United States Court of Appeals
Fifth Circuit
F I L E D
REVISED OCTOBER 19, 2006
IN THE UNITED STATES COURT OF APPEALS October 16, 2006
FOR THE FIFTH CIRCUIT Charles R. Fulbruge III
_____________________ Clerk
No. 05-40877
_____________________
UNITED STATES OF AMERICA,
Plaintiff - Appellee,
versus
MARCUS TREMAIN ARNOLD,
Defendant - Appellant.
_________________________________________________________________
Appeal from the United States District Court
for the Eastern District of Texas, Beaumont Division
USDC No. 1:04-CR-76-ALL
_________________________________________________________________
Before KING, GARWOOD and JOLLY, Circuit Judges.
E. GRADY JOLLY, Circuit Judge:
Marcus Tremain Arnold (“Arnold”) was convicted by a jury of
possession with intent to distribute more than 50 grams of cocaine
base (“crack”), possession of a firearm by a felon, and possession
of a firearm in furtherance of drug trafficking. He was sentenced
to life imprisonment for the first crime under an enhancement
provision for two-time felony drug offenders. On appeal, Arnold
challenges (1) the sufficiency of the evidence on all counts, (2)
the admission of Federal Rule of Evidence 404(b) evidence of a
prior conviction, and (3) the district court’s ruling that an
incorrectly-cited statute in the Government’s pre-trial 21 U.S.C.
§ 851 sentencing enhancement notice constituted clerical error.
Because we find no error as to Arnold’s first two challenges, we
affirm his conviction on all three counts. Lacking an adequate
record to rule on his third challenge, we remand the case to the
district court for the limited purpose of determining whether
Arnold was prejudiced by the citation error in the Government’s
notice.
I
On April 28, 2004, officers of the Orange (Texas) Police
Department executed a search warrant at 418 Dewey Street in Orange,
a residence rented to Arnold. No one was at home. During their
search of the house, the officers found 99.78 grams of cocaine base
(“crack”) in a box of Betty Crocker Instant Mashed Potatoes and a
loaded Ruger 9mm semiautomatic pistol, among other contraband not
relevant to this appeal.
Arnold was named in a one-count indictment on May 19, 2004,
charging him with possession with intent to distribute more than 50
grams of crack in violation of 21 U.S.C. § 841(a). Exactly three
months later on August 19, 2004, Arnold was named in a three-count
first superseding indictment. The first charge was the same as
that in the original indictment (“Count 1"), while the second
alleged possession of a firearm by a felon in violation of 18
U.S.C. § 922(g)(1) (“Count 2") and the third alleged possession of
a firearm in furtherance of a drug trafficking crime in violation
of 18 U.S.C. § 924(c) (“Count 3"). Arnold’s first trial ended in
a mistrial on November 10. On January 5, 2005, a second jury was
2
empaneled and the trial concluded the next day with a verdict of
guilt on all three counts.
During the second trial, the district court conducted a
Beechum1 hearing on the admissibility of evidence of Arnold’s prior
crimes and bad acts pursuant to Rule 404(b) of the Federal Rules of
Evidence. (Arnold was convicted of drug-related crimes in Texas in
1992, 1993 and 1995). The court excluded evidence of the first two
convictions but allowed the Government to present evidence of a
1995 arrest and conviction for possession of roughly four grams of
crack.
The Government originally filed a Notice of Information of
Prior Convictions for Purpose of Increased Punishment on August 16,
2004, fulfilling the command of 21 U.S.C. § 851. The notice stated
that the Government intended to rely on Arnold’s previous felony
drug convictions to enhance his sentence as provided by 21 U.S.C.
§ 841(b)(1)(B). On February 22, 2005, after Arnold’s conviction on
all counts, the Government offered an amended notice of
enhancement. The only change was to the statutory citation,
replacing the above with the adjacent subparagraph, §
841(b)(1)(A).2
1
United States v. Beechum, 582 F.2d 898 (5th Cir. 1978) (en
banc).
