be sentenced to a term of not less than 20 years’ imprisonment, or more than life, if
he dispensed a Schedule I or II drug and death or serious bodily injury “results
from the use of such substance.” 21 U.S.C. § 841(b)(1)(C). “Because the ‘death
results’ enhancement increase[s] the minimum and maximum sentences to which
33
Case: 16-12978 Date Filed: 08/30/2019 Page: 34 of 67
[a defendant is] exposed, it is an element that must be submitted to the jury and
found beyond a reasonable doubt.” Burrage v. United States, 571 U.S. 204, 210
(2014) (citing Alleyne v. United States, 570 U.S. 99, 115–16 (2013), and Apprendi
v. New Jersey, 530 U.S. 466, 490 (2000)).
Here, Dr. Feldman’s sufficiency-of-the-evidence argument proceeds in two
parts. First, he argues that the evidence was insufficient to prove that it was he
who prescribed the specific drugs that were ingested by each victim. Second, he
argues that the evidence was insufficient to prove that the Schedule II drugs
(oxycodone and methadone)—prescribed by him and ingested by the victims—
were a but-for cause of each victim’s death. We disagree on both fronts and
address each issue in turn.
A. Drugs Ingested by the Deceased Were Prescribed by Dr.
Feldman
Evidence presented at trial fully supported the jury’s finding that, as charged
in the indictment, the specific drugs ingested by each victim (Mayes, Gonzalez,
and Wren) were prescribed by Dr. Feldman.
1. Ricky Gonzalez
The trial evidence was sufficient to show that Dr. Feldman prescribed the
specific drugs ingested by Ricky Gonzalez. On October 5, 2010, only three days
before his death, Gonzalez received a prescription from Dr. Feldman for 240 30-
milligram pills of oxycodone and 90 10-milligram pills of diazepam (Valium).
34
Case: 16-12978 Date Filed: 08/30/2019 Page: 35 of 67
Gonzalez’s girlfriend, Casey Osteen, testified that she saw Gonzalez take
oxycodone and diazepam from prescriptions dispensed by Dr. Feldman the night
before he died. When she last saw Gonzalez at approximately 11:00 p.m. that
night, he appeared “lethargic” and “groggy.”
Gonzalez was found dead in his front yard the next day, October 8, 2010.
Officers found the bottle of diazepam prescribed by Dr. Feldman in Gonzalez’s
pants pocket. The bottle contained only 8 of the 90 10-milligram pills of diazepam
prescribed by Dr. Feldman, as well as 35 other diazepam pills of varying dosages.
The bottle of oxycodone prescribed by Dr. Feldman three days earlier was found
empty and smashed near a neighbor’s truck. Finally, the toxicology reports
confirmed that Gonzalez had oxycodone and diazepam—the same two drugs
prescribed by Dr. Feldman—in his system. Based on this evidence, a reasonable
jury could infer that the drugs ingested by Gonzalez were prescribed by Dr.
Feldman.
2. Joey Mayes
The evidence was also sufficient to demonstrate that Dr. Feldman prescribed
the specific drugs Mayes ingested. Mayes first visited Dr. Feldman on March 12,
2010 complaining of back pain. On this visit, Dr. Feldman prescribed Mayes 240
30-milligram tablets of oxycodone, 60 2-milligram tablets of alprazolam (Xanax),
and 60 2-milligram tablets of methadone. Less than one week later, on March 18,
35
Case: 16-12978 Date Filed: 08/30/2019 Page: 36 of 67
2010, officers responded to a call from Mayes’ residence reporting his sudden
death from a possible drug overdose. Mayes’ mother testified at trial that she
observed Mayes taking the medications prescribed by Dr. Feldman the day before
he died. Officers found multiple pill bottles in Mayes’ room, including empty pill
bottles for the oxycodone and alprazolam prescriptions dispensed by Dr. Feldman
on March 12. A subsequent toxicology report revealed that, at the time of death,
Mayes had in his system methadone or methadone metabolites, oxycodone, and
alprazolam: the same three drugs that Dr. Feldman had prescribed.
Based on this evidence, a reasonable jury could find beyond a reasonable
doubt that the controlled substances ingested by Mayes were prescribed by Dr.
Feldman. Indeed, the controlled substances found in Mayes’ system were the same
type of substances prescribed by Dr. Feldman just one week before. In addition,
the pill bottles containing those prescriptions were found empty in Mayes’ room.
See United States v. Merrill, 513 F.3d 1293, 1299 (11th Cir. 2008) (concluding that
sufficient evidence established that a doctor’s recent prescriptions led to the
patients’ deaths given the short time period between the prescription and the fact
that the defendant “prescribed for each of these patients the exact type of drug the
medical examiner found to have caused their deaths”).
36
Case: 16-12978 Date Filed: 08/30/2019 Page: 37 of 67
3. Shannon Wren
Finally, the evidence was sufficient to prove that Dr. Feldman had
prescribed the specific drugs Wren ingested. Wren was initially seen by Dr.
Feldman on May 18, 2011, at which time Dr. Feldman prescribed Wren 120 15-
milligram tablets of oxycodone, 60 10-milligram tablets of diazepam, and 60 25-
milligram tablets of amitriptyline.
Approximately one week later, on May 26, 2011, Wren was seen vomiting
and coughing by his girlfriend as she left for work. Later that day, Wren was
found dead in his master bathroom. The first officer on the scene found multiple
pill bottles in the bathroom. 7 Included in those medications were the containers of
amitriptyline that Dr. Feldman had prescribed on May 18, which contained only 34
pills out of the 60-count prescription. Subsequently, Wren’s father handed over to
an investigating agent the bottles of oxycodone and diazepam prescribed by Dr.
Feldman, which were empty at that time.
The subsequent autopsy revealed oxycodone, diazepam and its metabolites,
and amitriptyline and its metabolites in Wren’s system. During Wren’s May 18
visit, Dr. Feldman had prescribed oxycodone, diazepam, and amitriptyline, which
7
These bottles contained melatonin, gabapentin, fluoxetine, metoprolol, trazodone, anastrozole,
injectable testosterone, citalopram, adrenal tea capsule, and amitriptyline. Of these substances,
only amitriptyline was found in Wren’s system during the autopsy. As noted in text, Dr.
