Case: 20-50203 Document: 00515853931 Page: 1 Date Filed: 05/07/2021
United States Court of Appeals
for the Fifth Circuit United States Court of Appeals
Fifth Circuit
FILED
May 7, 2021
No. 20-50203 Lyle W. Cayce
Clerk
United States of America,
Plaintiff—Appellee,
versus
Justin Haggerty,
Defendant—Appellant.
Appeal from the United States District Court
for the Western District of Texas
USDC No. 3:10-CR-630-1
Before Haynes, Higginson, and Oldham, Circuit Judges.
Stephen A. Higginson, Circuit Judge:
After a stipulated-facts bench trial, Appellant Justin Haggerty was
convicted of malicious injury of property located on “Indian country” in
violation of 18 U.S.C. §§ 1152 and 1363. He was sentenced to 12 months and
one day in prison, followed by three years of supervised release. He appeals
his conviction and sentence. We AFFIRM.
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I. Background
According to the stipulated facts, on Columbus Day in 2017, Haggerty
poured red paint on a statue of Nestora Piarote, an Indigenous woman, and
placed a wooden cross in front of it. The statue was located in El Paso
County, Texas, on land reserved to the Yselta Del Sur Indian Tribe (also
known as the Tigua Indian Tribe). The tribe erected the statue to honor the
women of their tribe and had unveiled it just three months earlier. It cost
$92,000. 1 Law enforcement arrested Haggerty after linking him to the
purchase of the wood and paint used in the crime. In addition, in the months
preceding the crime, Haggerty had reposted or liked social media posts: (1)
expressing concern that a statue of Christopher Columbus would be removed
from Columbus Circle in New York City; (2) urging Catholics to unite to
defend Columbus Day from being replaced by a “pagan” Indigenous
Peoples’ Day; and (3) stating that Catholic history was being erased. 2
Although the factual stipulation described Haggerty as physically
appearing to be a “white male” based on surveillance footage, neither the
stipulation nor the indictment described whether Haggerty was Indian or
non-Indian.
After being arrested and indicted under 18 U.S.C. §§ 1152 and 1363,
Haggerty pleaded not guilty and moved to dismiss the indictment on the
ground that § 1363 is unconstitutionally vague. The district court denied his
motion and Haggerty waived a jury trial with the government’s consent and
district court’s approval. At the commencement of the bench trial, the
1
According to the Presentence Investigation Report (“PSR”), it cost the tribe
$1,800 to repair the statue after it was damaged by Haggerty.
2
As Haggerty acknowledged at sentencing, many in the Tigua Indian Tribe are
practicing Catholics.
2
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district court admitted the above-described and agreed-upon stipulation of
facts, and both the Government and Haggerty closed their cases without
presenting additional evidence or argument.
Based on the factual stipulation, the district court convicted Haggerty.
In calculating the Guidelines range for purposes of sentencing, the court
applied an enhancement pursuant to U.S.S.G. § 2B1.5 because the offense
involved damage to a cultural heritage resource: the statue. Relevant here,
the court increased Haggerty’s offense level by six because it valued the
statue at $92,000. See U.S.S.G. §§ 2B1.5(b)(1)(B), 2B1.1(b)(1). Haggerty’s
total offense level was 13, yielding a Guidelines range of 12 to 18 months
imprisonment. The court sentenced Haggerty to the low end of the range, 12
months and one day in prison, followed by three years of supervised release.
Haggerty filed a timely notice of appeal.
In his appeal, Haggerty raises two issues.
First, Haggerty argues that because 18 U.S.C. § 1152 does not extend
to offenses committed by Indian defendants against Indian victims, the
Indian/non-Indian statuses of both the defendant and victim are essential
elements of any offense prosecuted under § 1152 and therefore must be
proven by the Government. Because the Government did not put forth
sufficient evidence proving that Haggerty is a non-Indian, he argues there is
insufficient evidence supporting his conviction. 3
Second, Haggerty argues the district court erred at sentencing by
incorrectly applying U.S.S.G. § 2B1.5. He claims the court should have used
the repair cost of $1,800 as the “value” of the statue for purposes of applying
the enhancement, rather than its $92,000 purchase price.
3
Neither side disputes that the victims in this case are Indian.
3
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We take each issue in turn.
II. Indian/non-Indian Status Under 18 U.S.C. § 1152
A. Standard of Review
Both Haggerty and the Government agree that Haggerty has pre-
served a general sufficiency-of-the-evidence challenge by pleading not guilty
in advance of his bench trial, citing the rule first stated in Hall v. United
States, 286 F.2d 676 (5th Cir. 1960). There, we held that when a defendant
pleads not guilty before a bench trial, “[t]he plea of not guilty asks the court
for a judgment of acquittal, and a motion to the same end is not necessary.”
Id. at 677; accord United States v. Rosas-Fuentes, 970 F.2d 1379, 1381 (5th Cir.
