18-163
United States v. Scott
1 UNITED STATES COURT OF APPEALS
2 FOR THE SECOND CIRCUIT
3 ____________________
4
5 August Term, 2018
6
7 (Argued: January 10, 2019 Decided: March 31, 2020)
8
9 Docket No. 18-163
10
11 ____________________
12
13 UNITED STATES OF AMERICA,
14
15 Appellant,
16
17 v.
18
19 GERALD SCOTT,
20
21 Defendant-Appellee.
22
23 ____________________
24
25 Before: LEVAL, POOLER, and RAGGI, Circuit Judges.
26
27 The United States appeals from an opinion and order of the United States
28 District Court for the Southern District of New York (Laura T. Swain, J.) vacating
29 Gerald Scott’s sentence and resentencing him to time served. The district court
30 held that because New York first-degree manslaughter can be committed by
1 omission, it cannot serve as a predicate felony for the sentencing enhancements
2 prescribed in the Armed Career Criminal Act (“ACCA”) or the Career Offender
3 Sentencing Guideline. We hold that the district court properly concluded that
4 New York first-degree manslaughter is not a predicate crime of violence because
5 it can be committed by omission and therefore without the use of force, as
6 defined in Curtis Johnson v. United States, 559 U.S. 133 (2010). We also hold that
7 New York first-degree manslaughter does not match any of the generic offenses
8 enumerated in the Career Offender Guideline. We therefore affirm the district
9 court’s vacatur of Scott’s sentence under ACCA and its decision to resentence
10 Scott to time served.
11 Affirmed. Judge Leval joins in Judge Pooler’s opinion for the Court and
12 also concurs by a separate opinion, in which Judge Pooler joins.
13 Judge Raggi dissents in a separate opinion.
14 ____________________
15 WON S. SHIN, Assistant United States Attorney (Sarah
16 K. Eddy, Catherine E. Ghosh, Assistant United States
17 Attorneys), for Geoffrey S. Berman, United States
18 Attorney for the Southern District of New York, NY, for
19 Appellant.
2
1 MATTHEW B. LARSEN, Assistant Federal Defender,
2 Federal Defenders of New York, Inc., New York, NY, for
3 Defendant-Appellee.
4
5 POOLER, Circuit Judge:
6 The United States appeals from an opinion and order of the United States
7 District Court for the Southern District of New York (Laura T. Swain, J.) vacating
8 Gerald Scott’s sentence and resentencing him to time served based on his service
9 of only eleven years of imprisonment. The district court held that because New
10 York first-degree manslaughter can be committed by omission, it cannot serve as
11 a predicate felony for the sentencing enhancements prescribed in the Armed
12 Career Criminal Act (“ACCA”) or the Career Offender Sentencing Guideline. We
13 hold that the district court properly concluded that New York first-degree
14 manslaughter is not a predicate crime of violence because it can be committed by
15 complete inaction and therefore without the use of force, as defined in Curtis
16 Johnson v. United States, 559 U.S. 133 (2010). We also hold that New York first-
17 degree manslaughter does not match any of the generic offenses enumerated in
18 the Career Offender Guideline. We therefore affirm the district court’s vacatur of
19 Scott’s sentence under ACCA and its decision to resentence Scott to time served.
3
1 BACKGROUND
2 On October 10, 2007, Gerald Scott pled guilty to Hobbs Act robbery in
3 violation of 18 U.S.C. §§ 1951, 2 (“Count I”); brandishing a weapon during Hobbs
4 Act robbery in violation of 18 U.S.C. §§ 924(c)(1)(A)(ii), 2 (“Count III”); and being
5 a felon in possession of a firearm in violation of 18 U.S.C. § 922(g)(1) and § 924(e)
6 (“Count IV”). Judge Swain sentenced Scott to a term of 151 months’
7 imprisonment on Count I to be served concurrently with a term of 180 months on
8 Count IV, followed by a consecutive term of 84 months on Count III.
9 Scott’s ACCA conviction on Count IV, which is the focus of this appeal,
10 was based on the following predicate offenses: a 1983 conviction for New York
11 robbery in the first degree and two 1988 convictions for New York manslaughter
12 in the first degree. In the course of these crimes, Scott shot and killed one victim
13 and stabbed another to death. These prior convictions subjected him to a
14 mandatory sentence of 180 months on Count IV. 1
1Judge Raggi devotes much of her opinion to detailing the violent savagery of
Scott’s conduct in both his present and his predicate offenses. We do not disagree
that Scott is deserving of serious punishment. Nonetheless, we must point out
4
1 On April 26, 2010, Scott filed a habeas petition to vacate his conviction,
2 arguing that he received ineffective assistance of counsel. Judge Swain denied
3 that motion. In November 2016, Scott received this Court’s permission to file a
4 successive habeas petition in light of Samuel Johnson v. United States, 135 S. Ct.
5 2551 (2015).
6 The district court granted Scott’s successive habeas petition, finding Scott’s
7 convictions for New York manslaughter were not violent felonies so that Scott
8 was ineligible for an ACCA sentence. The district court reasoned that based on
9 decisions of the New York Court of Appeals, “first degree manslaughter can be
10 committed in New York State by omission and thus without using force.” United
11 States v. Scott, No. 06 CR 988-LTS, 2017 WL 2414796, at *2 (S.D.N.Y. June 2, 2017).
that these observations in Judge Raggi’s opinion are wholly irrelevant to the
question before us. The Supreme Court has ruled that it is irrelevant to the
applicability of ACCA whether the particular defendant acted with violence in
the commission of the crimes. See Villanueva v. United States, 893 F.3d 123, 127-28
(2d Cir. 2018) (citing Descamps v. United States, 570 U.S. 254 (2013)). The
applicability of ACCA instead turns, as relevant here, on whether under the
governing law the crimes necessarily require violent action. If a crime is capable
of being committed without the use of physical force, the fact that a defendant
acted with the most horrifying violence in the commission of that crime has no
bearing on whether the defendant is punishable under ACCA.
5
1 The court thus held that Scott was “not subject to the career offender
2 enhancement under ACCA” and vacated his sentence for recalculation. Id. at *3.
3 At the resentencing hearing, the district court considered whether Scott
4 could be sentenced under the Career Offender Guideline, U.S.S.G. § 4B1.1.
5 Relying on its analysis above, the district court determined that New York first-
6 degree manslaughter was not a “crime of violence” under the force clause of the
7 Career Offender Guideline for the same reasons it was not a crime of violence
8 under ACCA’s identical force clause. The district court also rejected the
9 government’s argument that the Career Offender Guideline applies to Scott
10 under the enumerated-offenses clause because New York first-degree
11 manslaughter criminalizes the same conduct as generic murder, voluntary
12 manslaughter, or aggravated assault in the Guideline’s enumerated-offenses
13 clause. Having decided that the Career Offender Guideline could not apply, the
14 district court calculated Scott’s sentencing range at 121 to 130 months. At the
15 time of the hearing, Scott had served approximately 134 months of his sentence—
16 four months above the Guidelines range’s upper boundary. The district court
6
1 therefore sentenced Scott to time served and five years of supervised release.
2 Scott is out on supervised release.
3 DISCUSSION
4 On appeal, the government argues that Scott qualifies for ACCA’s 180-
5 month mandatory minimum sentence because New York first-degree
6 manslaughter is a crime of violence that “has as an element the use, attempted
7 use, or threatened use of physical force against the person of another.” 18 U.S.C.
8 § 924(e)(2)(B)(i). In the alternative, the government argues that Scott should be
9 sentenced under the Career Offender Guideline because New York first-degree
10 manslaughter criminalizes the same conduct as the generic offenses of murder,
11 voluntary manslaughter, or aggravated assault, which are enumerated crimes of
12 violence in the Guideline. Scott responds that the minimum criminal conduct
13 required to commit New York first-degree manslaughter does not have as an
14 element the “use” of force because the crime can be committed by omission—
15 otherwise put, by doing nothing. He also argues that a majority of states do not
16 criminalize the conduct that New York first-degree murder penalizes as first-
7
1 degree manslaughter as generic murder, voluntary manslaughter, or aggravated
2 assault.
3 I. New York First-Degree Manslaughter Is Not a Crime of Violence
4 Under the Force Clause of 18 U.S.C. § 924(e)
5 ACCA sets a mandatory minimum sentence of “not less than fifteen years”
6 for criminal defendants who have at least three prior convictions for “a violent
7 felony or a serious drug offense.” 18 U.S.C. § 924(e)(1). As relevant here, the
8 statute defines a “violent felony” as “any crime punishable by imprisonment for
9 a term exceeding one year” that “has as an element the use, attempted use, or
10 threatened use of physical force against the person of another.” Id.
11 § 924(e)(1)(B)(i).
12 The question before us is whether New York first-degree manslaughter
13 satisfies that definition. New York Penal Law lists three criminal acts for which a
14 person may be found “guilty of manslaughter in the first degree.” N.Y. Penal
15 Law § 125.20. First, the statute holds a person liable for first-degree manslaughter
16 who “with intent to cause serious physical injury to another person, . . . causes
17 the death of such person or of a third person.” Id. § 125.20(1). Second, the statute
8
1 criminalizes causing the death of another person “under the influence of extreme
2 emotional disturbance,” id. § 125.20(2). Third, the statute makes it illegal to, with
3 intent to cause physical injury, “create[] a grave risk of serious physical injury to
4 a person less than eleven years old” that causes their death. Id. § 125.20(4).
5 Where a statute, like New York’s first-degree manslaughter statute,
6 “criminalize[s] multiple acts in the alternative,” we refer to the statute as
7 “divisible” and apply the “modified categorical approach” to determine whether
8 a conviction under the statute can serve as a predicate offense for a federal
9 sentence enhancement. United States v. Jones, 878 F.3d 10, 16 (2d Cir. 2017); accord
10 Descamps v. United States, 570 U.S. 254, 261-62 (2013); see also United States v.
11 Castillo, 896 F.3d 141, 149-50 (2d Cir. 2018) (determining New York Penal Law
12 § 125.20 is “a state statute [that] criminalizes multiple acts in the alternative” and
13 thus requires the modified categorical approach (alterations and internal
14 quotations marks omitted)). Under that approach, we first look to “a limited class
15 of documents” to determine of which act the defendant was convicted. Id.
16 “[L]ook[ing] only to the statutory definitions—i.e., the elements—of [that portion
17 of the statute], and not to the particular underlying facts,” Hill, 890 F.3d at 55
9
1 (alterations and internal quotation marks omitted), we then ask whether those
2 elements can be satisfied by conduct that might reach beyond the parameters of
3 ACCA. If so, we ask whether there is “a realistic probability, not a theoretical
4 possibility,” that the statute would be applied in that manner. Id. at 56. Unless
5 “the state statute . . . on its face extends to conduct beyond the definition of the
6 corresponding federal offense,” see Hylton v. Sessions, 897 F.3d 57, 63 (2d Cir.
7 2018), we require that in either the defendant’s case or another case “the courts in
8 fact did apply the statute” in that manner, Hill, 890 F.3d at 56. The proposition
9 that a state statute can apply to conduct beyond the application of ACCA cannot
10 be based on mere “flights of fancy” or “the application of legal imagination.” Id.
11 at 56. With those realistic readings of the statute in mind, we then determine
12 whether “the state statute sweeps more broadly” than ACCA, in which case a
13 conviction under the state statute cannot serve as an ACCA predicate. Stuckey v.
14 United States, 878 F.3d 62, 67 (2d Cir. 2017) (internal quotation marks omitted). A
15 statute that penalizes activity that does not require the use of force thus “cannot
16 count as a predicate ‘violent felony’ [under the force clause] for the ACCA’s
17 fifteen-year mandatory minimum.” Id.
10
1 The government has provided two certificates of disposition establishing
2 that both of Scott’s manslaughter convictions were under New York Penal Law
3 § 125.20(1), which penalizes a person who “[w]ith intent to cause serious physical
4 injury to another person, . . . causes the death of such person or of a third
5 person.” We therefore consider only Section 1 of New York Penal Law § 125.20,
6 and ask whether the minimum criminal conduct required for conviction under
7 this provision falls within ACCA.
8 A. The Minimum Criminal Conduct that New York First-
9 Degree Manslaughter Requires Is an Omission Despite a
10 Duty to Act
11 The district court determined that the minimum criminal conduct required
12 for a defendant to be held liable under New York Penal Law § 125.20(1) is a
13 failure to act in the face of a duty to do so, with the intent to cause serious
14 physical injury, which failure causes death. The government argues that the
15 district court’s conclusion was erroneous because criminal liability for New York
16 first-degree manslaughter attaches only when a person is complicit in the
17 commission of an act that sets harm into motion and then fails to act to stop that
18 harm from killing another. We reject the government’s strained argument
11
1 because the New York Court of Appeals has explicitly held that New York first-
2 degree manslaughter can be committed by omission.
3 The New York Court of Appeals has clearly and emphatically asserted on
4 two occasions that New York first-degree manslaughter may be committed by a
5 defendant’s failure to act. First, in People v. Steinberg, 29 N.Y.2d 673 (1992), the
6 Court of Appeals considered whether the first-degree manslaughter conviction
7 of a father who had both physically abused his six-year-old daughter and then
8 failed to secure medical care for her resultant serious injuries, which ultimately
9 caused her death, was sustainable on either basis. New York’s highest court
10 “found no defect in the prosecution’s legal theory” that the “defendant
11 performed both acts of commission (striking [the daughter]) and acts of omission
12 (failure to obtain medical care), each with intent to cause serious physical injury,
13 and that such acts caused [the daughter’s] death.” Id. at 680-81. In so finding, the
14 Court of Appeals held that Steinberg’s “acts of omission” (the failure to secure
15 medical care) would have been sufficient to sustain the manslaughter conviction,
16 even if he had not inflicted the injuries that required medical attention. Id.
17 Steinberg had argued in his defense that “failure to obtain medical care for a
12
1 child cannot, as a matter of law, support the mens rea element of first degree
2 manslaughter . . . unless defendant has medical expertise, and would thereby
3 know that serious injury will result from a lack of medical attention.” Id. at 680.