2
The full significance of this change is discussed in section
II.C infra. See text accompanying note 4.
3
After the U.S. Probation Department provided the parties with
a pre-sentence report, Arnold challenged the report, arguing that
its reliance on the February 22, 2005 amended notice to establish
a statutory sentence range of life imprisonment for Count 1 was
improper. At the sentencing hearing on May 23, 2005, the district
court overruled Arnold’s challenge and sentenced him to life in
prison for Count 1. Arnold timely appealed.
II
Arnold challenges (1) the sufficiency of the evidence on all
three convictions, (2) the admission of Rule 404(b) evidence and
(3) the district court’s decision that the Government’s citation
mistake in its initial § 851 notice was clerical error. We
consider each in turn.
A
The first issue presented on appeal is the sufficiency of the
evidence to support Arnold’s convictions. “Where, as here, the
defendants moved for judgment of acquittal at the close of the
evidence, we decide whether the evidence is sufficient by ‘viewing
the evidence and the inferences that may be drawn from it in the
light most favorable to the verdict’ and determining whether ‘a
rational jury could have found the essential elements of the
offenses beyond a reasonable doubt.’” United States v. Valdez, 453
F.3d 252, 256 (5th Cir. 2006) (quoting United States v. Pruneda-
Gonzalez, 953 F.2d 190, 193 (5th Cir. 1992)).
1
4
Arnold’s challenge to Count 1 contends that the Government did
not prove beyond a reasonable doubt that he knowingly had
constructive possession of the drugs. The Government must prove
that the defendant knowingly possessed a controlled substance, that
the substance was in fact crack and that the defendant possessed
the substance with the intent to distribute it. United States v.
Delgado, 256 F.3d 264, 274 (5th Cir. 2001). Possession may be
either actual or constructive. Constructive possession is found if
the defendant knowingly has “ownership, dominion or control over
the contraband itself or over the premises in which the contraband
is concealed.” United States v. Cardenas, 748 F.2d 1015, 1019 (5th
Cir. 1984).
Arnold first argues that several other individuals lived in
the residence at 418 Dewey Street and that therefore this is a case
of joint occupancy. While admitting that he was the sole tenant on
the lease, Arnold points to the testimony of Greg Richards
(“Richards”) at trial that Richards and others lived at the house
for extended periods. Arnold also appears to argue that he did not
live in the house. Instead, he only came to 418 Dewey Street for
weekends and holidays. Citing the testimony of Richards and that
of Arnold’s two sisters, Arnold claims that at the time of the
search in April 2004, he was living at his girlfriend’s apartment.
The Government cites ample evidence of Arnold’s individual
control and dominion over the house, in particular that Arnold (1)
rented the property in his own name and paid all rent from January
5
2003 to January 2005, (2) changed the lock after moving in to
restrict access, (3) installed a video surveillance system to
monitor the front door, (4) paid all utility bills, and (5) listed
418 Dewey Street as his place of residence on his driver’s license
and automobile insurance. Responding to the claim that Arnold
lived at his girlfriend’s apartment, the Government also contends
that Arnold listed 418 Dewey Street as his address when he rented
a car from Enterprise on three occasions in April 2004. Further,
the Government submits that the jury simply did not find Richards
credible, citing inconsistencies in his testimony at different
stages in the proceedings. It also points to Richards’s two
admissions under oath that he did not have a key to the residence.
As the Government notes, “it is well-settled that credibility
determinations are the sole province of the jury.” United States
v. Cathey, 259 F.3d 365, 368 (5th Cir. 2001).
Given all of the evidence cited by the Government, this is not
a case of joint occupancy. Nor is it difficult to see why the jury
did not credit Arnold’s argument that he lived elsewhere. Viewing
the evidence in the light most favorable to the jury’s verdict, it
is clear that a rational jury could have concluded that Richards
was not credible, that Arnold occupied the house at 418 Dewey
Street as its resident and therefore that he had constructive
possession of the crack through his “dominion or control ... over
the premises in which the contraband is located.” Cardenas, 748
F.2d at 1019.