Feldman had recently prescribed amitriptyline.
37
Case: 16-12978 Date Filed: 08/30/2019 Page: 38 of 67
were the same drugs found in Wren’s system after he died. As with the other two
victims, a reasonable jury could conclude that the drugs that Wren ingested were
prescribed by Dr. Feldman.
In short, with respect to each victim, a jury could readily find beyond a
reasonable doubt that the controlled substances the victim had ingested were
prescribed by Dr. Feldman.
B. Sufficient Evidence Was Presented at Trial From Which a Jury
Could Conclude That But for Ingestion of the Schedule II
Drugs Prescribed by Dr. Feldman, the Victims Would Not Have
Died
As noted, the Government had sought an enhancement of Dr. Feldman’s
sentence on these three substantive drug counts. To repeat, the enhancement
provision in question imposes a 20-year mandatory minimum sentence and an
increased maximum sentence for a defendant who has distributed a Schedule I or II
drug when death or serious bodily injury “results from the use of such substance.”
21 U.S.C. § 841(b)(1)(C). On appeal, Dr. Feldman argues that there was
insufficient evidence to prove that the Schedule II drugs he prescribed caused the
victims’ deaths.
As to the role played by a Schedule II drug, the jury found in its special
verdict that “but for” the Schedule II and Schedule IV drugs prescribed to each
victim by Dr. Feldman, death would not have resulted. Dr. Feldman argues,
however, that to convict a person based on death resulting from distribution of a
38
Case: 16-12978 Date Filed: 08/30/2019 Page: 39 of 67
Schedule II drug, the Government must prove that the Schedule II drug was the
“sole,” the “only,” or the “independent” cause of each victim’s death, and that the
Government failed to do so. More particularly, he argues that because each victim
also had a non-Schedule II drug in their bodies—which was also prescribed by Dr.
Feldman—and because the non-Schedule II drug potentially contributed to the
victim’s death, the Schedule II drug cannot be said to have caused the particular
victim’s death.
In arguing that the Government must prove that the Schedule II drug alone
caused the death of the victim, Dr. Feldman relies on Burrage v. United States, 571
U.S. 204 (2014), which examined the causality requirement of § 841(b)(1)(C) of
the Controlled Substances Act. As we explain below, his argument misreads
Burrage, which neither requires proof that a Schedule I or II drug “alone” caused a
victim’s death nor precludes application of § 841(b)(1)(C)’s mandatory minimum
sentence in mixed-drug intoxication cases. Instead, Burrage held only that, “where
use of the drug distributed by the defendant is not an independently sufficient
cause of the victim’s death or serious bodily injury, a defendant cannot be liable
under the penalty enhancement provision of 21 U.S.C. § 841(b)(1)(C) unless such
use is a but-for cause of the death or injury.” Id. at 218–19 (emphasis added).
Applying that standard, we find that sufficient evidence of but-for causation was
presented at trial.
39
Case: 16-12978 Date Filed: 08/30/2019 Page: 40 of 67
1. Burrage
In Burrage, the victim had died after ingesting alprazolam, clonazepam,
oxycodone, hydrocodone, and heroin. 571 U.S. at 207. The defendant had
provided the victim only with the heroin, which is a Schedule I drug, and he was
tried based on that distribution, as well as on the enhancement penalty triggered by
§ 841(b)(1)(C) when death results from distribution of a Schedule I or II drug. Id.
at 206–07. Neither expert witness could say whether the victim would have lived
had he not taken the heroin; in other words, he might have died even without the
heroin, given the other drugs he had taken. Id. at 207. This failure of proof meant
that the Government had not proved that but for the heroin, the victim would have
lived. Id. Nevertheless, the district court concluded that the Government was not
required to prove that the heroin was a “but-for” cause of the victim’s death, and it
instructed the jury that it could find that death resulted from the defendant’s heroin
distribution if it merely found that the heroin was a “contributing cause” of the
victim’s death. Id. at 207–08.
The Supreme Court disagreed with the causation standard adopted by the
district court. Because § 841(b)(1)(C) does not define the phrase “results from,”
the Court applied its ordinary meaning, concluding that the phrase imposed the
“traditional” requirement of “actual causality.” Id. at 210–11. Proving “actual
causality,” the Court explained, generally requires proof that, at a minimum, “the
40
Case: 16-12978 Date Filed: 08/30/2019 Page: 41 of 67
harm would not have occurred in the absence of—that is, but for—the defendant’s
conduct.” Id. at 211 (quotation marks omitted). In other words, a factor can be
considered an “actual cause” if it was necessary for bringing about that result—that
is, if the result would not have occurred without (or “but for”) the influence of the
factor.
To illustrate how this but-for notion of “actual causation” applies, the Court
used three hypotheticals. Id. at 211–12. In the first hypothetical, “A shoots B,
who is hit and dies.” Id. at 211. In this case, only one factor is in play—A’s
conduct in shooting B. The Court explained that, in this example, A actually
caused B’s death because B would not have died “but for” A’s conduct. Id. In
other words, A’s conduct was necessary for producing B’s death: had A not shot
B, B would have lived.
The Court made clear, though, that but-for causality does not require that a
single factor alone produce the particular result. As the Court explained, “[t]he
same conclusion follows if the predicate act combines with other factors to
produce the result, so long as the other factors alone would not have done so—if,
so to speak, it was the straw that broke the camel’s back.” Id. (emphasis added).
To illustrate how a factor can be a but-for cause (that is, a necessary factor for
producing a result) even when other factors are themselves but-for causes, the
Court posed a second hypothetical.