4 The court rejected that argument. It explained: “The Penal Law provides that
5 criminal liability may be based on an omission, which is defined as the failure to
6 perform a legally imposed duty. Parents have a nondelegable affirmative duty to
7 provide their children with adequate medical care. Thus, a parent’s failure to fulfill
8 that duty can form the basis of a homicide charge.” Id. (emphasis added) (citations
9 omitted). While acknowledging that it relied upon cases involving prosecutions
10 for reckless manslaughter and criminally negligent homicide in reaching this
11 conclusion, the court repeated, “the failure to obtain medical care can also
12 support a first degree manslaughter charge, so long as there is sufficient proof of
13 the requisite mens rea—intent to cause serious physical injury.” Id.
14 The Court of Appeals reaffirmed this conclusion in People v. Wong, 81
15 N.Y.2d 600 (1993). The prosecution in Wong charged an infant’s two caretakers,
16 Eugene and Mary Wong, with first-degree and second-degree manslaughter. Id.
17 at 606. There, the infant died from shaken baby syndrome after one of the Wongs
13
1 shook the infant and both of the Wongs subsequently failed to seek medical care
2 for the infant. Id. The prosecution contended that even though only one of the
3 defendants had shaken the child, both defendants were liable for first-degree
4 manslaughter. Id. The prosecution could not prove which of the two defendants
5 had shaken the infant and, for want of this proof, argued that a defendant who
6 had no role in the harmful act could be held liable for first-degree manslaughter
7 based on a failure to act. The defendants were convicted on all counts, and the
8 Appellate Division reversed the convictions for first-degree manslaughter as
9 against the weight of the evidence on the issue of intent to cause serious bodily
10 injury. As to the second-degree manslaughter convictions, the Court of Appeals
11 made clear “that the People’s theory against the ‘passive’ defendant is legally
12 sound” because in Steinberg, it had “held that parents have an affirmative duty to
13 provide their children with adequate medical care and that, under certain
14 circumstances, the failure to perform that duty can form the basis of a homicide
15 charge.” Id. at 607. That is, “a person in the position of the ‘passive’ defendant
16 here may be held criminally liable for failing to seek emergency medical aid for a
17 seriously injured child.” Id. at 608. The court ultimately reversed the defendants’
14
1 convictions because of “the absence of proof from which the jury could infer that
2 the ‘passive’ defendant was even aware that the infant had been violently
3 shaken,” and therefore needed medical care. Id. at 609.
4 The Government argues that, notwithstanding the explicit statement of the
5 Court of Appeals in Steinberg that “the failure to obtain medical care can . . .
6 support a first degree manslaughter charge,” 79 N.Y.2d at 680, that case “does
7 not stand for the proposition that a pure omission without any active use of force
8 would suffice to ground a conviction under Section 125.20(1).” Appellant’s Br. at
9 26. It imports great significance to the court’s phrase: “so long as there is
10 sufficient proof of the requisite mens rea.” The Government contends that an
11 affirmative act of violence—such as defendant Steinberg’s striking the victim
12 prior to his withholding of medical care—is necessary to establish the mens rea of
13 intent to cause serious physical harm. It thus argues that, notwithstanding the
14 court’s statement that failure to obtain medical care is sufficient for a conviction
15 of first-degree manslaughter, the need to establish mens rea effectively requires a
16 preceding act of violence on the part of the defendant. Judge Raggi argues for
17 similar reasons that the Steinberg defendant’s acts of violence and acts of
15
1 omission were “inextricably linked,” so that the case cannot establish a realistic
2 probability that New York courts would apply the manslaughter statute to acts
3 of omission alone.
4 We disagree. A defendant’s intent to cause serious physical harm to the
5 victim can be established in many ways other than that defendant’s preceding act
6 of violence, including most obviously the defendant’s having observed (or
7 having been told of) the infliction of violence on the child by another, or the
8 defendant’s statement of intention to inflict harm. Although the facts in Steinberg
9 happened to include a preceding act of violence by the defendant, the court’s
10 independent analysis of inaction makes clear that a failure to act would be alone
11 sufficient to sustain a conviction where the required mens rea was shown.
12 Nothing in that discussion suggests the defendant’s inaction must be linked to
13 that defendant’s affirmative act of violence; indeed everything in that discussion
14 supports the contrary.
15 The Government and Judge Raggi also argue that, because the defendants’
16 convictions in Wong were reversed due to insufficiency of evidence of either
17 defendant’s awareness of the fact that the child had been shaken, the court’s
16
1 discussion of the sufficiency of inaction was dictum, and therefore the case
2 cannot show a realistic probability that a New York conviction for first-degree
3 manslaughter based on omission alone would be sustained.
4 The argument that Wong’s dictum is inadequate to show “realistic
5 probability” is both irrelevant (as the proposition was a holding in Steinberg) and
6 exaggerates the meaning of our precedents requiring a “realistic probability” of
7 application of a statute beyond the scope of ACCA. We have stated that a
8 “realistic probability” requires that “the courts did in fact apply” the statute in
9 the manner considered, as opposed to a mere “flight of fancy” or explanation of
10 “the legal imagination.” Hill, 890 F.3d at 56. For the proposition that New York
11 courts would apply the first-degree manslaughter statute to inaction in the face
12 of a duty to act, we do not rely on a flight of fancy or of legal imagination. We
13 rely on the carefully considered and subsequently repeated assertion of that
14 proposition by the highest court of New York. In Steinberg, the Court so held,
15 explicitly sustaining the defendant’s conviction on the basis of inaction
16 (notwithstanding the court’s recognition that the conviction would also be
17 sustained on another basis). In Wong, furthermore, the Court of Appeals
17
1 described its prior statement in Steinberg as a holding. In view of the Steinberg
2 holding by the state’s highest court, coupled with the Court’s emphatic
3 reaffirmance of the same proposition in Wong, it appears to us that a New York
4 trial court would be compelled to conclude that first-degree manslaughter can be
5 satisfied by inaction, and we are compelled in this case to construe New York
6 law following what New York’s highest court has explicitly held.
7 Wong additionally contradicts Judge Raggi’s assertion that no defendant
8 has been “actually prosecuted” under an omission theory. As we noted earlier,
9 the government in Wong “argued . . . that the People's case rested on the theory
10 that each defendant was independently liable for [the child’s] death because one
11 of them had shaken the baby while the other had stood by and failed to
12 intervene.” 81 N.Y.S.2d at 606. Wong thus establishes not only that a defendant
13 may be convicted for first-degree manslaughter based on omission, but also that
14 New York has actually prosecuted defendants under this theory.
15 In short, these two decisions from New York’s highest court are more than
16 sufficient to establish a realistic probability that New York first-degree
17 manslaughter could be applied to a defendant who intentionally causes death by
18
1 an act of omission in the face of a duty to protect the victim from a perceived
2 harm. New York’s highest court “did in fact apply” the first-degree
3 manslaughter statute to the facts of a particular case. See Hill, 890 F.3d at 56.
4 Judge Raggi acknowledges that the standard is whether there is a “realistic
5 probability” that the courts would accept omission as the basis of a first-degree
6 manslaughter conviction. Hill, 890 F.3d at 56. That standard requires that the
7 courts “in fact did [so] apply the statute.” Id. Nonetheless, in her reasoning, she
8 converts that standard into whether the courts of New York have in fact affirmed
9 a manslaughter conviction based on omission. Notwithstanding that in both
10 Steinberg and Wong, cases in which the manslaughter charge was (as an
11 alternative) predicated on omission, New York’s highest court expressly stated
12 that omission alone would support liability, Judge Raggi asserts that there is no
13 such realistic probability because in neither case did the Court of Appeals affirm
14 a conviction predicated on inaction without complicity in any action. By doing
15 so, Judge Raggi has effectively converted the requirement of “realistic
19
1 probability” to a requirement of actual affirmance of a manslaughter conviction
2 based on omission alone, a reading that has no basis in our case law. 2
3 Accordingly, we consider whether a crime committed by omission is a
4 violent felony under ACCA’s force clause. 3
2 Judge Raggi also notes, correctly, that by the time the case reached the Court of
Appeals, Wong involved only convictions for second-degree manslaughter,
which requires proof only of recklessness, rather than the first-degree
manslaughter statute at issue here, which requires proof of intent to cause
serious physical injury. But this fact does not disturb our conclusion that New
York’s highest court has applied the first-degree manslaughter statute to
omission. Steinberg expressly upheld a first-degree manslaughter conviction on
the theory that the defendant’s knowing inaction in circumstances in which he
had a duty to act to protect the victim constituted the crime. Wong relied on that
ruling, characterizing it as a holding.
3 We are puzzled furthermore by Judge Raggi’s argument that there is no realistic
probability that New York courts would apply first-degree manslaughter to a
parent who, with intent to cause serious injury to his or her child, causes death
by refusing to provide needed medical care (without a preceding act of violence),
but would apply it to a parent who causes death by striking his child. Judge
Raggi herself asserts that it “makes no sense” to impose criminal liability on one
who acts, sprinkling poison on the victim’s food with intention to cause death
but not on one who, knowing that the victim’s food is poisoned and with the
same intention, passively allows the victim to ingest the poison. We do not
disagree with Judge Raggi that the two cases should be treated alike so long as
the words of the governing statute allow that. The New York Court of Appeals
appears to agree as well, and that is why the Court held that first-degree
manslaughter liability applies to one who kills by inaction as well as to one who
20
1 B. New York First-Degree Manslaughter Sweeps More Broadly
2 than 18 U.S.C. § 924(e)
3 We must decide whether a crime that can be committed by omission “has
4 as an element the use, attempted use, or threatened use of physical force against
5 the person of another.” 18 U.S.C. § 924(e)(2)(B)(i). The government, relying on
6 United States v. Castleman, 572 U.S. 157 (2014), argues that where a defendant’s
7 omission causes a serious injury, force is implicit in the inaction and thus the
8 omission constitutes a use of force. Scott counters that ACCA’s text requires an
9 active deployment of force that an omission, by nature, cannot effectuate and that
10 Castleman cannot be read to hold that a defendant who commits nothing more
11 than a culpable omission (without any affirmative act) uses force.
12 The Supreme Court articulated the standard for what constitutes the use of
13 “physical force” sufficient to satisfy Section 924(e) in Curtis Johnson v. United
14 States, 559 U.S. 133. Contrary to the position stated by Justice Alito in dissent that
15 “ACCA uses ‘violent felony’ as a term of art with a wider meaning than the
kills by act of violence (assuming mens rea in both cases). We therefore cannot see
why Judge Raggi finds it improbable that New York courts would impose
manslaughter liability on one who kills by inaction.
21
1 phrase may convey in ordinary usage,” see id. at 148 (Alito, J., dissenting), the
2 majority of the Supreme Court concluded that the term “physical force” is to be
3 given its “ordinary meaning,” id. at 138 (majority opinion). The Court explained
4 that “force” means “strength or energy; active power; vigor; often an unusual
5 degree of strength or energy[;] power to affect strongly in physical relations; . . .
6 power, violence, compulsion, or constraint exerted upon a person” and that
7 “physical force” means “power, violence, or pressure directed against a person
8 or thing[;] . . . force consisting in a physical act, esp. a violent act directed against a
9 robbery victim.” Id. at 139 (emphasis added) (alterations and internal quotation
10 marks omitted). The Court distilled the term’s ordinary meaning into a now-
11 indelible phrase: “violent force—that is, force capable of causing physical pain or
12 injury to another person.” Id. at 140. The Court’s reliance on the ordinary
13 meaning to shape its conception of “physical force” communicates that only an
14 active crime constitutes a “violent felony” under ACCA. See also Stokeling v.
15 United States, 139 S. Ct. 544, 553 (2019) (noting that a conviction must be “within
16 the ‘category of violent, active crimes’ that Congress included in ACCA”).
22
1 The Government and Judge Raggi argue that the Supreme Court’s
2 subsequent decision in Castleman, 572 U.S. 157, as well as our later decision in
3 Villanueva, 893 F.3d 123 (2d Cir. 2018), compel the conclusion that a crime of
4 manslaughter that may be committed by a failure to act necessarily involves the
5 “use of force” as defined under the ACCA force clause. They rely principally on
6 Castleman’s statement that “the knowing or intentional causation of bodily injury
7 necessarily involves the use of physical force,” 572 U.S. at 169, from which they
8 conclude that a defendant who causes death by inaction necessarily uses force.
9 What was said in Castleman and Villanueva must be considered in the light
10 of the facts of those cases. In Castleman, the Supreme Court considered whether a
11 Tennessee statute, which made it a crime to “intentionally, knowingly or
12 recklessly cause bodily injury to another” qualified as a misdemeanor crime of
13 domestic violence under a different statute, 18 U.S.C. § 921(a)(33)(A)(ii), because
14 it involved “the use or attempted use of physical force.” The defendant argued,
15 as relevant here, that the offense did not categorically involve “the use or
16 attempted use of physical force” because it could be accomplished through the
17 indirect application of force, such as by sprinkling poison into a beverage. The
23
1 Supreme Court rejected that argument. First, it concluded that, in contrast to the
2 ACCA definition of force established in Curtis Johnson, the “use of physical force”
3 under § 921(a)(33)(A) is satisfied by “the degree of force that supports a
4 common-law battery conviction.” 572 U.S. at 168. 4 Second, the Court concluded
5 that this definition of force “encompasses even its indirect application.” Id. at 170.
6 The Court explained that the “use of force” in the poisoning example “is not the
7 act of sprinkling the poison; it is the act of employing poison knowingly as a
8 device to cause physical harm. That the harm occurs indirectly, rather than
9 directly (as with a kick or punch), does not matter.” Id. at 171. Similarly, shooting
10 a victim with a gun is no less a use of force “because it is the bullet, not the
11 trigger, that actually strikes the victim.” Id.