1992); United States v. Vargas, 673 F. App’x 393, 394 (5th Cir. 2016). The
parties thus assert that Haggerty’s sufficiency-of-the-evidence challenge re-
lating to the purported lack of proof of his non-Indian status should be re-
viewed de novo.
Regardless, however, of whether Haggerty has preserved a general
sufficiency-of-the-evidence challenge, there are serious reasons to think that
Haggerty has not preserved the underlying legal argument that a defendant’s
Indian or non-Indian status is an essential element of any offense prosecuted
pursuant to § 1152. For one, this court’s precedent strongly suggests that
even when a defendant preserves a general challenge to the sufficiency of the
evidence, he must still independently preserve the legal “subissue” of
whether an offense contains an additional element that has yet to be recog-
nized in this circuit. See United States v. Brace, 145 F.3d 247, 255-58, 258 n.2
(5th Cir. 1998) (en banc). 4
4
In Brace, the defendant filed a general motion for acquittal in the district court
and argued on appeal that the government failed to prove that he was “predisposed” to
commit money laundering, as was its burden to defeat his entrapment defense. Brace, 145
4
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In addition, an indictment that fails to include all of the essential ele-
ments of the charged offense is defective and can be dismissed upon a de-
fendant’s motion for “failure to state an offense.” Fed. R. Crim. P.
12(b)(3)(B)(v); accord United States v. Qazi, 975 F.3d 989, 993 (9th Cir. 2020)
(citing 5 Wayne R. LaFave et al., Criminal Procedure
§ 19.3(a)-(b) (4th ed. 2015)). Absent good cause, such a motion must be made
before trial if the basis for the motion is reasonably available and can be de-
termined without a trial on the merits. Fed. R. Crim. P. 12(b)(3),
(4)(c)(3). Here, Haggerty moved before trial to dismiss the Government’s
indictment on the ground that § 1363 is unconstitutional. But he chose not to
attack the indictment for failure to state an offense, even though it was silent
as to Haggerty’s Indian or non-Indian status, and even though Haggerty’s
argument that his non-Indian status is an essential element of the offense was
both “reasonably available” and “can be determined without a trial on the
merits.”
Instead, Haggerty waited until his appeal—after jeopardy had at-
tached, and after he successfully argued for and received acceptance of re-
sponsibility credit because he sought a bench trial to “preserve issues that do
F.3d at 255-58, 258 n.2. At issue was whether the defendant had preserved, solely via his
general motion for acquittal, the legal argument that the government had to prove
“positional” as well as “dispositional” predisposition. Id. Whether a defendant’s
“predisposition” to commit the crime, for purposes of defeating an entrapment defense,
contained a “positional” element was an open question in this circuit, and the defendant
in Brace never specifically articulated that “new” legal theory to the district court. Id. at
256. This court thus held that while “[the defendant’s] sufficiency-of-the-evidence issue
was preserved by his general motions for judgment of acquittal . . . the factual and legal
subissue of whether [the defendant] was in the position to commit the crime . . . was never
raised, and, hence not preserved.” Id. at 258 n.2 (emphasis removed and added). Thus, the
court in Brace reviewed the record, de novo, to determine if the government had presented
sufficient evidence of the defendant’s predisposition to commit money laundering, but only
as that element was understood to exist “under existing relevant precedent.” Id. at 261.
5
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not relate to factual guilt”—to make that same underlying legal argument for
the first time. Thus, even though Haggerty does not purport to attack the
sufficiency of the indictment on appeal, there is a serious question as to
whether his failure to assert his underlying legal argument that his non-Indian
status is an essential element precludes him from repackaging that argument
into a sufficiency-of-the-evidence challenge on appeal.
At bottom, we are skeptical that we can apply anything but plain error
review to a legal argument that is being made for the first time on appeal,
especially when Haggerty passed on an available opportunity to make that
same argument to the district court. See Montano v. Texas, 867 F.3d 540, 546
(5th Cir. 2017) (“[A] court of appeals sits as a court of review, not of first
view.” (citation omitted)); LeMaire v. La. Dept. of Transp. & Dev., 480 F.3d
383, 387 (5th Cir. 2007) (“[A]rguments not raised before the district court
are waived and cannot be raised for the first time on appeal.”). Nevertheless,
we pretermit a full discussion of the appropriate standard of review because
we conclude that Haggerty’s argument about Indian/non-Indian status fails
even under de novo review, for the reasons we now explain. See United
States v. Kieffer, 991 F.3d 630, 635 & n.4 (5th Cir. 2021).
B. Discussion
In relevant part, 18 U.S.C. § 1363 states that “[w]hoever, within the
special maritime and territorial jurisdiction of the United States, willfully and
maliciously destroys or injures any structure, conveyance, or other real or
personal property” shall be liable. 18 U.S.C. § 1363 (emphasis added).