6
2
Arnold’s challenge to the sufficiency of the evidence to
convict him on Count 2 (possession of a firearm by a felon)
recapitulates much of what he argued as to Count 1, namely that he
did not have dominion and control over the residence. We reject
this argument for the reasons cited above. The additional claim
here is based on Richards’s testimony at trial that he purchased
the pistol, it belonged to him, and he put it in the location in
the house where it was found by police. Arnold also contends that
no evidence ties him directly to the gun. Support for the jury’s
finding that Richards was not credible on this issue, the
Government offers, can be found in his admission under cross-
examination that he had previously testified that the gun was a
Glock, rather than a Ruger brand pistol.
In the light of the inconsistencies in Richards’s testimony as
to the gun’s maker and the jury’s finding that Arnold was in
possession of a gun that Richards stated belonged to him
(Richards), it is clear that the jury did not find Richards to be
credible. And that was a determination for the jury to make.
Cathey, 259 F.3d at 368.
3
Arnold’s challenge to the sufficiency of the evidence to
convict him on Count 3 (possession of a firearm in furtherance of
a drug trafficking crime) does not cover any new ground. For Count
3, the Government had to prove beyond a reasonable doubt that
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Arnold used or carried a firearm during and in relation to a drug
trafficking crime. United States v. Tolliver, 61 F.3d 1189, 1218
(5th Cir. 1995). Arnold’s challenge to the predicate drug crime is
the same as analyzed above as to Count 1. Arnold also claims again
that no evidence showed Arnold “using or carrying the firearm” and
that the gun belonged to Richards.
The Government correctly points out in reply that the firearm
part of Count 3 “does not depend on proof that the defendant had
actual possession of the weapon or used it in any affirmative
manner, but it does require evidence that the firearm was available
to provide protection to the defendant in connection with his
engagement in drug trafficking.” United States v. Raborn, 872 F.2d
589, 595 (5th Cir. 1989). It argues again that the jury simply did
not credit the testimony of Richards.
Taken as a whole and “[v]iewing the evidence and the
inferences that may be drawn from it in the light most favorable to
the verdict,” there is little doubt that a “rational jury could
have found the essential elements of the offenses beyond a
reasonable doubt.” Valdez, 453 F.3d at 256.
B
The second issue on appeal is Arnold’s challenge to the trial
court’s admission of Rule 404(b) evidence. The rule provides that
“[e]vidence of other crimes, wrongs, or acts is not admissible to
prove the character of a person in order to show action in
conformity therewith. It may, however, be admissible for other
8
purposes, such as proof of motive, opportunity, intent,
preparation, plan, knowledge, identity, or absence of mistake or
accident.” FED. R. EVID. 404(b). Under our decision in Beechum,
Rule 404(b) evidence must pass a two-part test. 582 F.2d at 911.
“First, it must be determined that the extrinsic offense evidence
is relevant to an issue other than character. Second, the evidence
must possess probative value that is not substantially outweighed
by its undue prejudice and must meet the other requirements of Rule
403.” United States v. Willis, 6 F.3d 257, 260 (5th Cir. 1993).
On appeal, the district court’s decision to admit such evidence is
reviewed for abuse of discretion. United States v. Pompa, 434 F.3d
800, 804 (5th Cir. 2005).
Arnold first offers that the 1995 conviction does not show his
constructive possession of the drugs found in the house at 418
Dewey Street. He questions the relevance of this evidence, arguing
that the 1995 conviction is insufficiently similar to Count 1 to be
probative of his conduct in 2004. He further claims that nine
years is simply too long a gap between his prior bad act and Count
1.
We reject this argument because Arnold made his intent and
knowledge regarding the crack found in the house the critical
issues at trial. Intent and knowledge are two of the purposes
cited in Rule 404(b) for the introduction of evidence of past
crimes. Indeed, we have held that a trial court did not abuse its
discretion in admitting evidence of defendant’s prior convictions
9
for possession of cocaine and possession with intent to distribute
cocaine, where prior convictions were expressly offered, admitted,
and presented to jury for the purpose of showing the defendant’s
intent to constructively possess crack. See Willis, 6 F.3d at 263.