4
The Supreme Court explicitly cabined its consideration of common-law force to
Section 921(a)(33)(A), noting the principle that “a common-law term of art
should be given its established common-law meaning, except where that
meaning does not fit.” Id. at 163 (internal quotation marks omitted) (citing
Johnson, 559 U.S. at 139). The Court acknowledged that it did not rely on the
common-law meaning of “force” when interpreting the definition of “violent
felony,” explaining that there the meaning did not fit; with Section 921(a)(33)(A),
on the other hand, the meaning did fit, so reliance was proper. Id.
24
1 Later, in Villanueva, 893 F.3d 123, this Circuit considered whether an
2 offense of first-degree assault that could be accomplished by poisoning qualified
3 as a violent felony under the ACCA force clause. Extending the Supreme Court’s
4 reasoning in Castleman to the context of ACCA, we concluded the statute did
5 qualify as a violent felony. We found persuasive Castleman’s “explanation of why
6 sprinkling poison constitutes use of physical force even if the offender does not
7 hit or even touch the victim,” noting the example of pulling the trigger of a gun.
8 Id. at 129; cf. Hill, 832 F.3d at 144 (concluding in light of Castleman that Hobbs Act
9 robbery is a crime of violence under § 924(c)(3)(A), notwithstanding that it may
10 be committed by indirect application of force).
11 Accordingly, both Castleman and Villanueva were addressed to the question
12 whether a low level of force that produces a violent result can qualify as use of
13 force under ACCA. Neither addressed, much less resolved, the question before
14 us, namely, whether the failure to act—by one who has a duty to act to protect
25
1 the victim—constitutes a “use of physical force” under ACCA. 5 See 18 U.S.C.
2 § 924(e)(2)(B)(i); cf. United States v. Mayo, 901 F.3d 218, 228-29 (3d Cir. 2018)
3 (recognizing that neither Castleman, nor subsequent Third Circuit case law
4 applying Castleman to the ACCA context, addressed the issue of crime by
5 omission). Unlike New York first-degree manslaughter, the acts discussed in
6 Castleman and Villanueva require some action that initiates a harmful consequence.
7 By contrast, a defendant who commits a crime by omission definitionally takes
8 no action and thus initiates nothing. This might occur, for example, when the
9 mandatory caretaker defendant observes that the victim has, entirely through
10 natural causes, entered into a condition that urgently requires administration of
5That these decisions do not address our case is reinforced by the fact that both
parties point to language from our opinion in Villanueva, which is apparently
capacious enough to address the issue of crime by omission, but which would
resolve the issue in opposite directions. Compare Villanueva, 893 F.3d at 128
(“[T]he inquiry as to ‘force,’ for federal law purposes, focuses on the causation of
a consequence, rather than the physical act of initiating an action that leads to a
consequence . . . .”) and id. (“[T]he knowing or intentional causation of bodily
injury necessarily involves the use of physical force.” (quoting Castleman, 572
U.S. at 169)) with id. at 129 (describing Castleman as holding “that initiating,
however gently, a consequence that inflicts injury constitutes the use of physical
force” (emphasis added)).
26
1 medical help and, with intention to harm the victim, the defendant fails to
2 summon such help. As we read Castleman and Johnson, this scenario would not
3 constitute ACCA’s required “use of physical force.”
4 Judge Raggi also argues that we conflate “physical force” itself with the
5 “use” of such force. It is true, as Judge Raggi notes, that the Supreme Court said
6 in Castleman that “use” “conveys the idea that the thing being used (here,
7 ‘physical force’) has been made the user’s instrument.” Castleman, 572 U.S. at 170-
8 71. She further notes that, in the example of a person who kills his victim by
9 poison, the Supreme Court explained that the “use of force” is not the “act of
10 sprinkling the poison; it is the act of employing poison knowingly as a device to
11 cause physical harm.” Id. at 171 (internal quotation marks and brackets omitted)
12 (emphasis added). Under Castleman’s reading of the term “use,” Judge Raggi
13 argues, because someone guilty of New York first-degree manslaughter must
14 have intended to cause at least serious physical injury, he “must be said to have
15 intentionally used the force causing death as his instrument without regard to
16 whether he did so by commission or omission.”
27
1 To the extent that Judge Raggi argues that Castleman compels her reading,
2 she overstates the holding of that case, which explicitly did not reach the
3 question whether “causation of bodily injury necessarily entails violent force [for
4 ACCA purposes].” Id. at 167. As to the poison example, the Supreme Court’s
5 analysis does not compel Judge Raggi’s conclusion. It is at most ambiguous.
6 There, the Court explained that the use of force was “the act of employing
7 poison.” Id. at 171 (emphasis added). It did not contemplate a situation in which
8 a person stands by, taking no action whatsoever, and allows a physical harm to
9 occur with the intent to cause serious physical injury, and thus it cannot be said
10 to have answered the question whether such a situation constitutes “use” of the
11 injury-causing force.
12 We conclude that a crime that may be committed by complete inaction
13 does not have “as an element the use . . . of physical force against the person of
14 another,” under the meaning of ACCA. See 18 U.S.C. § 924(e)(B)(i). We consider
15 the example of a person having a legal duty to provide care to another who, with
16 intent to cause serious physical harm, fails to seek medical help when his ward
17 requires it. Notwithstanding the Government’s and Judge Raggi’s respectable
28
1 argument that, by availing himself or taking advantage of the preexisting force
2 that affected the ward, that the person did “use . . . physical force,” that
3 conclusion does not, as Judge Raggi suggests, follow from Castleman.
4 Judge Raggi further argues that it “makes no sense” to distinguish
5 between a defendant who, “intent on killing or seriously injuring another person
6 . . . himself sprinkled [poison] in a victim’s drink,” and one who, with the same
7 intentions and a “legal duty to intervene, . . . stood by and let the person imbibe
8 what defendant knew was a poisoned drink.” If Judge Raggi’s argument
9 depends on the notion that the two cases involve the same degree of moral
10 culpability, we do not disagree that both defendants are equally morally
11 culpable. Perhaps a perfectly constructed criminal law would treat them
12 identically. But what determines whether two defendants who have acted
13 differently but with similar degrees of moral culpability will be treated the same
14 or differently is the language of the statutes that cover their cases.
15 Notwithstanding Judge Raggi’s reasonable argument that a few words in
16 Castleman could be read broadly to mean that “use of violent force” includes
29
1 doing nothing, neither the statute nor the Supreme Court’s interpretation of it
2 clearly communicates such a meaning.
3 In addition, to the extent that it may be seen as a close question whether
4 “use of physical force” includes crimes committed by omission, the burden is on
5 the government to show that a prior conviction counts as a predicate offense for
6 the purpose of an ACCA sentence enhancement. See United States v. Savage, 542
7 F.3d 959, 964 (2d Cir. 2008). Moreover, the rule of lenity, which “requires
8 ambiguous criminal laws to be interpreted in favor of the defendants subject to
9 them,” United States v. Santos, 553 U.S. 507, 514 (2008), requires construing that
10 ambiguity in the defendant’s favor. See also Johnson v. United States, 529 U.S. 695,
11 713 n.13 (2000) (noting that lenity applies “when the equipoise of competing
12 reasons cannot otherwise be resolved”).
13 We therefore hold that New York first-degree manslaughter is not a crime
14 of violence under the force clause of ACCA because it can be committed by
15 inaction, while the ordinary meaning of the terms of ACCA are not satisfied by
16 inaction. The district court’s vacatur of Scott’s ACCA sentence under 18 U.S.C.
17 §§ 922(g)(1) and 924(e) is thus affirmed.
30
1 II. A Prior Conviction for New York First-Degree Manslaughter Is
2 Not a Crime of Violence Pursuant to the Career Offender
3 Guideline
4 The government also appeals the district court’s interpretation of the
5 Career Offender Guideline as not applicable to New York first-degree
6 manslaughter. The Career Offender Guideline considers as a “career offender” a
7 defendant who at eighteen years of age or more committed an offense of
8 conviction “that is a felony [and is] either a crime of violence or a controlled
9 substance offense,” and “ha[s] at least two prior felony convictions of either a
10 crime of violence or a controlled substance offense.” U.S.S.G. § 4B1.1(a).
11 Classification as a career offender typically results in a significantly higher
12 Guidelines sentencing range than would otherwise apply. The Career Offender
13 Guideline defines a “crime of violence” as:
14 any offense under federal or state law, punishable by imprisonment
15 for a term exceeding one year, that—
31
1 (1) has as an element the use, attempted use, or threatened use of
2 physical force against the person of another, or
3 (2) is murder, voluntary manslaughter, kidnapping, aggravated
4 assault, a forcible sex offense, robbery, arson, extortion, or the use
5 or unlawful possession of a firearm described in 26 U.S.C.
6 § 5845(a) or explosive material as defined in 18 U.S.C. § 841(c).
7 Id. § 4B1.2(a). The first clause of the Guideline, the “force clause,” is identical to
8 the force clause in ACCA. Compare id. (defining “crime of violence” as involving
9 “use, attempted use, or threatened use of physical force against the person of
10 another”), with 18 U.S.C. § 924(e)(2)(B)(i) (defining “violent felony” as involving
11 “use, attempted use, or threatened use of physical force against the person of
12 another”). Accordingly, our analysis of whether New York first-degree
13 manslaughter comes within the definition of a crime of violence under ACCA’s
14 force clause is pertinent in answering whether the offense is a crime of violence
15 under the force clause of the Career Offender Guideline. The Supreme Court in
16 Curtis Johnson specified that in interpreting ACCA, the phrase “physical force”
17 carries its “ordinary meaning.” See 559 U.S. at 138. We see no reason why the
18 same phrase in the Career Offender Guideline should not also be interpreted in
19 accordance with its ordinary meaning. We conclude that, pursuant to its
32
1 ordinary meaning, the phrase “has as an element the use of physical force”
2 similarly does not apply to an offense that may be committed by taking no action
3 whatsoever.
4 The Government argues that, even if the force clause does not apply, New
5 York first-degree manslaughter is a crime of violence under the Career Offender
6 Guideline’s “enumerated-offenses clause.” It argues that New York first-degree
7 manslaughter matches the generic offenses of murder, voluntary manslaughter,
8 or aggravated assault.
9 “Where the basis for categorizing a prior conviction as a crime of violence
10 is that the offense is specifically enumerated as such in the Career Offender
11 Guideline or its commentary, we undertake the categorical approach by
12 comparing the state statute to the generic definition of the offense.” Jones, 878
13 F.3d at 18. We determine the “generic” definition of the offense by looking to the
14 “sense in which the term is now used in the criminal codes of most States.”
15 Taylor v. United States, 495 U.S. 575, 598 (1990). To carry out this obligation, we
16 may “consult other sources, including federal criminal statutes, the Model Penal
17 Code, scholarly treatises, and legal dictionaries,” in addition to the state codes
33
1 themselves. Castillo, 896 F.3d at 150 (footnotes omitted). If New York first-degree
2 manslaughter “has the same elements” or is narrower than the generic Career
3 Offender Guideline analog, “the prior conviction can serve as a [Career
4 Offender] predicate.” Descamps, 570 U.S. at 261. If, however, the state statute
5 “sweeps more broadly than the generic crime,” the crime of conviction cannot
6 serve as a Career Offender predicate. Id. We apply this exhaustive approach to
7 determine whether New York first-degree manslaughter is the equivalent of or
8 narrower than the generic crimes of murder, voluntary manslaughter, or
9 aggravated assault.
10 A. New York First-Degree Manslaughter Is Not Generic
11 Voluntary Manslaughter
12 As the government concedes, only a minority of states penalize the
13 conduct of New York first-degree manslaughter as “murder” or “manslaughter.”
14 The government nonetheless raises the novel argument that the offense qualifies
15 as an enumerated crime of violence because the conduct it describes “is
16 penalized in a majority of states as either ‘murder’ or ‘voluntary manslaughter,’”
17 and those states can be aggregated to form a majority. Appellant’s Br. at 41
34
1 (emphasis added). It clarifies in its reply brief that its claim is that those states
2 that penalize this conduct as “murder” should be counted as states in which the
3 New York statute fits the “lesser crime” of manslaughter. The government
4 identifies no authority that has interpreted the enumerated offenses clause in this
5 manner. In support, it cites to Taylor for the proposition that “courts should
6 disregard . . . ‘labels’ in applying the categorical approach.” Id. at 47 (citing
7 Taylor, 495 U.S. at 590). It further notes that in Taylor, the Court held that the
8 generic definition of burglary encompasses both “aggravated burglaries” and
9 “run-of-the-mill burglaries,” and argues that here, murder should be treated as
10 an aggravated form of “voluntary manslaughter.” Appellant’s Reply Br. at 17-18.
11 We find this “aggregation” argument unpersuasive. It may be true that the
12 conduct in the New York statute “is penalized in a majority of states as either
13 ‘murder’ or ‘voluntary manslaughter.’” Appellant’s Br. at 41. Nonetheless,
14 according to the government’s own account, a majority of States (30) do not
15 penalize that conduct as “murder,” and a majority of States (42) do not penalize
16 that conduct as “voluntary manslaughter.” Under our case law, the statute does
17 not fit any of the generic crimes. See Castillo, 896 F.3d at 152. To the extent that
35
1 the government attempts to find support in Taylor for its novel approach, that
2 reliance is misplaced. Far from holding that “courts should disregard . . . ‘labels’
3 in applying the categorical approach,” Appellant’s Br. at 47, Taylor held that an
4 enumerated offense in Section 924(e) refers to “the generic sense in which the
5 term is now used in the criminal codes of most States.” 495 U.S. at 598.
6 Moreover, an interpretation of “voluntary manslaughter” that includes
7 States in which the State offense would qualify as murder, on the basis that
8 “voluntary manslaughter” is a lesser-included crime of murder, would render
9 entirely superfluous Congress’s inclusion of the separate crime of “murder,”
10 because such states would necessarily count as states in which the offense in
11 question qualifies as “voluntary manslaughter.” See Duncan v. Walker, 533 U.S.