Section 1363 is one of many “federal enclave laws” where, by definition, “the
situs of the offense is an element of the crime,” United States v. Begay, 42
F.3d 486, 498 (9th Cir. 1994). See United States v. Markiewicz, 978 F.2d 786,
797 (2d. Cir. 1992) (cataloging some of the various federal enclave laws,
including § 1363). Thus, a defendant is liable under § 1363 when he (1)
6
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willfully and maliciously destroys property (2) while located “within the
special maritime and territorial jurisdiction of the United States.” The
former requirement is the “substantive element” of the offense, while the
latter is the “jurisdictional element.” See Torres v. Lynch, 136 S. Ct. 1619,
1624-25, 1630-33 (2016) (“[T]he substantive elements of a federal statute
describe the evil Congress seeks to prevent; the jurisdictional element
connects the law to one of Congress’s enumerated powers, thus establishing
legislative authority.”); see also United States v. Cowboy, 694 F.2d 1228, 1234
(10th Cir. 1982) (“[F]ederal enclave laws . . . are criminal statutes enacted by
Congress under its admiralty, maritime, and property powers, governing
enclaves such as national parks.”). “Both kinds of elements must be proved
to [the factfinder] beyond a reasonable doubt.” Torres, 136 S. Ct. at 1630. 5
18 U.S.C. § 1152, known variously as the Indian Country Crimes Act
or the General Crimes Act, 6 “extends federal enclave law to non-Indian
5
Proving (or failing to prove) a “jurisdictional element” of a federal offense is
distinct from a district court’s subject-matter jurisdiction. See In re Sealed Case, 936 F.3d
582, 594-95 (D.C. Cir. 2019) (discussing the difference between jurisdictional elements and
the subject-matter jurisdiction of federal district courts); see also United States v. Reasor, 418
F.3d 466, 469 (5th Cir. 2005) (“[A]n element can be jurisdictional in nature without
affecting the jurisdiction of the court to adjudicate the case.”). Rather, subject-matter
jurisdiction is “straightforward in the criminal context.” United States v. Scruggs, 714 F.3d
258, 262 (5th Cir. 2013). “[A]n indictment need only charge a defendant with an offense
against the United States in language similar to that used by the relevant statute. That is
the extent of the jurisdictional analysis . . . .” Id. (internal quotation marks and citation
omitted); see also Hugi v. United States, 164 F.3d 378, 380 (7th Cir. 1999) (“Subject-matter
jurisdiction in every federal criminal prosecution comes from 18 U.S.C. § 3231 . . . . That’s
the beginning and the end of the ‘jurisdictional’ inquiry. Lawyers and judges sometimes
refer to the interstate-commerce element that appears in many federal crimes as the
‘jurisdictional element,’ but this is a colloquialism—or perhaps a demonstration that the
word ‘jurisdiction’ has so many different uses that confusion ensues.”).
6
See United States v. Prentiss, 256 F.3d 971, 974 n.1 (10th Cir. 2001) (en banc);
Felix Cohen, Cohen’s Handbook of Federal Indian Law § 9.02, LEXIS
(updated June 2019).
7
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offenses on Indian reservations.” Oliphant v. Suquamish Indian Tribe, 435
U.S. 191, 208 (1978), superseded by statute on other grounds as recognized in
United States v. Lara, 541 U.S. 193, 205-07 (2004). Section 1152 states in full:
Except as otherwise expressly provided by law, the
general laws of the United States as to the punishment of
offenses committed in any place within the sole and exclusive
jurisdiction of the United States, except the District of Columbia,
shall extend to the Indian country.
This section shall not extend to offenses committed by
one Indian against the person or property of another Indian,
nor to any Indian committing any offense in the Indian country
who has been punished by the local law of the tribe, or to any
case where, by treaty stipulations, the exclusive jurisdiction
over such offenses is or may be secured to the Indian tribes
respectively.