41
Case: 16-12978 Date Filed: 08/30/2019 Page: 42 of 67
In this hypothetical, a “man debilitated by multiple diseases” ingests poison
and dies. Id. Here, the Court explained, the poison “is a but-for cause of his death
even if those diseases played a part in his demise, so long as, without the
incremental effect of the poison, he would have lived.” Id. Thus, both the poison
and the debilitating diseases are but-for causes of the death if each factor played a
necessary role in producing that outcome. Further, the poison and the debilitating
diseases would each constitute a but-for cause of the man’s death—“the straw that
broke the camel’s back”—if the man would have lived had he (1) only had
debilitating diseases, but not taken the poison or (2) only taken the poison, but not
had debilitating diseases. In other words, had one of these factors been absent, the
decedent would not have died. If, however, a debilitating disease was
“independently sufficient”—that is, enough by itself—to kill the man at the same
time that he was ingesting the poison, the “incremental effect” of the poison was
not necessary to produce the resulting death. Id. at 211, 218–19. In that case, the
poison would not be considered a but-for cause of the man dying; it was not “so to
speak, [] the straw that broke the camel’s back,” because the debilitating disease
had performed that function.8 Id. at 211.
8
The Supreme Court considered, but did not decide, the question of causation when a victim
dies following two concurrent events, each of which would have been enough on its own to
cause death. The Court posited a scenario in which “A stabs B, inflicting a fatal wound; while at
the same moment X, acting independently, shoots B in the head also inflicting a fatal wound; and
B dies from the combined effects of the two wounds.” Burrage, 571 U.S. at 215 (alterations
42
Case: 16-12978 Date Filed: 08/30/2019 Page: 43 of 67
The Court further elaborated on the but-for-causation principle in a third
hypothetical, asking the reader to consider a baseball game where the visiting
team’s leadoff batter hits a home run in the first inning and the visiting team
ultimately wins 1 to 0. Id. at 211–12. The Court noted that one could accurately
say that the home run actually caused the victory because the visiting team would
not have won but for the home run—that is, the home run was necessary for the 1-
0 victory to occur. Id. The Court explained that the home run was no less a but-
for cause of the victory just because it was only one of many but-for causes that
were each necessary for the visiting team to win. Id. at 212. As the Court put it,
“[i]t is beside the point that the victory also resulted from a host of other necessary
causes, such as skillful pitching, the coach’s decision to put the leadoff batter in the
lineup, and the league’s decision to schedule the game.” Id. (emphasis in original).
This is so because whether a factor is a but-for cause turns only on whether the
accepted) (citation omitted). In other words, B would have died had he only been stabbed.
Likewise, he would have died had he only been shot. Each was an independent sufficient cause
of his death.
Quoting from the noted criminal law treatise, LaFave, Substantive Criminal Law at 468, the
Supreme Court noted that the treatise recognizes a special rule for such scenarios providing that
“A will generally be liable for homicide even though his conduct was not a but-for cause of B’s
death (since B would have died from X’s actions in any event).” Id. The Court acknowledged,
however, that: “We need not accept or reject the special rule developed for [the above scenario],
since there was no evidence here that [the decedent’s] heroin use was an independently sufficient
cause of his death. No expert was prepared to say that [the decedent] would have died from the
heroin use alone.” Id.
43
Case: 16-12978 Date Filed: 08/30/2019 Page: 44 of 67
result would have occurred without it; that is, whether that individual factor made a
difference to the outcome.
“By contrast,” the Court says, “it makes little sense to say that an event
resulted from or was the outcome of some earlier action if the action merely played
a nonessential contributing role in producing the event.” Id. Thus, the Court
explains, if we modify the baseball hypothetical such that the visiting team’s
leadoff batter hits a home run in the first inning, but the visiting team ultimately
wins by 5 to 2 rather than 1 to 0, the home run was not a but-for cause of the
victory. Id. This is so because the visiting team would have won even without the
home run: the visiting team had a total of 5 runs and only needed 3 to win,
meaning that the other runs that the visiting team scored were collectively
sufficient on their own to cause the victory without needing the incremental effect
of the leadoff hitter’s home run. In this scenario, the leadoff home run played a
nonessential role in producing the outcome. It did not “[break] the camel’s back.”
Id. at 211.
2. Application of Burrage to Multi-Drug-Usage Scenarios
In order to determine when one can properly conclude that death has
resulted from the ingestion of a Schedule I or II drug, which event triggers
§ 841(b)(1)(C)’s sentence enhancement, we move away from our national pastime
44
Case: 16-12978 Date Filed: 08/30/2019 Page: 45 of 67
to examine how Burrage applies to various multi-drug use scenarios involving the
ingestion of a Schedule I or II drug together with non-Schedule I or II drugs.
First, we posit a deceased who ingested heroin, a Schedule I drug, in an
amount large enough to constitute a fatal dose for this person had the heroin been
taken alone. In this hypothetical, we further assume that the decedent had also
taken Valium, a Schedule IV drug, 9 but that the Valium, by itself, would not have
caused death. Figuring out causation here is simple. Because the drug user has
died from this fatal dose of heroin, we can readily say that the heroin was a but-for
cause of his death. In other words, because the decedent would have lived had he
not ingested the heroin, use of the heroin was necessary for producing the death.
Indeed, if the prosecution proved that the drug user took a fatal dose of
heroin that by itself would have been enough to produce death, this evidence
satisfies a higher standard for proving actual causation than even Burrage’s but-for
test requires. In this situation, the heroin was not only a necessary, but-for cause of
the death, but it was also independently sufficient, by itself, to cause the user’s
death, even without the influence of any other factors, including the Valium.
Second, we change the facts a bit to assume that the deceased not only
ingested enough heroin that by itself would be fatal, but he also took enough
9
Valium, whose generic version is called diazepam, is a Schedule IV drug that does not give
rise to an enhancement if death results.
45
Case: 16-12978 Date Filed: 08/30/2019 Page: 46 of 67
Valium that, had the Valium been taken alone, it would likewise have caused
death. In other words, each of the two drugs independently would have caused
death. Although the Supreme Court expressly declined to reach this particular
scenario,10 there is a strong argument that the heroin should be considered to have
caused the death for purposes of the sentencing enhancement. If actual causation
can be established by proving a factor was necessary to cause a result (meaning it
satisfies the but-for test), it logically follows that actual causation can also be
established by satisfying a higher standard for proving that the factor was
sufficient, by itself, to cause the result. It would create an extremely odd result if
the purveyor of a Schedule I or II drug that was strong enough by itself to cause
death could escape liability merely because the victim also happened to have taken
a non-Schedule I or II drug that was itself independently sufficient to cause death.