12 167, 174 (2001) (“It is our duty to give effect, if possible, to every clause and word
13 of a statute.” (internal quotation marks omitted)); see also Marx v. Gen. Revenue
14 Corp., 578 U.S. 371, 386 (2013) (“[T]he canon against surplusage is strongest when
15 an interpretation would render superfluous another part of the same statutory
16 scheme.”). The government’s analogy of murder to the inclusion of “aggravated
17 burglary” under “burglary” is thus inapt, among other potential reasons, because
36
1 Congress did not include a separate crime of “aggravated burglary” in addition
2 to “burglary,” whereas it did include the crime “murder” in addition to
3 “voluntary manslaughter.”
4 For these reasons, we reject the government’s proposed “aggregation”
5 approach. In any event, it is certainly not the clear meaning of the Guideline to
6 allow aggregation of states that treat manslaughter as one of the enumerated
7 crimes with those that treat manslaughter as another. The rule of lenity therefore
8 bars adding punitive consequences based on an interpretation that is not clearly
9 communicated.
10 The government makes two additional arguments as to why the New York
11 statute fits the generic crime of voluntary manslaughter, notwithstanding the fact
12 that it identifies only eight states in which its mens rea requirement of “intent to
13 do serious injury” is sufficient.
14 First, the government points to a treatise stating, “The usual view of
15 voluntary manslaughter . . . presupposes an intent to kill (or perhaps an intent to do
16 serious injury or to engage in very reckless conduct).” LaFave, Substantive Crim.
17 L. § 15.2(a)) (emphasis added). We do not find that an equivocal (“perhaps”)
37
1 statement in a law treatise, supported by a citation to only one state court case
2 addressing the law of only that state, to be sufficient to carry the government’s
3 burden in demonstrating that the New York statute fits the generic crime of
4 voluntary manslaughter. Moreover, although there is no requirement that the
5 government expressly identify a majority of states in order to establish the
6 meaning of a generic crime, and although courts may consult sources other than
7 state codes including “scholarly treatises” in doing so, see Castillo, 896 F.3d at 150,
8 we find the government’s reliance on this treatise particularly unavailing in light
9 of the fact that it has undertaken an apparently exhaustive attempt to identify
10 state criminal codes under which the New York statute would qualify as
11 “voluntary manslaughter,” and yet came up only with a small minority.
12 Second, the government points to our decision in Castillo, in which we held
13 that “the generic definition of ‘manslaughter’ includes the unlawful killing of
14 another human being recklessly.” Id. at 152. We explained:
15 [C]ommon law manslaughter . . . served as “a sort of catch-all
16 category . . . [for] homicides which are not bad enough to be murder
17 but which are too bad to be no crime whatever. Manslaughter was
18 later subdivided into voluntary and involuntary varieties. Voluntary
19 manslaughter was the intentional killing “in a heat of passion upon
38
1 adequate provocation,” and involuntary manslaughter was an
2 unintentional killing caused by “criminal negligence” or
3 “recklessness,” or during the commission of an unlawful act not
4 amounting to a felony.
5
6 Id. at 151 (citing LaFave, Substantive Crim. L. §§ 15.1, 15.4). Relying on this
7 passage, the government argues that the New York statute qualifies as voluntary
8 manslaughter because, “Plainly, a violation of Section 125.20(1) . . . is not
9 ‘unintentional killing caused by criminal negligence or recklessness.’” In making
10 this statement, the government seems to assume that because the New York
11 statute is not involuntary manslaughter, it must be voluntary manslaughter. We
12 are not persuaded. It could equally be said that, plainly, Section 125.20(1)—
13 which criminalizes causing death with the intent to cause serious physical
14 injury—includes conduct beyond “intentional killing ‘in a heat of passion upon
15 adequate provocation.’” See Castillo, 896 F.3d at 151. It is clear that the New York
16 statute covers circumstances beyond provocation. Reliance on this passage in
17 Castillo is thus unavailing. We conclude that the government has failed to carry
18 its burden in showing that Scott’s conviction fits the generic crime of voluntary
19 manslaughter.
39
1 B. New York First-Degree Manslaughter Is Not Generic
2 Aggravated Assault
3
4 The government also argues that New York first-degree manslaughter
5 penalizes conduct that would be generic aggravated assault in “[v]irtually every
6 state.” Appellant’s Br. at 49. We reject this argument because the government has
7 not demonstrated that most states would penalize an omission as assault.
8 “The government bears the burden of showing that a prior conviction
9 counts as a predicate offense for the purpose of a sentencing enhancement.”
10 United States v. Savage, 542 F.3d 959, 964 (2d Cir. 2008). Here, however, the
11 government has not identified a single state that has actually punished a
12 defendant’s failure to act as aggravated assault. Instead, the government relies on
13 three sources to establish that a failure to act could be so punished: the treatise
14 American Jurisprudence, the Model Penal Code, and LaFave’s treatise. These three
15 sources do not carry the government’s burden.
16 The government’s citations to American Jurisprudence and the Model Penal
17 Code are inapposite because they do not address the question of whether an
18 omission may be punished as assault. The portion of American Jurisprudence upon
40
1 which the government relies concerns only the sufficiency of an indirect
2 application of force to qualify as battery and has no bearing on whether battery
3 can be committed by omission. 6 Am. Jur. 2d Assault & Battery § 6 (“The force
4 used in a common law battery need not be applied directly to the body of the
5 victim.”). The government then points this Court to the Model Penal Code for the
6 general proposition that a person can be held liable for a culpable omission, but it
7 fails to explain how these provisions constitute a statement that battery can be
8 committed by omission. See Model Penal Code § 1.13 (defining “conduct,” in
9 relevant part, as “an action or omission and its accompanying state of mind”); id.
10 § 2.01 (requiring liability to be “based on conduct that includes a voluntary act or
11 the omission to perform an act of which [a person] is physically capable”). 6 These
6 By contrast, American Jurisprudence states that assault and battery require an
overt act. In a section titled “Necessity and scope of overt act for criminal assault
or battery,” the treatise states, “[C]ommission of the offense of assault requires an
overt act intended to place the victim in fear or apprehension of bodily harm.” Id.
§ 21 (footnote omitted) (emphasis added) (citing state cases to establish that an
overt act is necessary for the commission of assault and battery). “[T]here must
be some physical action that, under all the circumstances of the incident, are [sic]
sufficient to induce a reasonable apprehension by the victim that physical injury
is imminent.” Id. § 23 (emphasis added). We find this discussion of omission in
41
1 provisions provide little guidance on whether a majority of states would
2 criminalize a failure to act as aggravated assault.
3 Lastly, the government relies on LaFave to support its argument that a
4 majority of states would criminalize New York first-degree manslaughter as
5 aggravated assault. Judge Raggi, in support of this argument, points to a few
6 cases cited by LaFave that involve assaults by omission. Our directive under
7 Taylor v. United States is to look to “the generic sense in which the term is now
8 used in the criminal codes of most States.” 495 U.S. at 598 (emphasis added). The
9 few cases cited by Judge Raggi fall far short of showing that assault may be
10 committed by omission in most states. The treatise therefore has limited
11 persuasive value both because it cites only a few examples and because it is the
12 sole source of support for the government’s contention. 7 Given the government’s
the specific context of assault and battery to be more persuasive than a general
statement of criminal law principles that does not refer to that context. Cf.
Morales v. Trans World Airlines, Inc., 504 U.S. 374, 385 (1992) (noting the
“commonplace” interpretive canon “that the specific governs the general”).
7 Indeed, Wharton’s Criminal Law, also lacking citation, reaches the opposite
conclusion regarding omission that LaFave does: “[I]n addition, of course, [the
defendant] must perform an act evincing such intent [to cause contact to the
42
1 failure to cite any state code that criminalizes an omission as aggravated assault,
2 we decline to rest our decision today on a treatise that cites only a few cases of
3 assault by omission.
4 We hold that New York first-degree manslaughter does not fit the generic
5 definitions of murder, voluntary manslaughter, or aggravated assault, and we
6 therefore affirm the district court’s conclusion that Scott cannot be sentenced
7 under the Career Offender Sentencing Guideline.
8 CONCLUSION
9 The State of New York has prosecuted New York first-degree
10 manslaughter based on a defendant’s failure to act. We hold that because a
11 defendant can commit New York first-degree manslaughter without taking any
12 action, a defendant so convicted cannot be said to have used force sufficient to
13 trigger ACCA’s sentencing enhancements or the force clause of the Career
14 Offender Guideline. We also hold that New York first-degree manslaughter is
15 not a match to the generic offenses of murder, voluntary manslaughter, or
person of another], but falling short of consummation.” 2 Wharton’s Criminal Law
§ 179.
43
1 aggravated assault and therefore does not satisfy the enumerated-offenses clause
2 of the Career Offender Guideline. The order and judgment of the district court is
3 therefore AFFIRMED.
44
1 LEVAL, Circuit Judge, Concurring:
2
3 I join in Judge Pooler’s persuasive opinion for the Court holding that New
4 York first-degree manslaughter does not fall within ACCA because it extends
5 more broadly than ACCA’s definition of violent felony. In this opinion, in which
6 Judge Pooler joins, I offer an additional reason, relying on application of the rule
7 of lenity by reason of lack of clarity whether ACCA’s requirement of use of
8 physical force can be satisfied — and ACCA’s mandatory 15-year sentence
9 imposed —where the defendant has taken no action whatsoever.
10 The rule of lenity “requires ambiguous criminal laws to be interpreted in
11 favor of the defendants subjected to them.” United States v. Santos, 553 U.S. 507,
12 514 (2008); see also United States v. Universal C.I.T. Credit Corp., 344 U.S. 218, 221-22
13 (1952) (“[W]hen choice has to be made between two readings of what conduct
14 Congress has made a crime, it is appropriate, before we choose the harsher
15 alternative, to require that Congress should have spoken in language that is clear
16 and definite.”). That rule, which is “’perhaps not much less old than’ the task of
17 statutory ‘construction itself,’” United States v. Davis, 139 S. Ct. 2319, 2333 (2019)
18 (quoting United States v. Wiltberger, 18 U.S. (5 Wheat.) 76, 95 (1820) (Marshall,
19 C.J.)), is founded, at least in part, on the notion that “a fair warning should be
1
1 given to the world in language that the common world will understand, of what
2 the law intends to do if a certain line is passed. To make the warning fair, so far
3 as possible the line should be clear.” United States v. Bass, 404 U.S. 336, 348 (1971)
4 (quoting McBoyle v. United States, 283 U.S. 25, 27 (1931) (Holmes, J.)).
5 Mandatory sentencing statutes such as ACCA, when their applicability is
6 not clearly commanded by the words of the statute, present a particularly
7 compelling ground for the application of the rule of lenity. This is because
8 mandatory sentencing statutes (for reasons explained below) rarely serve a
9 useful purpose, and frequently serve as arbitrary instruments of injustice.
10 Given the overriding objectives of sentencing to provide appropriate
11 protection to the public with fairness to the defendant and the victim, sentences
12 must be imposed on the basis of the relevant facts of the case. The “purposes” of
13 sentencing are specified in the basic federal sentencing statute, 18 U.S.C. §
14 3553(a). It requires the court to consider “the nature and circumstances of the
15 offense and the history and characteristics of the defendant,” id. § 3553(a)(1), as
16 well as “the need for the sentence imposed . . . to reflect the seriousness of the
17 offense[;] to promote respect for the law[;] to provide just punishment for the
18 offense; . . . [t]o afford adequate deterrence to criminal conduct; . . . [and] to
2
1 protect the public from further crimes of the defendant,” id. § 3553(a)(2). The
2 statute goes on, in what is called the “parsimony clause,” to command the courts
3 to impose a sentence that is “sufficient, but not greater than necessary, to comply
4 with the purposes” of sentencing. All of this requires that the sentencing court,
5 and the reviewing court, give careful attention to the facts that characterize both
6 the commission of the offense and the particular defendant. The task of assuring
7 that the sentencing court imposes a sufficient sentence is assigned to the
8 reviewing court. If the sentencing judge imposes a sentence that is not “sufficient
9 . . . to comply with” the purposes of sentencing, that sentence would violate the
10 statute and should be set aside on appeal.
11 When a legislature imposes a mandatory sentence, all consideration of the
12 relevant facts disappears. Necessarily knowing nothing of the facts — neither of
13 the crime nor the victim nor the defendant (as the crime has not yet occurred) —
14 the legislature, by requiring mandatory sentences, arbitrarily commands that all
15 crimes falling within the broadly described category be sentenced as specified,
16 regardless of whether the particular facts can reasonably justify such a sentence.
17 No doubt, mandatory sentences are most often legislated for circumstances
18 in which the majority of occurrences will appropriately call for a sentence of such
3
1 severity. Because the need for a severe sentence in most of the covered cases will
2 be as evident to courts as it is to the legislature, in most such cases the mandatory
3 requirement serves no purpose. The courts would impose a sentence of
4 comparable severity as the just resolution of the case, regardless of whether the
5 legislature had imposed a mandatory sentence, precisely because such a sentence
6 would be well justified by the facts. And in the relatively rare case where the
7 sentencing judge failed to impose an appropriately severe sentence that complied
8 with the purposes of sentencing, the prosecutor could appeal, and it would be
9 the duty of the appeals court to vacate an unreasonably lenient sentence,
10 requiring a sentence that is sufficiently severe.