18 U.S.C. § 1152 (emphasis added).
In its first clause, § 1152 extends the jurisdictional situs element of
federal enclave laws to encompass Indian country. But, in its second clause,
it carves out three scenarios that would otherwise fall under the umbrella of
the first clause. Section 1152 “shall not extend” to (1) offenses committed by
an Indian defendant against an Indian victim (i.e., “intra-Indian” offenses);
(2) offenses committed by an Indian who has already been punished by the
local law of the tribe; and (3) cases where exclusive jurisdiction is secured to
an Indian tribe via treaty. Id. 7
7
In an 1881 decision, the Supreme Court held that state courts have exclusive
jurisdiction over the prosecution of crimes committed within Indian country by a non-
Indian defendant against a non-Indian victim. United States v. McBratney, 104 U.S. 621,
621-24 (1881); accord New York ex rel. Ray v. Martin, 326 U.S. 496, 497-99 (1946) (affirming
and applying McBratney). The McBratney rule is a “judicially-created exception” that did
not turn on the language of § 1152 or its predecessor statutes or treaties; instead, the Court
relied “on the inherent jurisdiction exercised by states over Indian lands within their
8
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The question presented here—an issue of first impression in this
circuit—is, when the victim is Indian (both charged and also proven),
whether the intra-Indian carve-out in § 1152 operates to make the non-Indian
status of the defendant an “essential element” of any offense prosecuted via
§ 1152, or whether the defendant’s Indian status is instead an affirmative
defense that must be asserted as a defense to prosecution. 8
A circuit split exists on this issue. In United States v. Hester, the Ninth
Circuit concluded that a defendant’s Indian/non-Indian status is not an
essential element of an offense prosecuted via § 1152. 719 F.2d 1041, 1043
(9th Cir. 1983). Several years later, a divided en banc panel of the Tenth
Circuit reached the opposite conclusion. United States v. Prentiss, 256 F.3d
971, 980 (10th Cir. 2001) (en banc), overruled on other grounds as recognized in
United States v. Sinks, 473 F.3d 1315, 1317 (10th Cir. 2007). 9
borders as a consequence of their admission to the Union without an express disclaimer of
jurisdiction.” Robert N. Clinton, Criminal Jurisdiction Over Indian Lands: A Journey
Through a Jurisdictional Maze, 18 ARIZ. L. REV. 503, 524-25 (1976). As a practical matter,
the McBratney rule combined with the intra-Indian exception of § 1152 will often determine
which sovereign (federal, state, or tribal) may prosecute criminal offenses occurring in
Indian country, turning on the respective Indian/non-Indian statuses of the defendant and
victim. See United States v. Bruce, 394 F.3d 1215, 1218-22 (9th Cir. 2005) (providing an
overview of criminal jurisdiction in Indian country). But while the McBratney rule may have
the effect of limiting the practical scope of § 1152 (the text of which does not foreclose the
federal prosecution of purely non-Indian offenses in Indian country), it does not bear on
our interpretation of the text of § 1152 as a matter of statutory construction.
8
As will be explained below, an argument can be made that the nature of a victim’s
Indian/non-Indian status under § 1152 should be treated the same as the defendant’s status
as a matter of statutory construction. But because only the defendant’s status is at issue
here, we do not examine whether there are reasons that might lead to treating defendant
and victim status differently.
9
While Hester only considered whether a defendant’s non-Indian status was an
essential element, 719 F.2d at 1042-43, Prentiss primarily focused on the nature of a victim’s
Indian/non-Indian status (concluding both are essential elements), 256 F.3d at 975-76.
Notably again, however, in both cases the issue was presented as a challenge to the
9
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The key practical difference created by the split concerns who must
raise and prove, and with what convincing force, the issue of Indian/non-
Indian status. The Ninth Circuit reasoned that, when the victim is Indian, a
defendant’s Indian status is an affirmative defense for which the defendant
bears the burden of pleading and production. See Hester, 719 F.2d at 1043.
Under that view, the Government need not allege the defendant’s non-
Indian status, id., but should the defendant “properly raise[] the issue of his
Indian status,” the court in Hester recognized that “the ultimate burden of
proof remains, of course, upon the Government.” Id. By contrast, the Tenth
Circuit held that the entire burden is on the Government: it must allege the
defendant’s (and victim’s) Indian/non-Indian status and bear the burden of
production and persuasion at trial. Prentiss, 256 F.3d at 975, 980. 10
We agree with both circuits in that, either way, the Government
retains the ultimate burden of persuasion because a defendant’s Indian/non-
Indian status, via the operation of § 1152, affects the applicable scope of the
relevant federal enclave law’s jurisdictional situs element. See Smith v. United
States, 568 U.S. 106, 110-11 (2013); Torres, 136 S. Ct. at 1630. But to
determine whether Indian status is an affirmative defense that must first be
sufficiency of the indictment, not the sufficiency of the evidence presented at trial. Hester,
719 F.2d at 1042; Prentiss, 256 F.3d at 973.
10
As the Tenth Circuit explains:
An affirmative defense may impose various burdens on the
defendant: (1) the burden of pleading (“the burden of introducing [a]
defense for consideration”), Paul H. Robinson, 1 Criminal Law Defenses
§ 3(a), at 12 (1984); (2) the burden of production (the burden of
“adduc [ing] sufficient evidence to . . . support . . . the presence of [a]
defense”), id. § 3(b), at 15; or (3) the burden of persuasion (the burden of
“convinc [ing] the tribunal of the existence of the facts” supporting the
defense). Id. § 5(a), at 41.
Prentiss, 256 F.3d at 975 n.2 (alterations in original).
10
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raised by a defendant—i.e., the defendant bears the burden of pleading and
production—we begin by considering the text of § 1152 and principles of
statutory construction. See United States v. Steele, 147 F.3d 1316, 1320 (11th
Cir. 1998) (describing that Congress “defines crimes and defenses in the
United States Code” and that, subject to constitutional constraints, “it has
the authority to specify whether a given factor must be pleaded by the
government in the indictment as an element of an offense, or affirmatively
raised by the defense as part of its case”).