Furthermore, the amount of time that has passed since the
previous conviction is not determinative. We have upheld the
admission of Rule 404(b) evidence where the time period in between
was as long as 15 and 18 years. See United States v. Hernandez-
Guerra, 162 F.3d 863 (5th Cir. 1998); United States v. Chavez, 119
F.3d 342 (5th Cir. 1997). Furthermore, “[t]he age of a prior
conviction does not bar its use under Rule 404.” United States v.
Broussard, 80 F.3d 1025, 1040 (5th Cir. 1996).
Arnold’s argument that the 1995 conviction is irrelevant to
whether he constructively possessed the drugs in question here
seems premised on a legal error. Arnold argues that the amount of
drugs here “was undisputed; it was clearly enough to show ‘intent
to distribute.’” That “intent” is not the same “intent” that Rule
404(b) offers as a legitimate purpose for the introduction of a
prior conviction. “Intent” for Rule 404(b) concerns whether the
defendant had the requisite state of mind to commit the charged
crime.3 The rationale for admitting this evidence is “that because
the defendant had unlawful intent in the extrinsic offense, it is
less likely that he had lawful intent in the present offense.”
3
This crime, meanwhile, presumes a different “intent” -- the
intent to distribute from the amount of drugs possessed.
10
Beechum, 582 F.2d at 911. Arnold denies that the drugs found at
the Dewey Street residence were in his possession. Thus, under
Rule 404(b), the 1995 drug conviction can be probative of whether
Arnold controlled and possessed these drugs found at this residence
in 2004. In sum, it seems clear that the district court did not
abuse its discretion in admitting Arnold’s 1995 conviction.
C
Arnold’s final challenge is to the district court’s decision
to allow the Government to amend its Notice and Information of
Prior Conviction after trial. Section 851 requires that the U.S.
Attorney file such an information with the court before trial in
order to take advantage of sentence enhancements for prior
convictions. 21 U.S.C. § 851(a)(1) (2006). The information must
list the previous convictions to be relied upon and the statute
also provides that “[c]lerical mistakes in the information may be
amended at any time prior to the pronouncement of sentence.” Id.
“The sufficiency of a § 851(a) information is a question of law;
therefore, we review the adequacy of the Government’s compliance
with § 851(a) de novo.” United States v. Steen, 55 F.3d 1022, 1025
(5th Cir. 1995). If the Government “fails to comply with § 851's
procedural requirements, a district court cannot enhance a
defendant’s sentence.” Id.
Arnold contends that in its August 16, 2004 Information the
Government did not make a clerical error, as found by the district
court, but instead a legal one. Although “clerical error” is not
11
defined by § 851, we have previously found guidance for
interpreting it in the Federal Rules of Civil Procedure (especially
Rule 60(a)) and Criminal Procedure (especially Rule 7(c)(3)) and
case law applying those rules. Steen, 55 F.3d at 1026 n.3.
Generally, “the relevant test for the applicability of Rule 60(a)
is whether the change affects substantive rights of the parties and
is therefore beyond the scope of Rule 60(a) or is instead a
clerical error, a copying or computational mistake, which is
correctable under the Rule.” Id. We have also held that “an
enhancement information performs a function in sentencing analogous
to the function an indictment or information performs in bringing
the initial charges. Thus Rule 7(c)(3) applies to sentencing
enhancement informations.” United States v. Garcia, 954 F.2d 273,
276 (5th Cir. 1992). “Incorrect citations of statutes are harmless
under Rule 7(c)(3) unless the defendant was misled to his
prejudice.” Id.