11 On the other hand, notwithstanding that the sentence required by
12 mandatory sentencing laws is appropriate in most circumstances, it does not
13 follow that the mandatory sentence will be just or even reasonable in all
14 circumstances. Almost invariably, the standards that govern the imposition of
15 mandatory sentences are crude and generalized, and lack the fine distinctions
16 that are crucial to fair sentencing. Inevitably mandatory sentences will govern
17 cases where sentences of such severity cannot be reasonably justified. Thus,
18 when the sentence mandated is reasonably called for in the majority of cases it
4
1 covers, the main consequence of the legislature’s making that sentence
2 mandatory is to require substantial injustice in the minority of cases for which a
3 sentence of such severity cannot be justified. 1
4 A 15-year sentence, as mandated by ACCA, for one who possesses a
5 firearm after three convictions for either a violent felony or a felony drug offense
6 does not on its face sound unreasonable. The court would reliably impose such a
7 sentence on most persons who fall into that category. That is not to say, however,
8 that such a sentence would be reasonable for everyone who is ACCA-eligible. A
9 foolish 16-year-old, who yielded to the temptation of serving as a runner or a
10 lookout for drug sellers in an urban drug marketplace, would have committed
11 numerous felony drug offenses in the course of a single day, and could easily
1Particularly puzzling are mandatory consecutive sentences, which almost
inevitably mandate injustice. In passing the primary sentence, the sentencing
court, heeding the requirements of § 3553(a), will have increased its severity by
reason of the very aggravating factors that led Congress to impose a mandatory
consecutive supplement. Because of an aggravating factor such as the
defendant’s recidivism, or the defendant’s having increased danger to the public
by carrying a loaded gun while committing the crime, the court will have
increased the severity of the basic sentence as appropriate. (A sentence for the
basic offense that failed to do so would fail to comply with the purposes of
sentencing.) Congress, however, then requires the court to impose an additional
consecutive sentence to account for an aggravating factor that the court has
presumably already taken into account. Even in its most benign form, mandatory
consecutive sentencing thus mandates double counting of the aggravating factor,
and at times the mandatory injustice is even more severe.
5
1 have accumulated three separate felony drug convictions in a period of a few
2 days. Should it matter if those convictions were 40 years in the past, and if the
3 foolish teenager had thereafter rehabilitated himself and lived an exemplary,
4 productive, and useful life for 40 years before being in possession of a gun?
5 Should it matter whether the subsequent illegal gun possession occurred in
6 relatively innocuous circumstances? Suppose for example that, 40 years after his
7 drug convictions, he acquired a rifle because he lived on a farm and his family or
8 livestock were menaced by coyotes. Should it matter if, on his father’s death
9 many years after his early disposition toward crime, he simply inherited his
10 father’s property, which he knew included a hunting rifle? Probably a violation.
11 But warranting 15 years of imprisonment? Mandatory minimum sentencing
12 statutes do not make allowance for the inevitable circumstances of an individual
13 case that would make the commanded sentences outrageously unjust.
14 Notwithstanding that they rarely serve a useful purpose and almost
15 inevitably cause appalling injustices in some cases, mandatory sentences are
16 tolerated almost without comment because there is no voice or constituency in
17 our society for convicted felons who are the victims of unjust sentencing laws.
18 No member of Congress ever lost votes for supporting unfairly harsh sentences.
6
1 Nonetheless, such sentences represent a serious injustice — one that we ought to
2 consider intolerable.
3 For these reasons, mandatory sentences are inevitably at times in tension
4 with the parsimony clause of 18 U.S.C. § 3553(a), which requires that a district
5 judge impose a sentence that is “not greater than necessary” to satisfy the goals
6 of sentencing. See United States v. Dorvee, 616 F.3d 174, 182-83 (2d Cir. 2010); cf.
7 United States v. Ministro-Tapia, 470 F.3d 137, 141 (2d Cir. 2006) (“Plainly, if a
8 district court were explicitly to conclude that two sentences equally served the
9 statutory purpose of § 3553, it could not, consistent with the parsimony clause,
10 impose the higher.”).
11 I do not suggest that Congress lacks the power to impose mandatory
12 sentences that will inevitably inflict injustice. Nonetheless, under the rule of
13 lenity, statutes imposing criminal sanctions are not enforced unless they give
14 clear notice of their applicability. When the rule in question is a harsh mandatory
15 sentence, which, notwithstanding reasonable application to many circumstances,
16 will cause serious injustices in others, courts have a particularly important duty
17 to see to it that the rule is not enforced beyond the circumstances to which it
18 unambiguously applies.
7
1 Even if one is persuaded by the government’s and Judge Raggi’s
2 imaginative arguments that Congress probably intended that ACCA’s
3 requirement of a “violent felony” involving “use of physical force” be satisfied in
4 cases where the defendant has done nothing at all, these arguments fall far short
5 of showing that the reach of the statute unambiguously commands this. I
6 conclude for the reasons persuasively stated by Judge Pooler and those
7 expressed in this opinion that ACCA’s mandatory 15-year sentence does not
8 apply to cases where the defendant has taken no action whatever.
9 Although the case is less clear as to the inapplicability of the Career
10 Offender Guideline, which, since United States v. Booker, 543 U.S. 220 (2005), Gall
11 v. United States, 552 U.S. 38 (2007), and Kimbrough v. United States, 552 U.S. 85
12 (2007), has become entirely discretionary, our court has applied the rule of
13 lenity’s requirement of clarity to the Sentencing Guidelines. United States v.
14 Parkins, 935 F.3d 63, 66 (2d Cir. 2019). I join in Judge Pooler’s opinion on this
15 issue as well. Even if Congress intended that the Guideline cover such statutes as
16 New York manslaughter, the applicability of the phrase “crime of violence” to a
17 crime that can be committed by complete inaction is at best ambiguous.
18
8
18-163-cr
United States v. Scott
REENA RAGGI, Circuit Judge, dissenting:
Gerald Scott is a violent criminal, who has repeatedly
threatened, and on two occasions taken, human life. The killings were
undoubtedly brutal: Scott shot one of his victims in the head at point-
blank range; he stabbed the other to death. For these homicide crimes,
Scott stands twice convicted in New York State of first-degree
manslaughter under N.Y. Penal Law § 125.20(1). At issue on this
appeal is whether Scott’s manslaughter convictions are for crimes of
violence. An affirmative answer might appear obvious to a man on
the street aware of Scott’s conduct. But precedent, as the panel
majority notes, requires judges to view that conduct as “irrelevant.”
Majority Op., ante at 4, n.1. Instead, the violent-crime question must
be determined categorically by asking whether an element of New
York first-degree manslaughter requires the defendant to have used
“force capable of causing physical pain or injury to another person.”
Curtis Johnson v. United States, 559 U.S. 133, 140 (2010).
Following that principle here, the majority concludes that New
York first-degree manslaughter is not a categorical crime of violence
because—Scott’s own homicidal conduct notwithstanding—it is
possible to violate § 125.20(1) without a defendant himself actively
deploying physical force. For example, the crime can be committed
by “omission,” as when a parent, intent on seriously injuring his
child, fails to seek necessary medical care for the child, thereby
causing the child’s death. 1 See Majority Op., ante at 3. Carried to its
logical—or illogical—conclusion, the majority’s reasoning would
1
New York law defines an “omission” as the “failure to perform an act as to which
a duty of performance is imposed by law.” N.Y. Penal Law § 15.00(3). It equates
an “omission to perform an act which [a person] is physically capable of
performing” with a “voluntary act” for purposes of determining criminal
culpability. Id. § 15.10.
1
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United States v. Scott
preclude even intentional murder from being recognized as a
categorical violent felony or crime of violence because, presumably, a
person can cause death through omission whether his specific intent
is to kill, see N.Y. Penal Law § 125.25 (second-degree murder), or to
cause serious physical injury, see id. § 125.20(1) (first-degree
manslaughter). Rather than start down a path leading so far from the
violent reality of homicide crimes, I respectfully dissent from the
majority’s conclusion that New York first-degree manslaughter is not
a categorical crime of violence. Two reasons inform my decision.
First, Scott has not carried his threshold burden to identify a
case in which a defendant has been “actually prosecute[d]” for New
York first-degree manslaughter solely on a theory of omission.
Moncrieff v. Holder, 569 U.S. 184, 206 (2013). In People v. Steinberg, 79
N.Y.2d 673, 680, 584 N.Y.S.2d 770, 772 (1992), the New York Court of
Appeals recognized the legal possibility of a first-degree
manslaughter conviction being based solely on a theory of omission.
But Steinberg itself was not such a case. It upheld the first-degree
manslaughter conviction of a parent who struck his six-year old child
senseless and then failed to secure lifesaving medical assistance. See
id. at 678–80, 584 N.Y.S.2d at 771–72. Because Scott has not pointed
to a single case in the nearly three decades following Steinberg in
which a defendant has “in fact” been prosecuted for New York first-
degree manslaughter based solely on omission, I cannot conclude that
he has adequately demonstrated a “realistic probability” of New York
law being so applied. United States v. Hill, 890 F.3d 51, 56 (2d Cir.
2018) (internal quotation marks omitted), cert. denied 139 S. Ct. 844
(2019).
Second—and more important—even assuming a probability of
§ 125.20(1) crimes being prosecuted based only on omissions, I would
hold New York first-degree manslaughter a categorical crime of
2
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United States v. Scott
violence. New York law states that to be guilty of first-degree
manslaughter a person “[w]ith intent to cause serious physical injury
to another person, [must] cause[] the death of such person or of a third
person.” N.Y. Penal Law § 125.20(1). As the Supreme Court has
recognized, “the knowing or intentional causation of bodily injury
necessarily involves the use of physical force.” United States v.
Castleman, 572 U.S. 157, 169 (2014) (emphasis added). Thus, to satisfy
the causation element of § 125.20(1), a defendant who causes death
while intent on causing serious physical injury must use physical
force. See Villanueva v. United States, 893 F.3d 123, 128 (2d Cir. 2018)
(construing Castleman to focus “force” inquiry for federal purposes
“on the causation of a consequence”). It makes no difference whether
a defendant does so through commission, by himself initiating that
force, or through omission, by making force already in motion the
“instrument” of his own injurious intent by failing to act on a duty to
remediate the force. United States v. Castleman, 572 U.S. at 170–71
(holding that “word ‘use’ conveys the idea that the thing used (here,
‘physical force’) has been made the user’s instrument” (internal
quotation marks omitted)); see Villanueva v. United States, 893 F.3d at
129 (explaining that “relevant force is the impact of [the injurious
agent] on the victim, not the impact of the user on [that agent]”). In
either circumstance, the defendant has necessarily used physical force
in causing death. Thus, because New York first-degree manslaughter
can be committed only by a defendant’s use of force, I would identify
it as a categorical crime of violence.
I. Background
Whether New York first-degree manslaughter is a crime of
violence is a question that here arises in the context of determining
the appropriate sentence for Scott’s latest conviction, his fourth for a
3
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United States v. Scott
crime using life-threatening violence. 2 Specifically, on September 26,
2006, Scott entered a Bronx jewelry store, pointed a gun at the store
owner, and ordered him to surrender the contents of his cash register.
The robbery, and any possible ensuing injury, were thwarted by the
fortuitous intervention of a police officer. For his actions, Scott now
stands federally convicted, based on his guilty plea, for attempted
Hobbs Act robbery, see 18 U.S.C. §§ 1951, 1952; brandishing a firearm
during that robbery, see id. § 924(c)(1)(A)(ii); and being a previously
convicted felon in possession of a firearm, see id. §§ 922(g)(1), 924(e).
In sentencing Scott for these crimes, the district court had to
consider his criminal history, particularly his history for violent
crimes. Such consideration is relevant to assessing, at a minimum, the
seriousness of Scott’s most recent crimes, the likelihood of his
committing future crimes, and the risk of danger—life-threatening
danger—to innocent persons from such crimes. See id.
§ 3553(a)(2)(A)–(C).
While the law generally proscribes any limits on the facts and
circumstances that a district court may consider in determining a
defendant’s sentence, see id. § 3661, it sometimes requires specific
findings to trigger particular sentencing consequences. Thus, to
apply a “Career Offender” enhancement to a defendant’s Sentencing
Guidelines calculation, a court must find that a defendant has two or
more prior felony convictions for “a crime of violence or a controlled
substance offense.” U.S.S.G. § 4B1.1(a). 3 And if the court finds that a
2
Prior to Scott’s two 1988 convictions for first-degree manslaughter, he was
convicted, in 1983, of first-degree robbery, see N.Y. Penal Law § 160.15, a crime he
committed by holding a 75-year-old man at knifepoint.
3 The Career Offender Guideline defines “crime of violence” as a federal or state
felony crime that,
4
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United States v. Scott
defendant found guilty of being a felon in possession of a firearm has
three or more prior violent felony or serious drug convictions, the
Armed Career Criminal Act (“ACCA”) mandates a minimum prison
term of fifteen years for the unlawful possession. See 18 U.S.C.
§ 924(e)(1). 4
To decide whether a crime of conviction is a violent felony or a
crime of violence under the “force” clauses of ACCA and the Career
Offender Guideline, a court must make a categorical assessment,
asking whether an element of the crime requires the use of physical
“force capable of causing physical pain or injury to another person.”
Curtis Johnson v. United States, 559 U.S. at 140 (construing ACCA’s
“physical force” requirement); accord United States v. Hill, 890 F.3d at
58. To answer that question, a court looks to the minimum criminal
conduct necessary for conviction under the statute, without regard to
(1) has as an element the use, attempted use, or threatened use of
physical force against the person of another, or
(2) is murder, voluntary manslaughter, kidnapping, aggravated
assault, a forcible sex offense, robbery, arson, extortion, or the
use or unlawful possession of a firearm described in 26 U.S.C.
§ 5845(a) or explosive material as defined in 18 U.S.C. § 841(c).
U.S.S.G. § 4B1.2(a).
4ACCA defines a “violent felony” as “any crime punishable by imprisonment for
a term exceeding one year” that,
(i) has as an element the use, attempted use, or threatened use
of physical force against the person of another; or
(ii) is burglary, arson, or extortion, involves use of explosives,
or otherwise involves conduct that presents a serious
potential risk of physical injury to another.
18 U.S.C. § 924(e)(2)(B).
5
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United States v. Scott
whether the defendant himself engaged in more egregious conduct.
See United States v. Hill, 890 F.3d at 55. 5
At Scott’s initial sentencing, the district court concluded—with
no objection and, therefore, little discussion—that Scott warranted
enhancements under the force clauses of both ACCA and the Career
Offender Guideline. This was based on his two 1988 New York
manslaughter convictions, as well as his 1983 conviction for first-
degree robbery. See N.Y. Penal Law § 160.15(3); Stuckey v. United
States, 878 F.3d 62, 71–72 (2d Cir. 2017) (holding New York first-
degree robbery categorical violent felony under ACCA).