And the Supreme Court in Burrage indicated that it did not require satisfaction of
the but-for test when the drug at issue is an independently sufficient cause of the
victim’s death. Burrage, 571 U.S. at 218–19.
Our third hypothetical takes us into a scenario in which the heroin is not a
but-for cause. In this hypothetical, where again the deceased has taken both heroin
and Valium, we assume that the heroin was not enough, by itself, to induce death,
but that the Valium dosage was strong enough to have caused the decedent to die,
10
See discussion at n.8, supra.
46
Case: 16-12978 Date Filed: 08/30/2019 Page: 47 of 67
even had he not ingested any heroin. In this scenario, use of the heroin does not
meet the but-for test because it had no impact on what ultimately happened to the
drug user. He would have died—whether or not he had used heroin—because the
Schedule IV Valium was going to kill him anyway.
In our fourth and final hypothetical, we assume the heroin would not have
caused the deceased’s death had it been taken alone, but likewise the deceased
would not have died had he taken just the Valium. Yet, by virtue of the fact that he
ingested the heroin along with the Valium, he died. Here, the heroin can be
considered the straw that broke the camel’s back. Stated another way, had the
victim never ingested the heroin, the decedent would still be alive. We conclude
that, consistent with Burrage, the but-for test for the heroin is met in this scenario.
Dr. Feldman, however, disagrees with our analysis, at least as to this fourth
scenario. In the present case, the evidence established that each victim had
ingested two types of drugs prescribed by the doctor: Schedule II drugs
(methadone and oxycodone for one victim and oxycodone for the other two
victims) and a non-Schedule II drug (Xanax as to one victim and Valium as to the
other two victims). Further, the evidence supported an inference either that the
Schedule II drugs were independently sufficient to cause each victim’s death or, at
the very least, that neither of the non-Schedule II drugs would have caused death
had the decedent not ingested the Schedule II drug(s). Thus, the evidence clearly
47
Case: 16-12978 Date Filed: 08/30/2019 Page: 48 of 67
established that, had each respective victim not used the Schedule II drug in
question, he would not have died. In other words, but for the Schedule II drugs,
the victims would still be alive.
It is Dr. Feldman’s position, though, that causation cannot be established
unless the Schedule II drug was the sole or only cause of death. According to the
doctor, if the non-Schedule II drugs (that he had also prescribed together with the
Schedule II drugs) played any role in causing the victim’s death, it can no longer
be said that use of the Schedule II drugs resulted in death, even though the
Schedule II drugs have met the but-for test. That certainly sounds like an odd
conclusion. And it is. Burrage does not require proof that a Schedule I or II drug
be the “only” cause of a victim’s death. Indeed, the Court explicitly rejected that
characterization of but-for causation, stating that a factor can be a but-for cause
even if it “combines with other factors to produce the result,” and that whether “a
host of other necessary causes” might also contribute to the result is “beside the
point.” Id. at 211–12 (emphasis in original). Moreover, a rule requiring proof that
a drug is the one-and-only but-for cause would be tantamount to requiring a
showing that the drug was “independently sufficient” to cause the death—a bar
that is much higher that the “minimum” showing of but-for causation that Burrage
required. Id. at 211 (emphasis in original). Notably, Burrage expressly held that
the Government need not prove that a Schedule I or II drug was “an independently
48
Case: 16-12978 Date Filed: 08/30/2019 Page: 49 of 67
sufficient cause of the victim’s death or serious bodily injury,” stating that only
but-for causation is required, and implying that we can dispense with the but-for
test when a drug is an independently sufficient cause of death. Id. at 218–19.
Likewise, Dr. Feldman’s argument that evidence of “mixed-drug
intoxication” necessarily precludes a finding that a victim died as a result of a
Schedule I or II drug finds no support in Burrage. In Burrage, the medical experts
testified that the victim had died from “mixed drug intoxication with heroin,
oxycodone, alprazolam, and clonazepam all playing a contributing role.” Id. at
207 (quotation marks omitted). Neither expert could say, however, “whether [the
victim] would have lived had he not taken the heroin.” Id. In concluding that
insufficient evidence supported the defendant’s conviction, the Court held that
proving actual causation required more than showing that a Schedule I or II drug
“contributes to an aggregate force (such as mixed-drug intoxication) that is itself a
but-for cause of death.” Id. at 214. But this statement in no way suggests that a
defendant is off the hook anytime a Schedule I or II drug that he distributed ends
up in a deadly drug cocktail that kills a victim. Instead, the Court’s statement was
intended to clarify that the Government could not establish that a Schedule I or II
drug actually caused a death without evidence that the Schedule I or II drug
itself—as opposed to the drug cocktail as a whole—made a difference to the
outcome. Id. at 214, 219 (concluding that the lack of “evidence that [the victim]
49
Case: 16-12978 Date Filed: 08/30/2019 Page: 50 of 67
would have lived but for his heroin use” required reversal of the defendant’s
conviction). In other words, to prove but-for causation, the Government must drill
down and show that, but for the Schedule I or II drug’s inclusion in the drug
cocktail, the victim would have lived. If the Government makes that showing, it is
“beside the point” that other drugs were necessary to make the drug cocktail
deadly. See id. at 211–12, 218–19.
Indeed, a sister circuit, the Sixth Circuit, has reached the same conclusion.