It is a “well-established rule of criminal statutory construction that an
exception set forth in a distinct clause or provision should be construed as an
affirmative defense and not as an essential element of the crime.” United
States v. Santos-Riviera, 183 F.3d 367, 370-71 (5th Cir. 1999). The Supreme
Court articulated this rule in McKelvey v. United States, where it stated:
By repeated decisions it has come to be a settled rule in this
jurisdiction that an indictment or other pleading founded on a
general provision defining the elements of an offense, or of a
right conferred, need not negative the matter of an exception
made by a proviso or other distinct clause, whether in the same
section or elsewhere, and that it is incumbent on one who relies
on such an exception to set it up and establish it.
260 U.S. 353, 357 (1922).
Section 1152 appears to be the exact type of statute contemplated by
the Supreme Court. It has two distinct clauses, the first of which generally
extends the scope of all federal enclave laws to include Indian country. The
second clause, set out from the first, describes three exceptions to the general
definition set forth in the first clause.
To counter the applicability of the McKelvey rule to § 1152, Haggerty
draws attention to older precedent and a separate principle relating to
exceptions in criminal statutes. In United States v. Cook, the Supreme Court
11
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described that “[w]here a statute defining an offence contains an
exception . . . which is so incorporated with the language defining the offence
that the ingredients of the offence cannot be accurately and clearly described
if the exception is omitted” then an indictment must allege that “the accused
is not within the exception.” 84 U.S. (17 Wall.) 168, 173-74 (1872). Citing
Cook, Haggerty argues that if we omit the intra-Indian exception the elements
of § 1152 cannot be “accurately and clearly described.”
But Haggerty’s argument only works if its conclusion is also its
premise: that because the intra-Indian exception is an essential element of the
offense, the offense cannot be described if the exception is omitted. Such
reasoning is circular. See Prentiss, 256 F.3d at 988 (Baldock, J., dissenting)
(“The [majority] claims that ‘the ingredients of the offence cannot be
accurately and clearly described if the [interracial] exception is omitted.’ But
that simply begs the question of what ‘ingredients’ constitute the offense.”
(alteration in original)). By contrast, here is one way to describe Haggerty’s
crime of conviction under § 1152 and § 1363 without mentioning the intra-
Indian exception: “Whoever maliciously destroys property in Indian country
is guilty of an offense.” There is nothing inaccurate or unclear about that
description, as it would be within Congress’s authority to define such an
offense without providing an intra-Indian exception. See, e.g., 18 U.S.C.
§ 1153(a) (expressly permitting the federal prosecution of certain intra-Indian
offenses in Indian country). Cook thus is not determinative. See United
States v. McArthur, 108 F.3d 1350, 1353 (11th Cir. 1997) (“[W]here one can
omit the exception from the statute without doing violence to the definition
of the offense, the exception is more likely an affirmative defense.”). 11
11
The McKelvey rule may have practical force in the instant circumstance where,
as noted by the court in Hester, it “is far more manageable for the defendant to shoulder
the burden of producing evidence that he is a member of a federally recognized tribe than
12
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Importantly, Haggerty has not convincingly explained why we could
treat the intra-Indian exception as an essential element, but not the other two
exceptions contained in the second clause of § 1152. In our view, the three
exceptions must be treated similarly. If, as Haggerty claims, the exceptions
are essential elements, then the Government must also allege and
affirmatively prove—every time it prosecutes a crime under § 1152—that the
defendant has not already been punished by the local law of the tribe and that
there is no treaty stipulation that grants exclusive jurisdiction to the
respective tribe.
While the McKelvey rule requires that we treat the intra-Indian
exception as exactly that—an exception—Haggerty argues that we are
foreclosed from doing so by other Supreme Court precedent. Haggerty
focuses on two nineteenth-century cases involving prosecutions under a
predecessor statute to § 1152 12 (which also contained the intra-Indian
exception): United States v. Lucas, 163 U.S. 612 (1896) and Smith v. United
States, 151 U.S. 50 (1894). In both cases, however, there was no dispute that
the defendant was Indian. It was the victim’s status as a non-Indian that was
at issue. Although we confront the opposite scenario here (where the
defendant’s status is being disputed on appeal), we agree with Haggerty
insofar as the two scenarios appear to be corollaries as a matter of pure
statutory construction. In other words, if the Supreme Court had held—as a
matter of statutory interpretation—that victim Indian/non-Indian status is an
essential element under § 1152, that would strongly imply that defendant
it is for the Government to produce evidence that he is not a member of any one of the
hundreds of such tribes,” 719 F.2d at 1043.