Arnold argues, as he must, that he was misled to his prejudice
and that his substantial rights were affected by the Government’s
error in citation. The purpose of putting the enhancement statute
citation in the information, Arnold contends, is not only to
provide notice about the convictions upon which the Government will
rely, but also to indicate the possible sentence faced under the
enhancement provision. As Arnold’s appellate brief put it, “in the
first Notice, the Government tells you that they are seeking an
enhanced punishment range from 10 years to life. In the second
12
Notice, the Government tells you that they are seeking a mandatory
life sentence.” Indeed § 841(b)(1)(B), the statute cited in the
August 2004 information, provides that “[i]f any person [violates
§ 841(a)] ... after a prior conviction for a felony drug offense
has become final, such person shall be sentenced to a term of
imprisonment which may not be less than 10 years and not more than
life imprisonment ....” Subparagraph 841(b)(1)(A), cited in the
amended February 2005 information, by contrast provides that “[i]f
any person commits a violation of this subparagraph . . . after two
or more prior convictions for a felony drug offense have become
final, such person shall be sentenced to a mandatory term of life
imprisonment without release ....”4 Which section applies depends
on the amount of drugs the defendant is alleged to have had.
Subparagraph 841(b)(1)(B) covers violations involving 5 grams or
more of cocaine base, while 841(b)(1)(A) covers violations
involving 50 grams or more.
Arnold’s argument, then, is that citing the wrong statute
holds serious consequences, because instead of thinking that he
faced life in prison without the possibility of parole, Arnold
believed he faced 10 years to life. As the Government
acknowledges, at both his original May 2004 indictment and the
4
The base sentence under § 841(b)(1)(A) is 10 years to life.
There is also an enhancement for one-time offenders under §
841(b)(1)(A) to a term of 20 years to life. Section 841(b)(1)(B)
does not differentiate between one and two-time offenders.
13
August 2004 first superseding indictment, Arnold was advised by the
district court that he faced 10 years to life.
The Government acknowledges the error made in the August 2004
Notice and makes two primary arguments for its position that the
error was a clerical one and the district court did not err in
allowing the Notice to be amended post-conviction in February 2005.
First, the Government asserts that notices under § 851(a) are
designed to give the defendant warning of the prior convictions the
will rely on, not to identify possible sentencing ranges. As we
stated in discussing the legislative history of § 851(a), “Congress
intended that defendants receive notice of the prior convictions on
which the court is relying in time for the defendants to challenge
the use of those convictions.” Steen, 55 F.3d at 1027. Arnold,
the Government points out, is not challenging the sufficiency of
the information regarding his prior convictions, nor did he
challenge the validity of those convictions. Thus, the Government
complied with the statute, even though it cited the wrong
subparagraph.
The Government is correct to point out that in Steen we
identified the purpose of § 851 as providing notice to the
defendant of the prior convictions so that they may be challenged.
55 F.3d at 1027. Support for this was found in United States v.
Belanger, 970 F.2d 416, 418 (7th Cir. 1992), which stated “that §
851 was enacted to satisfy [the] due process requirement of notice
and opportunity to be heard.” Steen, 55 F.3d at 1027 note 9. More
14
recently, in a case in which the Government failed to make the
required § 851 filing, we stated that “the main purpose of § 851
... is to inform the defendant that the government intends to seek
a sentencing enhancement ....” United States v. Dodson, 288 F.3d
153, 159 (5th Cir. 2002). The Eleventh Circuit, meanwhile, has
held that “[t]here are two purposes for this provision.... The
first is to allow the defendant to contest the accuracy of the
information. The second is to allow defendant to have ample time
to determine whether to enter a plea or go to trial and plan his
trial strategy with full knowledge of the consequences of a
potential guilty verdict.” United States v. Williams, 59 F.3d
1180, 1185 (11th Cir. 1995). We believe, certainly as applied to
this appeal, that the Eleventh Circuit has stated the guiding
purposes of § 851. Although the primary purpose of § 851 is to
allow the defendant to contest the use of the prior convictions, it
is also designed to inform defendants of the possible sentencing
consequences of a guilty verdict under the enhancement provision at
issue.