In United States v. Volkman, 797 F.3d 377, 396 (6th Cir. 2015), the defendant
doctor had been convicted of the enhancement provision based on his dispensing
of the Schedule II drug oxycodone to the victim. He argued that because the
decedent died based on the “combined effects of oxycodone, diazepam, and
alprazolam,” the Government had failed to prove that the death resulted from the
ingestion of oxycodone. Id. at 395. Relying on Burrage, the Sixth Circuit panel
rejected this argument, holding that “[t]he Government was not required to prove,
however, that oxycodone was [the victim’s] only cause of death” because “but-for
causation exists where a particular controlled substance—here, oxycodone—
‘combines with other factors’—here, inter alia, diazepam and alprazolam—to
result in death,” and “[t]he Government presented sufficient oxycodone-specific
evidence for a rational jury to find that, ‘without the incremental effect’ of the
oxycodone, [the victim] would not have died.” Id. So it is here. As Volkman
50
Case: 16-12978 Date Filed: 08/30/2019 Page: 51 of 67
explained, “the existence of other potential contributing causes of death is
irrelevant so long as the Government presented sufficient evidence that [the
Schedule II controlled substance] was a but-for cause of [the victim’s] death.” Id.
at 395–96; see also Roundtree v. United States, 885 F.3d 1095, 1098 (8th Cir.
2018) (concluding that where an expert testified that heroin and alcohol had
worked together “synergistically” to cause death and where alcohol was not
enough by itself to cause death, no reasonable jury could find that the heroin was
merely a contributory factor, as opposed to a but-for cause).
With these principles in mind, we conclude that the Government presented
sufficient evidence for each of Counts 2–4 to prove beyond a reasonable doubt that
a Schedule II drug that Dr. Feldman prescribed (methadone or oxycodone) was, at
a minimum, a but-for cause of each victim’s death.
3. Ricky Gonzalez
The evidence presented at trial was sufficient to support a conclusion that a
Schedule II drug—oxycodone—was a but-for cause of Gonzalez’s death. First,
evidence provided by the defense expert, Dr. Adams, indicated that there was
enough oxycodone in Gonzalez’s system to kill a person who did not have a high
degree of tolerance. In other words, use of oxycodone was a potentially sufficient
cause, by itself, to cause death.
51
Case: 16-12978 Date Filed: 08/30/2019 Page: 52 of 67
But whether or not oxycodone was a sufficient cause, there was ample
evidence from which a jury could conclude that but for Gonzalez’s use of
oxycodone, he would not have died. Dr. Thogmartin, the medical examiner who
performed Gonzalez’s autopsy, observed that Gonzalez had pulmonary edema, or
fluid-filled lungs, an occurrence often seen in drug overdoses. Dr. Thogmartin
concluded that Gonzalez’s cause of death was oxycodone toxicity with a
contributory condition of diazepam (Valium) intoxication. 11
Noting that Gonzalez had a significant amount of oxycodone and diazepam
in his system, the doctor explained that the oxycodone, a Schedule II drug, had
“poisoned” Gonzalez and the diazepam, a Schedule IV drug, had reacted
“synergistically” to speed up his death. He explained that in an overdose scenario
involving the mixture of an opiate, such as oxycodone, and a benzodiazepine, such
as diazepam, the “main player” in causing death is the opiate, with the
benzodiazepine acting as only a “minor leaguer,” a “contributory cause.” As to
how he would characterize such an interaction, he determined that the oxycodone
was “the big player” and therefore the “cause of death,” and that the diazepam
“was not lethal in and of itself, but a helper.” Indeed, in explaining that
“oxycodone is the big player,” the doctor doubted that diazepam alone would have
11
Again, the jury concluded that Dr. Feldman had prescribed both the oxycodone and diazepam
found in Gonzalez’s system.
52
Case: 16-12978 Date Filed: 08/30/2019 Page: 53 of 67
killed Gonzalez,” noting that “[d]iazepam is really hard to overdose on. . . . I mean,
you’d have to like eat a ton and even then you may not die.” While he thought
there was enough oxycodone here to kill Gonzalez by itself, he couldn’t say for
certain that Gonzalez would have died had he not also ingested the diazepam, as
that is the typical scenario he has observed. Nevertheless, Dr. Thogmartin
concluded, with a reasonable degree of medical certainty, that if it were not for the
oxycodone he ingested, Gonzalez would “not have died this day of this death.” In
short, the doctor concluded that Gonzalez died of oxycodone intoxication, with
death having been sped up by the concurrent ingestion of the diazepam.
In short, at the least, a jury could reasonably conclude that the oxycodone
was a necessary, but-for cause of his death. In other words, Gonzalez would have
remained alive had he not ingested this Schedule II drug. Even assuming that the
diazepam may have also constituted a necessary, but-for cause of death, that fact
does not deprive the oxycodone of its own “but-for” status. To argue that it does is
to conclude that the oxycodone had to be a sufficient cause of death: that is, that
the drug had to, by itself, be capable of causing death. As explained above, this is
not how Burrage defined a but-for cause and indeed Burrage made clear that there
can be multiple but-for causes of an event. Accordingly, a reasonable jury could
conclude beyond a reasonable doubt that Gonzalez died as a result of a Schedule II
drug that Dr. Feldman prescribed: namely, oxycodone.
53
Case: 16-12978 Date Filed: 08/30/2019 Page: 54 of 67
4. Joey Mayes
The toxicology report indicated that Mayes had ingested two Schedule II
drugs—methadone and oxycodone—and one Schedule IV drug—alprazolam
(Xanax). Dr. Feldman had prescribed all three drugs. There was testimony from
both the Government’s expert, who was the medical examiner who performed the
autopsy, and from the defense expert that there was enough methadone in Mayes’
system to kill him, even had other drugs not been ingested.
As for the defense expert, Dr. Adams testified that Mayes’ cause of death
was “intoxication by methadone,” which was “the only drug on board capable of
causing a cardiac death.” From that testimony, alone, a jury could have found, at a
minimum, that methadone played a necessary (but-for) role in Mayes’ death,
without which he would have lived. Moreover, because Dr. Adams’ testimony
exculpated the Schedule IV alprazolam, as well as the Schedule II oxycodone, a
jury would have been entitled to find that methadone was also an “independently
sufficient cause” of Mayes’ death. Burrage, 571 U.S. at 218–19.