12
For a discussion of the statutes and treaties preceding § 1152, see Prentiss, 256
F.3d at 985 n.13 (Baldock, J., dissenting).
13
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Indian/non-Indian status is also an essential element. However, we disagree
that the Supreme Court held as much in either case.
Lucas concerned the prosecution of an Indian defendant for an alleged
murder committed in Indian country. 163 U.S. at 614-15. The Government
had alleged in the indictment that the victim “was a negro, and not an
Indian” and then proceeded at trial to introduce evidence that the victim was
not a tribal member. Id. at 616-17. The defense objected to the evidence
purporting to show the victim’s non-Indian status. Id. at 617. Despite the
introduction of such disputed evidence, the district court instructed the jury
that there was a legal presumption that the victim was non-Indian given the
concession that he was “a negro.” Id. at 615. The Court concluded this
presumption and instruction were error, and explained that “[t]he burden of
proof was on the government to sustain the jurisdiction of the court by
evidence as to the status of the deceased [i.e., the victim], and the question
should have gone to the jury as one of fact, and not of presumption.” Id. at
617-18; see also id. at 615 (“[T]he averment in the indictment in the present
case that [the victim] was a negro, and not an Indian, was the averment of a
jurisdictional fact, which it was necessary for the prosecution to sustain by
competent evidence.”). 13
13
That the court in Lucas tied the victim’s non-Indian status to sustaining “the
jurisdiction of the court” does not mean the question presented here is one of subject-
matter jurisdiction. See supra note 5. In more recent history, the Supreme Court has made
an effort to discipline the use of jurisdictional language, such that we are reluctant to draw
any wide-sweeping conclusions from the Court’s use of jurisdictional language over a
century ago, especially in the face of contrary modern doctrine. See Arbaugh v. Y&H Corp.,
546 U.S. 500, 510 (2006) (“Jurisdiction . . . is a word of many, too many, meanings. This
Court, no less than other courts, has sometimes been profligate in its use of the term.”
(internal quotation marks and citation omitted)); see also United States v. Cotton, 535 U.S.
625, 629-32 (2002) (discussing the historical understanding of criminal subject-matter
jurisdiction in relation to present-day doctrine).
14
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As explained above, we agree that the Government retains the
ultimate burden of proof when the intra-Indian exception is at issue. Were
there any doubt on this front, Lucas would help resolve it. But Lucas does not
resolve the question of which party bears the initial burdens of pleading and
production on the intra-Indian exception. It is true that the Government
alleged that the victim was non-Indian and introduced evidence on the
subject. But Lucas is silent as to whether the Government was required to do
so; all we know is that the Government raised the issue and the defense
contested it, creating a fact dispute as to the applicability of the exception. In
short, nothing in Lucas is inconsistent with our decision to treat the intra-
Indian exception as an affirmative defense that must be asserted by the
defendant, with the Government retaining the ultimate burden of proof.
The same is true of Smith. Smith also concerned the prosecution of an
Indian defendant for the alleged murder of a victim whom, in another
similarity to Lucas, the Government alleged in the indictment to be “a white
man, and not an Indian.” Id. at 50, 53-55. At trial, the defense called multiple
witnesses in an effort to prove that the victim, like the defendant, was Indian.
Id. at 54. The Supreme Court reversed the defendant’s conviction,
concluding that the Government had offered no relevant evidence tending to
prove the victim’s non-Indian status responsive to contrary evidence
presented by the defense. Id. at 55-56. The Court wrote: “That [the victim]
was a white man, and not an Indian, was a fact which the government was
bound to establish, and, if it failed to introduce any evidence upon that point,
defendant was entitled to an instruction to that effect.” Id. at 55. As with
Lucas, the Supreme Court described that the ultimate burden of proof with
respect to the victim’s non-Indian status remained with the Government.
But, again like Lucas, the Court in Smith did not describe which party had the
initial burden to raise the issue of the victim’s Indian/non-Indian status.
15
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In sum, with respect to crimes prosecuted via § 1152, settled and
reconcilable Supreme Court doctrine, as well as principles of statutory
construction, demonstrate that, when the victim is Indian, the defendant’s
status as Indian is an affirmative defense for which the defendant bears the
burden of pleading and production, with the ultimate burden of proof
remaining with the Government. Therefore, because Haggerty did not raise
the issue of Indian status at trial as an affirmative defense, the Government
met its burden to prove the jurisdictional element of § 1363 (as extended by
§ 1152) by introducing evidence sufficient to establish that the offense
occurred in Indian country.
III. The “Value” of a Cultural Heritage Resource
Under U.S.S.G. § 2B1.5
A. Standard of Review
Haggerty did object at sentencing to the district court’s application of
U.S.S.G. § 2B1.5. Therefore, we review the district court’s application of the
Guidelines de novo, and review findings of fact for clear error. United
States v. Valdez, 726 F.3d 684, 692 (5th Cir. 2013). “There is no clear error
if the district court’s finding is plausible in light of the record as a whole.” Id.