Accordingly, the district court sentenced Scott to a total 22 years’
imprisonment. This sentence, toward the low end of Scott’s 262-to-
327-month Guidelines range, reflected the ACCA mandated 15-year
sentence for being a felon in possession, a concurrent 15-year term for
attempted Hobbs Act robbery, and a mandated consecutive 7-year
sentence for brandishing a firearm. See 18 U.S.C. § 924(c)(1)(A)(ii).
In 2017, on habeas review of Scott’s sentence, see 28 U.S.C.
§ 2255, the district court reversed course, holding that neither the
original ACCA nor Career Offender Guideline enhancements were
warranted because New York first-degree manslaughter is not a
categorical violent felony or crime of violence as it can be committed
5While it may seem curious to ignore a defendant’s own conduct in determining
whether he has committed a violent felony, the categorical focus is required only
in deciding the applicability of enhancements specifically tied to the elements of
crimes of conviction. Otherwise, as earlier noted, there are no limits on the facts
and circumstances that a sentencing court may consider in deciding what is an
appropriate sentence within the statutory range prescribed by Congress. See 18
U.S.C. § 3661; United States v. Cavera, 550 F.3d 180, 190–91 (2d Cir. 2008) (en banc).
In this respect, a sentencing court may certainly consider that a defendant
committed an offense that is not categorically a crime of violence in a particularly
violent way.
6
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United States v. Scott
passively, by omission, without a defendant himself using,
attempting to use, or threatening to use physical force. The district
court further concluded that New York first-degree manslaughter
committed by omission did not fit within the generic definitions of
“voluntary manslaughter,” “murder,” or “aggravated assault,”
crimes specifically enumerated in the second clause of the Guidelines’
definition of a “crime of violence.” See supra note 3. Accordingly, it
vacated Scott’s original sentence; recalculated his Guidelines range
without the career offender enhancement as 121 to 130 months; and
sentenced Scott to time served, which by that time was approximately
135 months.
The panel majority now affirms that judgment, reasoning that
New York first-degree manslaughter is not a categorical violent
felony or crime of violence because the minimum conduct required to
commit the crime does not include a defendant’s active use of force.
Rather, the crime may be committed through omission, as occurs
when a defendant, intent on causing serious physical injury, causes
death by failing to prevent deadly harm despite the duty and ability
to do so.
I think precedent forecloses this reasoning.
II. The Probability of a First-Degree Manslaughter Conviction
by Omission Alone
As the majority acknowledges, see Majority Op., ante at 9–10, to
hold that the minimum conduct for a predicate crime of conviction
does not require the use of violence “there must be a realistic
probability, not a theoretical possibility, that the statute at issue could
be applied to conduct that does not constitute a [violent felony],”
United States v. Hill, 890 F.3d at 56 (quoting Gonzales v. Duenas-Alvarez,
549 U.S. 183, 193 (2007)). To demonstrate that probability, a
7
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United States v. Scott
defendant “must at least point to his own case or other cases in which
the . . . courts in fact did apply the statute in the . . . manner for which
he argues.” Id. (emphasis added) (omissions in original) (internal
quotation marks omitted); see Moncrieffe v. Holder, 569 U.S. at 206
(holding that “realistic probability” requires defendant to show that
“State actually prosecutes the relevant offense” in the non-violent
circumstances hypothesized). 6 This requirement ensures that
patently violent crimes do not escape being denominated as such on
theories that, even if legally possible, are not reflected in actual
prosecutions.
Scott cannot rely on his own case to carry his realistic-
probability burden. As noted at the outset, Scott actively deployed
violence to kill his manslaughter victims, shooting one point-blank in
the head and stabbing the other. Thus, he must point to other cases
in which New York actually prosecuted first-degree manslaughter
based only on a theory of omission. He cannot do so.
In concluding otherwise, the majority relies on two cases:
People v. Steinberg, 79 N.Y.2d 673, 584 N.Y.S.2d 770, and People v. Wong,
81 N.Y.2d 600, 601 N.Y.S.2d 440 (1993). In neither, however, was a
defendant actually prosecuted, much less successfully convicted, of
first-degree manslaughter based only on omission. In Steinberg the
defendant was convicted for inextricably linked acts of commission
and omission. In Wong, the defendants’ manslaughter convictions,
whether by commission or omission, were reversed.
6
The “realistic probability” standard first articulated in Gonzales v. Duenas-Alvarez,
and reiterated in Moncrieffe v. Holder, was there applied to determine aliens’
removability under the Immigration Nationality Act. This court has applied that
standard, and the reasoning of those cases, in the ACCA context. See United States
v. Hill, 890 F.3d at 56.
8
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United States v. Scott
At issue in Steinberg was the notorious killing of a six-year-old
child, Lisa Steinberg, at the hands of her “adoptive” father, attorney
Joel Steinberg. Steinberg was convicted of first-degree manslaughter
on a theory that he engaged in both “acts of commission (striking Lisa)
and acts of omission (failing to obtain medical care), each with intent
to cause serious physical injury.” People v. Steinberg, 79 N.Y.2d at 680,
584 N.Y.S.2d at 772. 7 The New York Court of Appeals held that the
law allowed Steinberg to be prosecuted on either theory. See id. at
680–81, 584 N.Y.S.2d at 772–73. While this may admit the possibility
that, in some future case, even a parent who did not himself fatally
injure his child—as Steinberg undoubtedly did—could be convicted
under § 125.20(1) for failing to secure necessary life-saving care for
the child, Steinberg itself sheds little light on the realistic probability of
such prosecutions resulting in successful convictions.
When the Court of Appeals, in Steinberg, stated that “the failure
to obtain medical care can . . . support a first degree manslaughter
charge,” it observed that conviction nevertheless requires “sufficient
proof of the requisite mens rea—intent to cause serious physical
injury.” Id. at 680, 584 N.Y.S.2d at 772. In Steinberg, the fact that
defendant acted with such injurious intent when he failed to secure
medical care for his child was powerfully demonstrated by evidence
that he himself had committed the brutal assault triggering the child’s
7Trial evidence showed that Lisa Steinberg’s “death was caused by brain trauma
as a result of abuse.” People v. Steinberg, 79 N.Y.2d at 682, 584 N.Y.S.2d at 773. That
abuse included a blow to Lisa’s head, delivered by Steinberg with such
“tremendous force” as to render the child unconscious for several hours. Id. at
682, 584 N.Y.S.2d at 774. During that time, neither Steinberg nor Lisa’s “adoptive”
mother, Hedda Nussbaum, sought medical care for the child. Thus, medical
evidence “confirmed beyond a reasonable doubt” that the child’s “death was a
consequence of an assault and a failure to obtain prompt medical attention.” Id. at
682, 584 N.Y.S.2d at 773.
9
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United States v. Scott
need for care. In short, in the Steinberg prosecution, the defendant’s
act of omission was inextricably linked to his acts of commission, and
the Court of Appeals discussed them in conjunction in rejecting
Steinberg’s sufficiency challenge to his first-degree manslaughter
conviction. See id. at 683, 584 N.Y.S.2d at 774 (holding that “jury could
have inferred from the evidence that defendant’s objective in
assaulting Lisa and failing to summon medical assistance was to
cause serious physical injury”). For this reason, Steinberg is not itself
a case in which a defendant was “actually prosecute[d]” for New York
first-degree manslaughter for omission alone. Moncrieffe v. Holder, 569
U.S. at 206; accord People v. Hill, 890 F.3d at 56. 8
Nor is People v. Wong, 81 N.Y.2d 600, 601 N.Y.S.2d 440, such a
case. There, a couple entrusted with the care of a three-month-old
baby was prosecuted for manslaughter in both the first and second
degrees, see N.Y. Penal Law §§ 125.15(1), 125.20(1), 9 when, after only
four days in their care, the child died from “internal brain injuries . . .
that could only be attributed to ‘shaken baby syndrome,’” People v.
Wong, 81 N.Y.2d at 605, 601 N.Y.S.2d at 443. Unable to prove which
defendant had actually shaken the baby, the prosecution maintained
that both were guilty “either by commission for having actually
8
The majority hypothesizes ways in which the mens rea element for first-degree
manslaughter might be proved by circumstances not linked to a defendant’s acts
of commission. See Majority Op., ante at 16. But Moncrieffe and Hill require more
than hypothetical possibilities to demonstrate reasonable probability. They
require cases in which defendants were actually prosecuted for first-degree
manslaughter in such circumstances. Neither Scott nor the majority identifies any
such cases.
9While manslaughter in the first degree under N.Y. Penal Law § 125.20(1) requires
a defendant, with intent to cause serious physical injury to a person, to cause
death, manslaughter in the second degree under N.Y. Penal Law § 125.15(1)
requires a defendant recklessly to cause the death of another person.
10
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United States v. Scott
shaken the child, or by omission for failing to protect the child.”
People v. Wong, 182 A.D.2d 98, 108, 588 N.Y.S.2d 119, 124 (1st Dep’t
1992). Thus, commission and omission were also closely linked in
Wong, even if not as inextricably intertwined as in Steinberg. In any
event, the New York courts ruled that neither Wong could stand
convicted of manslaughter on either theory.
The Appellate Division, First Department, reversed the Wongs’
first-degree manslaughter convictions, reasoning that record
evidence indicating that the shaker’s “probable intention” was “to
quiet [the child] . . . and not necessarily to harm him,” raised a
“reasonable doubt” as to either defendant’s possession of the required
specific intent to cause serious physical injury. Id. at 107, 588 N.Y.S.2d
at 123.
The Court of Appeals then reversed the Wongs’ second-degree
manslaughter convictions. It was as to that charge, which required
proof only of recklessness, and not of a specific intent to cause
physical injury, see People v. Rivera, 23 N.Y.3d 112, 122, 989 N.Y.S.2d
446, 453 (2014), that the Court observed that the prosecution’s
theory—that one defendant “shook the baby violently while the
other, aware of the harm being done, failed to seek medical
assistance”—“could theoretically support [second-degree
manslaughter] convictions in a proper case,” People v. Wong, 81
N.Y.2d at 607, 601 N.Y.S.2d at 443 (emphasis added). But it held that
Wong was not that case, a conclusion that means Wong does not
demonstrate a realistic probability of applying New York’s first-
degree manslaughter statute only on a theory of omission. See United
States v. Hill, 890 F.3d at 56 (requiring more than “theoretical
possibility” of statute being applied to non-violent conduct).
11
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United States v. Scott
Highlighting “the absence of proof from which the jury could
infer that the ‘passive’ defendant was even aware that the infant had
been violently shaken,” the Court concluded that the record would
not admit a finding that such defendant recklessly failed to procure
needed medical care. People v. Wong, 81 N.Y.2d at 609, 601 N.Y.S.2d
at 445. Indeed, the Court suggested that, given the difficulty of
recognizing shaken baby syndrome, the proof would have to admit
an inference that the “passive” defendant “actually witnessed the
shaking” to support guilt on a theory of omission. Id. at 610, 601
N.Y.S.2d at 445. Such evidence might imply more than failure to seek
medical care; it might imply complicity in the violence necessitating
such care. But even if it would not, the reversals of all manslaughter
convictions in Wong preclude us from identifying that case as one in
which a defendant has in fact successfully been prosecuted for New
York first-degree manslaughter based only on an omission. 10
In sum, while Steinberg admits the legal “possibility” of a first-
degree manslaughter conviction being obtained solely on a theory of
omission, because that was not “in fact” the case in Steinberg—and
even less so in Wong—these cases are insufficient to demonstrate the
“realistic probability” of application that is a necessary prerequisite
for the majority’s conclusion that New York first-degree
manslaughter is not a categorical violent felony or crime of violence.
10
The majority charges that this reasoning converts the “reasonable probability”
standard into one demanding affirmance. See Majority Op., ante at 19. I
respectfully disagree. While I hardly think it irrelevant to a realistic probability
inquiry whether a state’s highest court upholds or reverses convictions based on
an urged non-violent theory of prosecution, the fact is that in neither Steinberg nor
Wong was a defendant actually prosecuted for first-degree manslaughter only on
a theory of omission.
12
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United States v. Scott
United States v. Hill, 890 F.3d at 56 (internal quotation marks
omitted). 11
III. A Defendant Who Commits New York First-Degree
Manslaughter Necessarily “Uses” Physical Force in Causing
Death
In United States v. Castleman, 572 U.S. 157, the Supreme Court
stated that the “knowing or intentional causation of bodily injury
necessarily involves the use of physical force.” Id. at 169 (emphasis
added). Indeed, the Court went on to state that “it is impossible to
11The majority, see Majority Op., ante at 20 n.3, professes puzzlement at my
inability to identify the requisite probability given my observation, in the next
point of this opinion, that it would make no sense for the law to distinguish
between a defendant who sprinkles poison into his victim’s drink, and one who,
with murderous intent, allows a victim to whom he owes a duty of care to imbibe
what the defendant knows is a poisoned drink, see infra at 14–16. The puzzle, I
respectfully submit, derives from conflating the realistic-probability and use-of-
force inquiries. The equivalency I draw pertains to the latter inquiry, which asks
whether a defendant has “made” violent force—such as the violent force of poison
on a human body—the “instrument” for achieving his injurious intent. United
States v. Castleman, 572 U.S. at 170–71. It is because both hypothetical defendants—
one by commission, the other by omission (despite a duty to act)—knowingly made
poison their instrument for intended injury that I do not think the law can gainsay
that both used physical force to commit their homicidal crimes.
Such a use inquiry is quite different from asking whether there is a realistic
probability of New York prosecutors filing, juries finding proved, and courts
upholding first-degree manslaughter charges based solely on a theory of omission.
Even acknowledging the legal possibility of such an application, see People v.
Steinberg, 79 N.Y.2d at 680, 584 N.Y.S.2d at 772, in the absence of a single case “in
fact” prosecuting New York first-degree manslaughter based only on a theory of
omission, I cannot identify the “probability” necessary to consider whether the
crime is not violent when so committed.