As for the Government’s expert, in his autopsy report, Dr. Wilson had listed
the cause of death as multidrug toxicity involving the above-listed drugs. He did
not stop there, however. Dr. Wilson further testified that Mayes had “particularly
elevated” levels of methadone in his system in an amount that was enough by itself
to kill him, and he made clear that the methadone was the critical drug necessary to
54
Case: 16-12978 Date Filed: 08/30/2019 Page: 55 of 67
have caused Mayes’ death. Further, given the high level of methadone, Mayes
would have died even had he received quicker medical attention. In addition to the
methadone, Dr. Wilson also stated that there was likely enough oxycodone (a
Schedule II drug), by itself, to kill Mayes.
And while the doctor acknowledged that his autopsy report had used the
phrase “multidrug toxicity,” explaining that in his opinion each drug “had a role”
in killing Mayes, acting “synergistically” with one another, he reiterated that the
methadone was “the major drug that was involved in Mr. Mayes’ death, with
distributing effects from alprazolam as well as oxycodone.”
Based on this testimony, a reasonable jury could conclude that each of the
Schedule II drugs (methadone and oxycodone) played, at a minimum, a necessary
“but-for” role in causing Mayes’ death. As discussed above, that another drug (the
alprazolam) may have also played a necessary role in causing Mayes’ death is
“beside the point.” Id. at 211–12.
5. Shannon Wren
As to Shannon Wren, defense expert Dr. Adams opined that the cause of
death for this decedent was a heart attack, not the drugs ingested by Wren. The
medical examiner, Dr. Wilson, disagreed. Instead, Dr. Wilson concluded that
Wren died from multidrug toxicity. He testified that the oxycodone in Wren’s
system would have been enough, by itself, to kill him, and that the diazepam would
55
Case: 16-12978 Date Filed: 08/30/2019 Page: 56 of 67
not have been sufficient to kill Wren, by itself. As to listing the ultimate cause of
death as multidrug toxicity, he explained that each of the drugs acted with the
others to cause death. 12
In short, taking the evidence in the light most favorable to the Government,
this evidence was sufficient to support an inference that the oxycodone was a
sufficient cause of Wren’s death, as well as a necessary, “but-for” cause.
Dr. Feldman points out that his expert, Dr. Adams, disagreed with Dr.
Wilson’s conclusion that Wren died from multidrug toxicity. Instead, Dr. Adams
believed that Wren’s enlarged heart and the fact that he was found dead on the
bathroom floor indicated that he had died from sudden cardiac arrest, rather than
from a drug overdose. Dr. Adams did not perform the autopsy, however; Dr.
Wilson did. Further, Dr. Wilson considered Wren’s enlarged heart and
nevertheless concluded that there was no evidence of heart attack because there
was “still enough . . . reservoir opening of the coronary arteries to give enough
blood to the heart.” It was within the province of the jury to choose among the
reasonable constructions of the evidence and weigh Dr. Wilson’s testimony more
heavily than Dr. Adams’. See United States v. Ndiaye, 434 F.3d 1270, 1294 (11th
12
The drugs found in Wren’s system included oxycodone, diazepam, amitriptyline, and
metabolites of the latter two drugs. Like diazepam, amitriptyline (more familiarly known as the
antidepressant Elavil) is a Schedule IV drug. The defense expert indicated that this Elavil was in
“an innocuous concentration,” and the Government’s expert did not focus on it at all. Nor was
this drug listed on the special verdict form.
56
Case: 16-12978 Date Filed: 08/30/2019 Page: 57 of 67
Cir. 2006) (“Because the jury is free to choose among reasonable constructions of
the evidence, the evidence may be sufficient even if it is not entirely inconsistent
with conclusions other than guilt.”).
In sum, when viewed in the light most favorable to the Government, there
was sufficient evidence from which a reasonable jury could conclude that a
Schedule II drug prescribed by Dr. Feldman—methadone and oxycodone in
Mayes’ case, and oxycodone in Gonzalez’s and Wren’s cases—was, at the very
least, a but-for cause of each of the victims’ deaths, if not an independently
sufficient cause.
VIII. Alleged Alleyne Error
Dr. Feldman asserts that even if there was sufficient evidence to support the
sentencing enhancement for Counts 2–4, its application in this case was
unconstitutional under Alleyne v. United States, 570 U.S. 99 (2013). The
Government does not dispute that Dr. Feldman adequately preserved this issue
below, and we therefore review his claims of Alleyne error de novo. United States
v. King, 751 F.3d 1268, 1278–79 (11th Cir. 2014).
As noted above, in Counts 2–4, Dr. Feldman was convicted of violating
21 U.S.C. § 841(a)(1) based on his unlawful dispensing of oxycodone (a Schedule
II drug), methadone (a Schedule II drug), alprazolam (a Schedule IV drug), and
diazepam (a Schedule IV drug) to the three individuals identified in those counts.
57
Case: 16-12978 Date Filed: 08/30/2019 Page: 58 of 67
The jury rendered that verdict by answering in the affirmative the special verdict
form’s 13 first two questions for each count, finding that Dr. Feldman was guilty of
distributing and dispensing the Schedule II and Schedule IV drugs identified in the
indictment. Although Dr. Feldman challenged the sufficiency of the evidence
supporting his conviction for conspiracy to distribute these substances and argued
that insufficient evidence supported a jury finding that the Schedule II drugs
resulted in death, he has not challenged his substantive distribution convictions.
And even had he done so, we would have rejected that challenge. There is ample
evidence to support the jury’s conclusion that Dr. Feldman prescribed all of these
substances to the particular victims and that he did so not for a legitimate medical
purpose and not in the usual course of professional practice.
The maximum penalty for an “unenhanced” conviction based on distribution
of a Schedule II drug is 20 years’ imprisonment. 21 U.S.C. § 841(b)(1)(C). Thus,
without any other enhancements, Dr. Feldman was subject to a 20-year maximum
sentence, with no mandatory-minimum provision, for each conviction set out in
Counts 2–4.
The Government, however, sought an enhanced sentence, alleging that each
of the victims identified for purposes of Counts 2–4 had died as a result of their
13
The special verdict form for each victim included four overarching questions, with two of the
questions including sub-parts that asked the jury to make findings regarding each specified
controlled substance.