(citation omitted).
B. Discussion
U.S.S.G. § 2B1.1 is the applicable guideline for Haggerty’s conviction
under 18 U.S.C. § 1363. U.S.S.G. § 2B1.1 cmt. statutory provisions (2018).
Section 2B1.1(c)(4) instructs the district court to cross reference and apply
§ 2B1.5 “[i]f the offense involved a cultural heritage resource.” Both parties
agree § 2B1.5 is the applicable Guideline and that the damaged statue is the
relevant cultural resource.
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Section 2B1.5 applies to the “theft of, damage to, or destruction of,
cultural heritage resources.” It provides a base offense level of 8 and instructs
that the offense level should be increased “[i]f the value of the cultural
heritage resource” exceeds certain threshold amounts set forth in the table
contained in § 2B1.1(b)(1). U.S.S.G. §§ 2B1.5(a)-(b)(1) (2018) (emphasis
added).
The “value of the resource” is defined in Application Note 2(A),
which states:
Value of the Resource Under Subsection (b)(1).—This
application note applies to the determination of the value of the
resource under subsection (b)(1).
(A) General Rule.—For purposes of subsection (b)(1), the
value of the resource shall include, as applicable to the
particular resource involved, the following:
(i) The archaeological value. (Archaeological value shall
be included in the case of any resource that is an
archaeological resource.)
(ii) The commercial value.
(iii) The cost of restoration and repair.
U.S.S.G. § 2B1.5 cmt. n.2.
The terms “archaeological value,” “commercial value,” and “cost of
restoration and repair” are defined in Application Note 2(C). There is no
dispute that “archaeological value” is irrelevant here, or that the definition
of “cost of restoration and repair” would include the $1,800 repair cost to
the statue. Nor that the definition of “commercial value” is “the fair market
value of the resource at the time of the offense.” U.S.S.G. § 2B1.5 cmt.
n.2(C)(ii). Additionally, Application Note 2(B) states that “[f]or purposes of
subsection (b)(1), the court need only make a reasonable estimate of the value
17
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of the resource based on available information.” U.S.S.G § 2B1.5 cmt.
n.2(B).
Here, the probation officer who completed the Presentence
Investigation Report (“PSR”) calculated the value of the statue, for
purposes of applying § 2B1.5, based on its “commercial value,” which she
calculated to be the $92,000 purchase price of the statue. The district court
adopted the PSR without change.
Haggerty argues the district court made two errors in applying
§ 2B1.5. First, without further elaboration, he argues that the statue’s
$92,000 “purchase price” is not evidence of its “commercial value” for
purposes of § 2B1.5. Second, assuming arguendo that the commercial value
of the statue totals $92,000, he argues that “[a]s a matter of law, where—as
here—a non-archaeological ‘resource’ is restored to its prior physical
condition, it is error to use the total value of that resource in calculating the
offense level under USSG § 2B1.5; rather, the court should use the cost of
restoration incurred in bringing the resource back to its prior condition.”
Haggerty’s first argument plainly fails. The PSR describes that the
tribe purchased the statue on December 2, 2016, roughly ten months before
the offense. There is no indication that the tribe received a below-market
price. Thus, on the information available to it, the district court did not
commit clear error in concluding that the statue’s “purchase price” provides
a reasonable estimate of its “fair market value” at the time of the offense (i.e.,
its “commercial value”).
With respect to his second argument, Haggerty cites no law in support
of his asserted principle that the restoration cost should control. 14
14
In fairness, there appears to be little case law interpreting § 2B1.5.
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Regardless, his argument is unsupported by the text. The Guidelines state
only that the “value” of the cultural heritage resource “shall include, as
applicable,” the three different valuations. U.S.S.G. § 2B1.5 cmt. n.2(A).
There is nothing that suggests that “the cost of restoration or repair” takes
precedence over and obviates the other two valuations.
While the text of § 2B1.5 forecloses Haggerty’s argument, we also
note that the Sentencing Commission’s explanation for why it promulgated
§ 2B1.5 further cuts against Haggerty’s view. See generally U.S.S.G. supp. to
app. C, amend. 638 at 245, 253-56 (Nov. 1, 2002). 15 Notably, the Commission
makes it clear that the harm that it is concerned about when it comes to the
damage and destruction of cultural heritage resources is not purely (or even
primarily) the resource’s physical condition or monetary value. Rather, the
purpose of § 2B1.5 is to provide “flexibility” to appropriately punish
offenders for both the tangible and intangible harm caused by their damage of
cultural heritage resources. See id. at 253-54. As the Commission explains:
This amendment reflects the Commission’s conclusion that
the existing sentencing guidelines for economic and property
destruction crimes are inadequate to punish in an appropriate
and proportional way the variety of federal crimes involving the
theft of, damage to, destruction of, or illicit trafficking in,
cultural heritage resources. . . .