The point need not be pursued further, however, because, as I explain in
the next point of text, I think New York first-degree manslaughter is a categorically
violent crime however committed. On that ground alone I would dissent from the
majority opinion.
13
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United States v. Scott
cause bodily injury without applying force.” Id. at 170 (emphasis
added); accord id. at 174 (Scalia, J., concurring) (“[I]t is impossible to
cause bodily injury without using force capable of producing that
result.” (internal quotation marks omitted)). 12 Thus, Castleman
compels the conclusion that to be guilty of causing death while
intending to cause at least serious physical injury—the required
elements of N.Y. Penal Law § 125.20(1)—a defendant must have used
physical force. The conclusion obtains, moreover, regardless of
whether the use was direct or indirect, by commission or omission.
Castleman makes that clear in rejecting an argument that a poisoner
can kill his victim without using physical force by the non-violent act
of surreptitiously sprinkling poison in his drink. The Court explained
that the “use of force” in that circumstance is “not the act of sprinkling
the poison; it is the act of employing poison knowingly as a device to
cause physical harm.” United States v. Castleman, 572 U.S. at 171
(internal quotation marks and brackets omitted).
In holding otherwise, the panel majority attempts to narrow
Castleman, insisting that the Court there addressed only “whether a
low level of force that produces a violent result”—sprinkling poison
—“can qualify as use of force under ACCA.” Majority Op., ante at 25.
It maintains that a defendant can only be said to have used injurious
physical force if he took “some action that initiates a harmful
12To the extent this court had earlier expressed a different understanding of the
use of force, see Chrzanoski v. Ashcroft, 327 F.3d 188, 195 (2d Cir. 2003) (stating that
“intentional causation of injury does not necessarily involve the use of force”), we
have acknowledged that this understanding has been “abrogated” by Castleman,
Villanueva v. United States, 893 F.3d at 130; see also United States v. Hill, 890 F.3d at
60 (observing that “Chrzanoski panel did not have the benefit of the Supreme
Court’s reasoning in Castleman to the effect that a use of physical force can
encompass acts undertaken to cause physical harm, even when the harm occurs
indirectly (as with poisoning)” (internal quotation marks omitted)).
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consequence.” Id. at 26 (emphasis in original). This reading of
Castleman, however, is belied by the just-quoted text, which makes
clear that not only is the degree of force used in sprinkling poison
irrelevant to the Court’s use-of-force conclusion, so too is the
sprinkling itself. That is because the “use of force” in that
circumstance is “not the act of sprinkling the poison” at all; rather, “it
is the act of employing poison knowingly as a device to cause physical
harm.” United States v. Castleman, 572 U.S. at 171 (internal quotation
marks and brackets omitted). Applying Castleman’s reasoning in
United States v. Hill, this court effectively recognized that a defendant
can employ force without affirmatively initiating it when it rejected
the argument that threatening to withhold vital medicine from a
victim (as well as threatening to poison him) would not threaten the
use of physical force. See 890 F.3d at 59.
By the majority’s reasoning, however, a defendant intent on
killing or seriously injuring another person could be said to have used
the deadly force of a poison if he himself sprinkled that substance in
a victim’s drink, but not to have used such force if, possessed of the
same injurious intent, and with the legal duty to intervene, he stood
by and let the person imbibe what defendant knew was a poisoned
drink. The distinction makes no sense, and not simply because the
two circumstances involve comparable moral culpability. See
Majority Op., ante at 28–29. Rather, the reason no distinction is
warranted is because of how the Supreme Court has construed
statutory text penalizing crimes committed by the use of force. In
both hypothesized circumstances, the defendant is “employing
poison knowingly as a device to cause [intended] physical harm”—
the use-of-force standard articulated in Castleman, 572 U.S. at 171. In
the second circumstance, the person employs poison as the
instrument for his injurious intent by deliberately failing to act on a
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duty to remediate the poison. Indeed, the law equates such inaction
in the face of a duty to act to voluntary action. See N.Y. Penal Law §
15.10 (equating “omission to perform an act which [person] is
physically capable of performing” with “voluntary act” in identifying
minimal conduct required for criminal culpability). For that reason,
the majority cannot fairly characterize a culpable omission as taking
“no action whatsoever,” Majority Op., ante at 28, or as doing “nothing
at all,” Concurring Op., ante at 8. The culpable “action” taken is
deliberate inaction, while under a duty to act, with the specific intent
thereby to cause serious physical harm.
The majority nevertheless insists that the distinction it draws is
compelled by Curtis Johnson v. United States, which, in holding that the
term “physical force” should be construed according to its “ordinary
meaning,” observed that dictionary definitions describe “force” as
“active power; vigor,” and “physical force” as “force consisting in a
physical act.” 559 U.S. at 139 (internal quotation marks and brackets
omitted); see Majority Op., ante at 21–22. From this, the majority
concludes that “only an active crime constitutes a ‘violent felony’
under ACCA.” Majority Op., ante at 22.
I respectfully suggest that, in reaching this conclusion, my
colleagues conflate “physical force” itself with the “use” of such force.
Curtis Johnson holds that the former connotes active physical power
and vigor. But it says nothing about the latter; certainly not that the
“use” of physical force must be affirmative rather than passive. It was
only subsequently, in United States v. Castleman, that the Supreme
Court discussed what constitutes a “use” of “physical force.” There,
the Court explained that the word “use” “conveys the idea that the
thing being used (here, ‘physical force’) has been made the user’s
instrument.” 572 U.S. at 170–71 (internal quotation marks omitted). I
respectfully submit that when a person, (1) who has the legal duty
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and the ability to protect another from physical injury, (2) fails to act
on that duty, (3) because he specifically intends to cause serious
physical injury, the person must be said, by his omission, to have
adopted the physical force causing harm as the “instrument” of his
own injurious intent and, thus, to have used that physical force as
much as if he had actively deployed it in the first instance.
The majority suggests that this “overstates the holding” in
Castleman because the Supreme Court did not there consider the
physical force question “for ACCA purposes.” Majority Op., ante at
28. Such criticism is unwarranted. This court has already recognized
that the determinative significance Castleman affords causation in
identifying crimes committed by the use of force applies in the ACCA
context. In Villanueva v. United States, an ACCA case, we observed
that, following Castleman, a federal court’s “use of force” inquiry
properly “focuses on the causation of a consequence, rather than the
physical act of initiating an action that leads to a consequence.” 893
F.3d at 128. Put another way, in deciding whether a crime
categorically requires the use of force, a court properly considers the
necessary impact of an instrument of force on the crime’s victim, not
the impact of a defendant’s actions—or inactions—on that
instrument. See id. at 129 (“[R]elevant force is the impact of the
substance on the victim, not the impact of the user on the substance.”).
Because the only consequence for a victim of New York first-degree
manslaughter is death—the ultimate physical injury—and because
that consequence can only be caused by the application of physical
force to the victim, see United States v. Castleman, 572 U.S. at 169–70, a
defendant convicted of that homicide crime because he intended to
cause at least serious physical injury, must be said to have
17
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intentionally used the force causing death as his instrument without
regard to whether he did so by commission or omission. 13
Five of our sister circuits have already sensibly refused to draw
a distinction between crimes causing physical injury by commission
and those causing such injury by omission in identifying crimes of
violence under various provisions of federal law. See United States v.
Rumley, --- F.3d ---, 2020 WL 1222681 (4th Cir. Mar. 13, 2020) (holding
Virginia unlawful wounding crime of violence under ACCA’s force
clause because, following Castleman, “there is just as much ‘use of
force’ when a murderous parent uses the body’s need for food to
intentionally cause his child’s death as when that parent uses the
forceful physical properties of poison to achieve the same result”);
United States v. Sanchez, 940 F.3d 526, 536 (11th Cir. 2019) (holding
New York second-degree murder crime of violence under ACCA’s
force clause because, under “the logic of Castleman, we see no reason
to draw a distinction between administering a poisonous substance
with the intent to cause death and withholding a life-saving substance
with the intent to cause death”); United States v. Peeples, 879 F.3d 282,
287 (8th Cir. 2018) (holding Iowa attempted murder categorical crime
of violence under U.S.S.G. § 2K2.1(a)(4)(A), because, even when
committed by omission, such as by withholding food with intent to
cause dependent to starve, it is impossible to cause death without
13 Because I think Castleman leaves no ambiguity about the necessary use of
physical force to commit a homicide crime, there is no reason here for application
of the rule of lenity, see Majority Op. ante at 30; Concurring Op., ante at 1–8, which,
in any event, is the last rule of statutory construction, see Shular v. United States,
140 S. Ct. 779, 787 (2020) (stating that rule of lenity applies “only when, after
consulting traditional canons of statutory construction, we are left with an
ambiguous statute” (quoting United States v. Shabani, 513 U.S. 10, 17 (1994))); see id.
at 788 (Kavanaugh, J., concurring) (observing that lenity rule “applies only in cases
of grievous ambiguity” (collecting cases)).
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force); United States v. Ontiveros, 875 F.3d 533, 538 (10th Cir. 2017)
(holding Colorado second-degree assault crime of violence under
ACCA’s force clause because, following Castleman’s logic, “[i]f it is
impossible to commit a battery without applying force, and a battery
can be committed by an omission to act, then second-degree assault
must also require physical force” (emphasis omitted)); United States v.
Waters, 823 F.3d 1062, 1066 (7th Cir. 2016) (adhering to precedent
recognizing domestic battery under Illinois law as crime of violence
for purposes of Career Offender Guideline because, assuming crime
could be committed by withholding medicine, that omission “causes
physical harm, albeit indirectly, and thus qualifies as the use of force
under Castleman”). But see United States v. Mayo, 901 F.3d 218, 227, 230
n.15 (3d Cir. 2018) (declining to extend Castleman to ACCA context,
although recognizing this court to have done so in Villanueva based
on Castleman’s focus on causation). I would join them, and hold New
York first-degree manslaughter a categorical violent felony and crime
of violence under the force clauses of both ACCA and the Career
Offender Guideline.
IV. The Career Offender Guideline’s Enumerated Offenses
Clause
Because I think Scott’s manslaughter convictions are
categorical violent felonies and crimes of violence under the force
clauses of both ACCA and the Career Offender Guideline, I would
not reach the government’s alternative argument urging a crime-of-
violence conclusion under the Guideline’s enumerated offenses
clause. See supra note 3. Nevertheless, because the panel majority
rejects this alternative argument, I here briefly explain why I am not
persuaded by its reasoning.
A court identifying a crime of violence by reference to an
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enumerated offense properly determines the “generic” definition of
the enumerated offense by looking to the “sense in which the term is
now used in the criminal codes of most States.” Taylor v. United States,
495 U.S. 575, 598 (1990). In the process, a court may also “consult
other sources, including federal criminal statutes, the Model Penal
Code, scholarly treatises, . . . legal dictionaries,” and “the common
law . . . to frame the analysis.” United States v. Castillo, 896 F.3d 141,
150 (2d Cir. 2018). For a crime of conviction to qualify as an
enumerated violent offense, its elements must be “the same as, or
narrower than, those of the generic offense.” Descamps v. United
States, 570 U.S. 254, 257 (2013); accord Quarles v. United States, 139 S.
Ct. 1872, 1877 (2019); United States v. Castillo, 896 F.3d at 150.
The government asserts that New York first-degree
manslaughter is an enumerated crime of violence under the Career
Offender Guideline because a majority of the states penalize conduct
with the elements of N.Y. Penal Law § 125.20(1)—causing death while
intending serious bodily injury—as either murder (20 states) 14 or
14 The 20 states penalizing such conduct as murder do so under statutes
proscribing either what Professor LaFave refers to as “intent-to-do-serious-bodily-
injury” murder, 2 Wayne R. LaFave, SUBSTANTIVE CRIMINAL LAW § 14.3, at 590 (3d
ed. 2018); see Alaska Stat. Ann. § 11.41.110(a)(1); Ariz. Rev. Stat. Ann. § 13-
1104(A)(2); Ark. Code Ann. § 5-10-103(a)(2); 720 Ill. Comp. Stat. 5/9-1(a)(1); La. Stat.
Ann. § 14:30.1(1); Thornton v. State, 919 A.2d 678, 693 (Md. 2007); Mo. Ann. Stat.
§ 565.021(1); N.J. Stat. Ann. § 2C:11-3(1), (2); Commonwealth v. Fisher, 80 A.3d 1186,
1191–92 (Pa. 2013); Tex. Penal Code Ann. § 19.02(b)(1),(2); Utah Code Ann. § 76-5-
203(2)(b); State v. Congress, 114 A.3d 1128, 1135 (Vt. 2014); State v. Davis, 648 S.E.2d
354, 358–59 (W. Va. 2007), or homicides predicated on intended assaults or
batteries, see Ga. Code Ann. §§ 16-5-1(c), 16-5-24(a); Miss. Code Ann. §§ 97-3-
19(1)(c), 97-3-7(2)(a); Mont. Code Ann. §§ 45-5-102(1)(b), 45-5-202(1); Ohio Rev.
Code Ann. §§ 2903.02(B), 2903.11(A)(1); Okla. Stat. Ann. tit. 21, §§ 646(1), 701.8(2);
Wash. Rev. Code Ann. §§ 9A.32.050(b), 9A.36.011; Wis. Stat. Ann. §§ 940.03,
940.19(5).
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voluntary manslaughter (eight states), 15 while almost all states
penalize such conduct, at a minimum, as aggravated assault. 16
The majority rejects the argument insofar as it requires
aggregating states holding what the majority perceives as minority
views of murder and voluntary manslaughter. Indeed, it maintains
that a majority of the states limit murder and voluntary manslaughter
to homicides committed with the specific intent to kill. As for
aggravated assault, the majority insists that it cannot be committed
by omission. I am not convinced.
15See Conn. Gen. Stat. Ann. § 53a-55; Del. Code Ann. tit. 11, § 632; Ky. Rev. Stat.
Ann. § 507.030; People v. Townes, 218 N.W.2d 136, 140 (Mich. 1974); Minn. Stat. Ann.