58
Case: 16-12978 Date Filed: 08/30/2019 Page: 59 of 67
ingestion of the Schedule II drugs prescribed by Dr. Feldman. Under the
Controlled Substances Act’s sentence-enhancement provision, if death results from
the use of a Schedule II substance, the person convicted of distributing that drug is
subject to a mandatory-minimum 20-year sentence, with a statutory maximum of
life imprisonment. Id. § 841(b)(1)(C). Death resulting from ingestion of a
Schedule IV substance, however, results in no enhancement.
The district court determined that the jury had convicted Dr. Feldman of
conduct justifying the above enhancement. As a result, Dr. Feldman was subject to
a mandatory-minimum 20-year sentence, and the district court ultimately decided
that a 300-month sentence (25-years) was a reasonable sentence based on the
conduct underlying these three convictions.14
“Because the ‘death results’ enhancement increase[s] the minimum and
maximum sentences to which [a defendant is] exposed, it is an element that must
be submitted to the jury and found beyond a reasonable doubt.” Burrage, 571 U.S.
at 210 (citing Alleyne, 570 U.S. at 115–16, and Apprendi, 530 U.S. at 490). Dr.
Feldman asserts that the jury did not convict him of distributing a Schedule II
substance from which death has resulted, which, if correct, would mean that the
14
Dr. Feldman received a 10-year sentence for his convictions for conspiracy to distribute
controlled substances and conspiracy to commit money laundering, a 10-year sentence for his
substantive money laundering convictions, and a 25-year sentence for the enhanced distribution
of a Schedule II substance, use of which had resulted in death. All sentences ran concurrently
with each other.
59
Case: 16-12978 Date Filed: 08/30/2019 Page: 60 of 67
district court violated Alleyne when it sentenced Dr. Feldman as if the jury had so
found. Specifically, and relying again on Burrage, Dr. Feldman argues that the
jury’s special verdict established only a finding that a combination of Schedule II
and Schedule IV drugs in the aggregate killed each victim, not that the victims
would have lived “but for” their use of the Schedule II drugs. Accordingly, Dr.
Feldman contends that the jury verdict was insufficient to trigger a 20-year
mandatory minimum sentence enhancement or a statutory maximum exceeding
twenty years.
To the extent that Dr. Feldman’s Alleyne argument mirrors his sufficiency-
of-the-evidence argument, we reject it as a misreading of Burrage. As discussed
above, Burrage did not hold that a Schedule I or II drug must be the “only” cause
of a victim’s death. Indeed, Burrage reached the opposite conclusion, explaining
that a factor can be a but-for cause even if it “combines with other factors to
produce the result, so long as the other factors alone would not have” produced the
same result. Id. at 211. Under Burrage, but-for causality simply turns on whether
the victim would have died “without the incremental effect” of a Schedule I or II
drug. Id. In other words, a Schedule I or II drug is a but-for cause of a victim’s
death if it made a necessary contribution to the death—“if, so to speak, it was the
straw that broke the camel’s back”—such that the victim would have lived if he
had not taken the Schedule I or II drug. Id. The existence of other necessary
60
Case: 16-12978 Date Filed: 08/30/2019 Page: 61 of 67
causes, such as other drugs in a deadly cocktail, is “beside the point.” Id. at 212.
For a sentencing court to impose an enhanced sentence under § 841(b)(1)(C), a
jury need only find that a Schedule I or II drug was a but-for cause of death or
serious bodily injury. Id. at 210–11, 218–19.
As discussed at length above, we conclude that the evidence was sufficient
to prove beyond a reasonable doubt that but for ingestion of the Schedule II drugs
dispensed by Dr. Feldman, the victims would not have died. Nevertheless, we
agree with Dr. Feldman that the special verdict in this case failed to establish that
the jury actually found that the Schedule II drugs were but-for causes of the
victims’ deaths. Accordingly, we conclude that the district court erred under
Alleyne by imposing an enhanced sentence under § 841(b)(1)(C). We explain our
reasons for reaching this result.
The third and fourth questions on the verdict form for each of Counts 2, 3,
and 4 focused on the deaths of Mayes, Gonzalez, and Wren, respectively.
Aggregating all the drugs dispensed by Dr. Feldman to the victim—both Schedule
II and Schedule IV—the third question asked whether the jury found that the
victim would not have died but for his use of the listed drugs. 15 The question for
15
Asking for a “yes” or “no” answer, the question read: “We, the jury, find beyond a
reasonable doubt that the death of [the victim] resulted from the use of one or more of the
following controlled substances: [identifying Schedule II and Schedule IV controlled substances
dispensed to victim], that is, but for his ingestion of the controlled substances charged, he would
not have died.”
61
Case: 16-12978 Date Filed: 08/30/2019 Page: 62 of 67
Count 2 (Mayes) listed as the relevant drugs oxycodone and methadone, which are
Schedule II drugs, as well as alprazolam, which is a Schedule IV drug. The
questions for Counts 3 and 4 (Gonzalez and Wren) each listed as the relevant drugs
oxycodone, a Schedule II drug, and diazepam, a Schedule IV drug. For each
count, the jury responded “Yes,” finding that the victim would not have died but
for his use of the listed controlled substances.
These findings clearly do not support the district court’s application of
§ 841(b)(1)(C)’s mandatory-minimum sentence. This is so because, at most, the
jury’s “Yes” responses to these questions represented a finding only that the
Schedule II and Schedule IV drugs in the aggregate caused the deaths. And
Burrage held that it is insufficient merely to show that a Schedule I or II drug was
part of a mixed-drug cocktail, which, as “an aggregate force,” was “itself a but-for
cause of death.” Id. at 214. Instead, Burrage requires a jury finding that a
Schedule I or II drug was itself a but-for cause of the victim’s death—that is,
without the specific incremental effect of the Schedule I or II drug, the victim
would have lived. See id. at 207, 211, 218–19 (reversing the defendant’s
conviction where the evidence showed only that the victim died as a result of a
cocktail of drugs, including heroin, oxycodone, alprazolam, and clonazepam, and
the Government conceded that no evidence showed the victim would have lived
but for his heroin use).