The Government’s second argument is that Arnold could not
reasonably have been prejudiced by the incorrect citation. The
first basis for this position is that § 851(b)(1)(B) refers to
violations of more than 5 grams of cocaine base and Arnold had been
repeatedly advised that he was being charged with possessing more
than 50 grams. That amount is listed in § 851(b)(1)(A). Therefore
15
Arnold had to know that the Government had made a clerical error
and the appropriate penalty subparagraph was the one that cited the
amount of drugs listed in Count 1. The second basis is that §
841(b)(1)(B) would “not entail enhanced punishment at all” because
its maximum sentence is the same as what Arnold was originally
advised was the range for Count 1, namely 10 years to life.5
To recapitulate, Arnold’s claim is that he was misled to his
prejudice because of the potentially confusing fact that both
relevant subparagraphs of § 841(b)(1) include a statutory range of
10 years to life imprisonment. While Arnold makes no claim that
his defense at trial would have been different had the Government
5
It appears the Government and the district court may have
made a minor mistake (or, at least, an elision) here. In its brief
the Government stated that “the District Court correctly analyzed
that such an enhancement under Section 841(b)(1)(B) would pertain
to an offense involving 5 grams or more of cocaine base, and would
require a statutory sentencing range of not less than five years
and not more than forty years, unless death or bodily injury
results from the use of such substance, then the range increases to
not less than 20 years and not more than life. Since the
indictment charged an amount of cocaine base of 50 grams or more,
contained no allegation of death or bodily injury resulting from
the use of the cocaine base, and since Appellant had been arraigned
and advised that his penalty range upon conviction was 10 years to
life, an enhancement notice under ... 841(b)(1)(B) would be not
entail enhanced punishment at all” (sic). While it is true that
the amounts of cocaine base were different and there was no
allegation of death or bodily injury, this discussion leaves out
the enhancement for prior felony drug offenders under sub-paragraph
(B), which increases the standard five to 40-year range to 10 to
life imprisonment. This is the only prior conviction enhancement
under § 841(b)(1)(B). Recognizing this makes Arnold’s argument
that he reasonably relied on the range in the mis-cited sub-
paragraph much more comprehensible. If he was told “10 years to
life” and then looked up § 841(b)(1)(B), he would have found that
range as the sentence enhancement for prior felony drug offenders.
16
not made this error, it is understandable that he might have taken
a different tack in plea-bargaining or trial strategy had he known
he was facing a mandatory minimum of life imprisonment.
At oral argument, it was suggested by the Government that
Arnold was aware that he faced a mandatory life sentence if he went
to trial and was found guilty. If this fact was known to him and
to his attorneys, then the erroneous citation in the Government’s
Enhancement Notice would constitute a clerical error, because it
would not have prejudiced him or affected his substantial rights.
At oral argument Arnold was represented by different counsel than
at trial and consequently counsel for Arnold was unable to confirm
or deny the content of the discussions between the parties during
pre-trial conferences. The record before us is inconclusive on
Arnold’s knowledge of a possible life sentence, and consequently we
find that it is inadequate to make a decision in which we would
have full confidence.
Thus we think a limited remand is required in this case. The
district court should conduct a hearing at which the Government and
Arnold will be permitted to call witnesses and introduce exhibits
and other appropriate evidence to help the trial court determine
whether Arnold was aware before trial that a mandatory life
sentence could be imposed upon his conviction; and, if not,
whether, in this particular case, such ignorance did in fact make
any difference in the defense conduct respecting the case. The
17
district court should make adequate findings and conclusions for
purposes of a possible appeal.
III
For the reasons cited above, Arnold’s conviction on all three
counts is AFFIRMED. His challenge to the district court’s decision
that the incorrect statutory citation in the Government’s
Sentencing Enhancement Notice was clerical error is REMANDED to the
district court for a limited evidentiary hearing on that issue and
such other necessary proceedings that are not inconsistent with
this opinion.
AFFIRMED in part and REMANDED for further proceedings.
18