§ 609.20(2); State v. English, 772 S.E.2d 740, 745 (N.C. 2015); N.Y. Penal Code
§ 125.20(1); State v. Ortiz, 824 A.2d 473, 486 (R.I. 2003).
16 Aggravated assault generally punishes assaults or batteries where serious
physical injury is caused intentionally, knowingly, or, in some cases, recklessly.
See 2 LaFave § 16.2(d); MODEL PENAL CODE § 211.1(2)(a); see also United States v.
Delis, 558 F.3d 177, 181 (2d Cir. 2009) (observing that “distinction between assault
and battery . . . has been regularly elided” and “two terms have often been used
interchangeably”). The following 44 state laws proscribe assaults or batteries in
such aggravated circumstances. See Ala. Code § 13A-6-21; Alaska Stat. Ann.
§ 11.41.200; Ariz. Rev. Stat. Ann. §§ 13-1203, 1204; Ark. Code Ann. § 5-13-202; Cal.
Penal Code § 243(d); Colo. Rev. Stat. Ann. § 18-3-202; Conn. Gen. Stat. Ann. § 53a-
60; Del. Code Ann. tit. 11, § 612; Fla. Stat. Ann. § 784.045; Ga. Code Ann. § 16-5-24;
Haw. Rev. Stat. Ann. § 707-710; Idaho Code Ann. § 18-907; 720 Ill. Comp. Stat. Ann.
5/12-3.05; Ind. Code Ann. § 35-42-2-1; Kan. Stat. Ann. § 21-5413; Ky. Rev. Stat. Ann.
§ 508.020; La. Stat. Ann. § 14:34.1; Me. Rev. Stat. Ann. tit. 17-A, § 208; Md. Code
Ann., Crim. Law § 3-202; Minn. Stat. Ann. § 609.221; Miss. Code Ann. § 97-3-
7(2)(a); Mo. Stat. Ann. § 565.050; Mont. Code Ann. § 45-5-202(1); Neb. Rev. Stat.
§ 28-308; Nev. Rev. Stat. Ann. § 200.481(2)(b); N.H. Rev. Stat. Ann. § 631:1; N.J. Stat.
Ann. § 2C:12-1; N.M. Stat. Ann. § 30-3-5; N.Y. Penal Law § 120.05; N.C. Gen. Stat.
Ann. § 14-33; N.D. Cent. Code Ann. § 12.1-17-02; Ohio Rev. Code Ann. § 2903.11;
Okla. Stat. Ann. tit. 21, § 646; Or. Rev. Stat. Ann. § 163.175; 18 Pa. Stat. and Cons.
Stat. Ann. § 2702; 11 R.I. Gen. Laws Ann. § 11-5-2; S.D. Codified Laws § 22-18-1.1;
Tenn. Code Ann. § 39-13-102; Tex. Penal Code Ann. § 22.02; Utah Code Ann. § 76-
5-103; Vt. Stat. Ann. tit. 13, § 1024; Wash. Crim. Code § 9A.36.011; Wis. Stat. Ann.
§ 940.19; Wyo. Stat. Ann. § 6-2-502.
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The government’s urged aggregation approach finds support
in the Supreme Court’s instruction that courts identifying categorical
crimes of violence by reference to enumerated offenses should not be
controlled by the “label” states attach to their crimes but, rather, by
the elements of those crimes. Quarles v. United States, 139 S. Ct. at
1880. Mindful of that instruction, I conclude that New York first-
degree manslaughter is an enumerated crime of violence because a
clear majority of the states penalize the conduct proscribed by the two
elements of N.Y. Penal Law § 125.20(1)—(1) causing death while (2)
intending to cause serious physical injury—as a Guidelines-
enumerated crime of violence, whether labeled murder or voluntary
manslaughter. While the panel majority characterizes these states as
holding minority views of the mens rea element of murder and
voluntary manslaughter, see Majority Op., ante at 35–36, the fact
remains that a majority of the states treat the conduct proscribed by
the elements of N.Y. Penal Law § 125.20(1) as one or the other of these
enumerated crimes of violence. Indeed, it would be more than
curious to conclude that New York first-degree manslaughter is not
an enumerated crime of violence because only eight states would
label it voluntary manslaughter when another 20 would label it as the
more serious crime of murder.
To explain, as Professor Wayne LaFave details, at common law,
“one who intended to do serious bodily injury short of death, but who
actually succeeded in killing, was guilty of murder in spite of his lack
of an intent to kill, in the absence of circumstances which mitigated
the offense to voluntary manslaughter or which justified or excused
it.” 2 Wayne R. LaFave, SUBSTANTIVE CRIMINAL LAW § 14.3, at 590 (3d
ed. 2018). “This type of common-law murder became a part of the
law of murder in America.” Id. It was only over time that “[m]ost”—
but far from all—“modern [state penal] codes” came to “define
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murder as not including the intent-to-do-serious-bodily injury type.”
Id. at 591 & n.5 (comparing codes that do not treat death caused
intending serious bodily injury as murder with those that do, either
expressly or as a lesser degree of murder). Instead, death caused with
the intent to cause serious bodily harm was punished as the lesser
homicide of voluntary manslaughter. See id. § 15.2(a), at 670
(observing that “[a]lthough the killing of another person—when
accompanied by an intent to kill, or by an intent to do serious bodily harm
short of death, or when resulting from such unreasonable and highly
reckless conduct as to evince a depraved heart—often amounts to
murder, yet it may under certain circumstances amount only to
voluntary manslaughter” (emphasis added) (internal quotation
marks omitted)). Nevertheless, as the New York Court of Appeals
has observed, a homicide caused with intent to cause serious physical
injury rather than death, i.e., first-degree manslaughter, is a lesser
included offense of second-degree murder. See People v. Hull, 27
N.Y.3d 1056, 1058, 35 N.Y.S.3d 284, 286 (2016). This background
explains why homicides caused while intending to cause serious
physical injury, which New York punishes as first-degree
manslaughter, are properly viewed as categorical crimes of violence
under the enumerated offenses clause of the Career Offender
Guideline. A clear majority of states punish crimes having these same
elements as either murder or voluntary manslaughter. Only a
minority of states fails to punish this conduct as one of these
enumerated crimes of violence.
Our recent decision in United States v. Castillo, 896 F.3d 141,
further supports this conclusion. There, we held New York first-
degree manslaughter a categorical crime of violence under the pre-
2016 Guidelines by analogy to the enumerated crime of “generic
manslaughter,” which we construed to include both voluntary and
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United States v. Scott
involuntary manslaughter. See id. at 151 n.36, 153–54. 17 We explained
that, historically, “murder was the unlawful killing of a human being
with malice aforethought,” while “manslaughter was the unlawful
killing of a human being without malice aforethought.” See id. at 151
(internal quotation marks omitted). Over time, the term “malice
aforethought came to encompass a variety of mental states, including
intent to kill in the absence of extenuating circumstances, intent to do
serious bodily injury, depraved heart, and intent to commit a felony.”
Id. (emphasis added) (internal quotation marks omitted). Meanwhile,
manslaughter was subdivided into “voluntary and involuntary
varieties,” the former being “intentional killing in a heat of passion
upon adequate provocation,” and the latter being “unintentional
killing caused by criminal negligence or recklessness, or during the
commission of an unlawful act not amounting to a felony.” Id.
(internal quotation marks omitted). While some state codes, and the
federal criminal code, preserve a voluntary/involuntary distinction as
to manslaughter, Castillo acknowledges that “the modern trend,
reflected in a majority of recent codifications, is for there to be but one
single manslaughter crime.” Id. (quoting 2 LaFave § 15.1, at 668–69).
Thus, Castillo concluded that while the “mens rea of recklessness . . .
serves as the proverbial floor for the generic definition of
‘manslaughter,’” “the states of mind that historically fell under the
category of ‘malice aforethought’ associated with murder,” including
the intent to kill and to do serious bodily injury, also satisfy that
17In so holding, this court specifically rejected one argument urged by Scott on this
appeal: that New York first-degree manslaughter is broader than generic
manslaughter because only the former can be committed by omission. See United
States v. Castillo, 896 F.3d at 154 (holding that “generic ‘manslaughter,’ . . . can also
be committed by reckless omission when there is an affirmative duty to act”).
Thus, there is no need to address that argument further.
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United States v. Scott
generic definition. Id. at 152.
From this, I conclude that where manslaughter remains
divided into voluntary and involuntary homicides, the mens rea
element for generic involuntary manslaughter is recklessness. Higher
mental state requirements, indicative of the malice aforethought
originally associated with murder—such as intent to kill or to do
serious bodily injury—denominate homicides now generically
recognized as voluntary manslaughter. Cf. id. at 153 (recognizing
“recklessness (a mens rea of [New York] second-degree manslaughter)
[as] a lower mental state than intent to cause serious injury,” as
required for New York first-degree manslaughter). Thus, contrary to
my colleagues in the majority, I identify New York first-degree
manslaughter as the equivalent of generic voluntary manslaughter
under the Career Offender Guideline’s enumerated offenses clause.
Further, I think the conduct satisfying the elements of New
York first-degree manslaughter—causing death intending to cause
serious physical injury—would be punished in virtually all states, at
a minimum, as aggravated assault, a term that also includes
aggravated battery. See supra note 16. Certainly, the Model Penal
Code § 211.1(2)(a) defines “aggravated assault” to include causing
“serious bodily injury . . . purposely [or] knowingly.” The treatises
are also in accord. See 6 AM. JUR. 2D Assault & Battery § 32, Westlaw
(database updated Nov. 2019) (“Aggravated assault usually consists
of intentionally or recklessly causing great or serious bodily harm to
another.”); 2 LaFave § 16.2(d), at 764–65 (observing that aggravated
battery includes “intentionally or knowingly” inflicting “serious
bodily injury”).
To avoid this conclusion, the panel majority faults the
government for failing to show that most states would prosecute
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United States v. Scott
serious bodily injury purposely caused by omission as aggravated
assault. See Majority Op., ante at 40. I disagree. First, such a showing
is unnecessary given Scott’s failure to cite a case in which New York
actually prosecuted first-degree manslaughter based only on
omission. Second, even assuming such a showing were necessary, it
is satisfied here. It is well established in law that injury can be
proximately caused by either commission or omission, particularly
when the latter pertains to a legal duty. See W. Page Keeton et al.,
PROSSER & KEETON ON TORTS § 41, at 263 (5th ed. 1984) (stating that
“essential element” of negligence claim is “proximate cause,” i.e.,
“reasonable connection between the act or omission of the defendant
and the damage which the plaintiff has suffered” (emphasis added)).
The same conclusion obtains for criminal liability generally, which
the Model Penal Code instructs can “be based on conduct that
includes a voluntary act or the omission to perform an act of which [a
defendant] is physically capable.” MODEL PENAL CODE § 2.01(1)
(emphasis added); see id. § 1.13 (defining “conduct” of crime as “an
action or omission and its accompanying state of mind” (emphasis
added)); see also 2 WHARTON’S CRIMINAL LAW § 25, at 139 (15th ed.
1993) (observing that to be criminally liable, defendant must engage
in “conduct,” which “means an act or omission” (internal quotation
marks omitted)). Citing the Model Penal Code, Professor LaFave
observes that “modern recodifications typically state that crimes may
be committed either by an act or an omission,” when there is a “legal
duty” to act. 1 LaFave § 6.2, at 588 & n.1. Indeed, LaFave identifies
as the first element of criminal battery “the defendant’s conduct (act
or omission).” 18
18In § 6.2 of the LaFave treatise, entitled “Omission to Act,” the author cites
numerous state statutes and case decisions making plain that criminal liability
generally can be based on either commission or omission. There is no reason to
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In sum, because a clear majority of the states penalize the
conduct proscribed by the elements of N.Y. Penal Law § 125.20(1) as
either generic voluntary manslaughter or the more serious homicide
crime of murder, and because an even larger majority of the states
penalize such conduct, at a minimum, as generic aggravated assault,
I conclude that the Career Offender Guideline applies to Scott’s case.
V. Conclusion
For the reasons stated in this opinion, I conclude that Scott
should not have been granted habeas relief from his original sentence
because he has three prior convictions for violent felonies under
ACCA and for crimes of violence under the Career Offender
Guideline.
To the extent Scott has two prior convictions for first-degree
manslaughter in violation of N.Y. Penal Law § 125.20(1), I conclude
that those convictions are for categorical violent felonies and crimes
of violence under the force clauses of both ACCA and the Career
Offender Guideline. To commit New York first-degree manslaughter,
a defendant must (1) cause death while (2) specifically intending to
cause at least serious physical injury. Death can only be caused by
intentionally using physical force, that is, by a person making fatal
force his own instrument for causing intended injury. See United
States v. Castleman, 572 U.S. at 169. Whether a defendant himself
think that assault or battery crimes warrant an exception. Footnotes in this section
are replete with cases convicting defendants for what might be deemed the most
aggravated forms of assault and battery, murder and manslaughter. In addition,
the treatise cites cases of assault-by-omission convictions. See 1 LaFave § 6.2(a)(1),
at 593 n.19 (citing, among other cases, People v. Rolon, 160 Cal. App. 4th 1206, 73
Cal. Rptr. 3d 358 (2008) (upholding conviction for “assault causing death”
committed by omission); State v. Walden, 306 N.C. 466 (1982) (upholding assault
conviction of mother who failed to prevent beating of child)).
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United States v. Scott
deploys that force in the first instance or avails himself of such force
already in motion (by failing to act on a duty to remediate that force
because he specifically intends serious injury) does not alter the
conclusion that he has intentionally used physical force to commit the
crime. Thus, New York first-degree manslaughter is a categorical
crime of violence.
While I do not think it necessary to decide whether New York
first-degree manslaughter is also a categorical crime of violence under
the enumerated offenses clause of the Career Offender Guideline, to
the extent the panel majority concludes that it is not, I cannot agree
with its reasoning.
I, therefore, respectfully dissent from the court’s decision today
affirming the district court judgment in favor of Scott.
28