62
Case: 16-12978 Date Filed: 08/30/2019 Page: 63 of 67
The fourth question on Dr. Feldman’s special verdict form purportedly
attempted to disaggregate the drugs to seek a finding as to which specific drugs
caused the death. Considering all the circumstances, however, we conclude that
this question failed to elicit the jury’s finding on what was the relevant question:
whether the Schedule II drugs were but-for causes of the victims’ deaths.
Specifically, this final question for each of Counts 2–4 asked whether the jury
found “beyond a reasonable doubt that the death of [the victim] resulted from the
use of the following,” then it listed separately each specific drug dispensed to the
victim: both Schedule II and Schedule IV substances. (emphasis added). The jury
answered “Yes” for each drug listed. In contrast with the prior question, though,
this fourth question entirely omitted any mention of but-for causation and failed to
make clear to the jury that absent a finding that the victim would not have died had
he not used a particular drug, the jury could not conclude that the victim’s death
resulted from that drug.
We cannot conclude based on the jury’s response to this final question that it
found beyond a reasonable doubt that a Schedule II drug Dr. Feldman prescribed—
oxycodone and methadone for Count 2, and oxycodone for each of Counts 3 and
4—was a but-for cause of the victims’ deaths. First, the verdict form’s failure to
spell out what “resulted from” meant in the critical and final question raises a
significant concern that the jury was unaware of that phrase’s meaning as it
63
Case: 16-12978 Date Filed: 08/30/2019 Page: 64 of 67
pertains to whether death resulted from a specific drug. And because the first
“results in” question explained that “resulted from” meant that the victim would
not have died but for ingestion of the drugs in the aggregate, but the second
question omitted an explanation of what “resulted from” meant, the jury could
have concluded that it was once again being asked to find whether all the drugs
resulted in each victim’s death, rather than whether each victim would have lived
but for his ingestion of a Schedule II drug in particular.
Even with the omission of the “but-for” language in this pivotal, final
question, we might well reach a different result had the district court’s instructions
explained to the jury that, in order to conclude that death had resulted from a
particular Schedule II drug, it must find that but for ingestion of that drug, death
would not have occurred. Unfortunately, the court’s instructions did not do so.
The court instructed the jury only that it “must find beyond a reasonable doubt that
but for the decedent’s use of the charged controlled substances distributed . . . the
decedent would not have died.” (emphasis added). This plural reference to
controlled substances in the instructions necessarily included the Schedule IV
substances, which of course cannot trigger an enhancement. And it replicates the
first interrogatory on the special verdict form, which directed the jury to make a
finding only as to whether the drugs in the aggregate caused each victim’s death.
64
Case: 16-12978 Date Filed: 08/30/2019 Page: 65 of 67
Thus, the court’s instructions failed to make clear that the jury needed to
make a specific finding as to whether the victim would have lived but for his use of
the Schedule II controlled substance. Indeed, the instructions never indicated that
the Schedule II drugs had any special significance in the case, as the court merely
instructed the jury that “a more serious offense is committed” whenever “death or
serious injury is a consequence of the decedent’s use of a controlled substance.”
(emphasis added). Nor did the prosecutor or defense attorney point out in closing
arguments the specific determination that the jury was being called on to make.
Given this context, we cannot conclude that the jury found beyond a
reasonable doubt that the victims would have lived but for their ingestion of the
Schedule II drugs. Admittedly, the jury’s finding that the victims’ deaths “resulted
from” each of the Schedule II and Schedule IV drugs is not inconsistent with a
finding that the Schedule II drugs were but-for causes of the deaths. As we have
explained at length, there can be many necessary causes of a result, and, if a
Schedule II drug was a necessary cause of a victim’s death, it would have been
“beside the point” that a Schedule IV drug also happened to occupy the same
status. Id. at 211–12.
But the verdict rendered is likewise consistent with a finding that the
Schedule II drugs were nonessential “contributing cause[s],” which did not make a
difference to the ultimate outcome but merely “contribute[d] to an aggregate force
65
Case: 16-12978 Date Filed: 08/30/2019 Page: 66 of 67
(such as mixed-drug intoxication) that is itself a but-for cause of death.” Id. at 208,
214. The latter finding, of course, would be insufficient to support a 20-year
mandatory minimum sentence under Burrage. Id. at 214–16. And because we
cannot determine which of the two findings the special verdict reflects, the jury’s
verdict does not constitute the necessary finding that but for ingestion of a
Schedule II substance, the victim would have lived.16 That being so, the district
court’s application of § 841(b)(1)(C)’s sentencing enhancement cannot stand. 17
Accordingly, we reverse the district court’s application of § 841(b)(1)(C)’s
20-year mandatory minimum sentence on Counts 2–4 and remand the case for the
district court to resentence Dr. Feldman “to a term of imprisonment of not more
than 20 years” as to each of these counts. 21 U.S.C. § 841(b)(1)(C) (stating that
“such person shall be sentenced to a term of imprisonment of not more than
20 years and if death or serious bodily injury results from the use of such substance
shall be sentenced to a term of imprisonment of not less than twenty years or more
than life”).
16
We emphasize that we are not saying that the jury acquitted Dr. Feldman of the charge that his
dispensing of a Schedule II drug resulted in death. Rather, the outcome of our ruling is the same
as it would have been had the Government never sought a specific finding from the jury on this
issue.
17
We are aware that an Alleyne error can be subject to harmless error review. United States v.
King, 751 F.3d 1268, 1279 (11th Cir. 2014). The Government, however, has not argued that any
Alleyne error here would be harmless beyond a reasonable doubt.
66
Case: 16-12978 Date Filed: 08/30/2019 Page: 67 of 67
CONCLUSION
For the above reasons, we AFFIRM the Feldmans’ convictions, REVERSE
Dr. Feldman’s sentences on Counts 2–4, and REMAND for the district court to
conduct a new sentencing hearing for Dr. Feldman.
67