. . . Because individuals, communities, and nations identify
themselves through intellectual, emotional, and spiritual
connections to places and objects, the effects of cultural
heritage resource crimes transcend mere monetary
considerations. Accordingly, this new guideline takes into
account the transcendent and irreplaceable value of cultural
heritage resources and punishes in a proportionate way the
15
Accessible at: https://www.ussc.gov/sites/default/files/pdf/guidelines-
manual/2002/manual/APPCSUPP.pdf.
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aggravating conduct associated with cultural heritage resource
crimes.
...
The new guideline also provides that the monetary
value of the cultural heritage resource is an important, although
not the sole, factor in determining the appropriate punishment.
The Commission has elected not to use the concept of “loss,”
which is an integral part of the theft, fraud, and property
destruction guideline at §2B1.1, because cultural heritage
offenses do not involve the same fungible and compensatory
values embodied in “loss.” Instead, under this new guideline,
value is to be based on commercial value, archaeological value,
and the cost of restoration and repair.
Id. (emphasis added).
In short, Haggerty’s second argument would have us rewrite the text
of § 2B1.5 in tension with the purpose behind its promulgation.
IV. Conclusion
Haggerty’s conviction and sentence are AFFIRMED.
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Andrew S. Oldham, Circuit Judge, concurring in the judgment:
I agree that Haggerty’s conviction must be affirmed. But I respectfully
disagree with the majority’s refusal to review his sufficiency-of-the-evidence
claim for plain error. See ante, at 4–6. Binding en banc precedent holds that
raising sufficiency issues is not enough to preserve unraised “factual and
legal subissue[s]” like the one Haggerty wants to litigate. United States v.
Brace, 145 F.3d 247, 258 n.2 (5th Cir. 1998) (en banc). I do not understand
how we can dismiss an on-point en banc decision as a mere “suggest[ion].”
Compare ante, at 4–5, with Gahagan v. U.S. Citizenship & Immigr. Servs., 911
F.3d 298, 302 (5th Cir. 2018) (“Three-judge panels abide by a prior Fifth
Circuit decision until the decision is overruled . . . by the Fifth Circuit sitting
en banc.” (quotation omitted)). Obviously future panels will be bound by
Brace, even if ours is not.
In the majority’s defense, this is not the first time we’ve sown
confusion in this area. I write separately to explain how error preservation is
supposed to work. And how badly we’ve misinterpreted the rules over the
last 60 years.
I.
Let’s start with how error preservation is supposed to work. It’s
axiomatic that “a right may be forfeited in criminal . . . cases by the failure to
. . . timely assert[]” it. Puckett v. United States, 556 U.S. 129, 134 (2009)
(quotation omitted). It’s also well established that the only way to timely
assert a right in a federal criminal case is to comply with Federal Rule of
Criminal Procedure 51(b). See id. at 135. That Rule provides:
A party may preserve a claim of error by informing the court—
when the court ruling or order is made or sought—of the action
the party wishes the court to take, or the party’s objection to
the court’s action and the grounds for that objection.
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Thus, a criminal defendant like Haggerty can preserve a claim of error in two
(and only two) ways. First, he can inform the court “of the action [he] wishes
the court to take” at the time he seeks a ruling. Second, he can inform the
court of his “objection to the court’s action and the grounds for that
objection” at the time a ruling is made. Those are the options. And whichever
option a defendant chooses, his requested action or grounds for objection
must be specific. See Puckett, 556 U.S. at 134 (explaining that an objector must
“give[] the district court the opportunity to consider and resolve” his
objections); United States v. Kieffer, 991 F.3d 630, 638 (5th Cir. 2021)
(Oldham, J., concurring in the judgment) (“In general, the litigant
attempting to preserve an error must focus the decisionmaker’s mind on the
specific legal problem, so the error (if there is one) can be corrected.”).
Failure to comply with these constraints “precludes the raising on appeal of
the unpreserved claim” unless the “limited exception” of plain-error review
applies. Puckett, 556 U.S. at 135; Fed. R. Crim. P. 52(b).
Federal Rule of Criminal Procedure 29 applies this framework to
sufficiency-of-the-evidence challenges. The Rule permits a defendant to file
a “motion [for] . . . a judgment of acquittal of any offense for which the
evidence is insufficient to sustain a conviction.” Fed. R. Crim. P. 29(a).
A defendant can file such a motion as soon as “the government closes its
evidence” at trial or as late as “14 days after a guilty verdict or after the court
discharges the jury.” Id. 29(a), (c)(1). But in keeping with Rule 51, a
defendant who fails to file a Rule 29 motion cannot get de novo review of
sufficiency issues on appeal. See United States v. McDowell, 498 F.3d 308, 312
(5th Cir. 2007). Nor can a defendant get de novo review by filing a Rule 29
motion that fails to “specify . . . the particular [evidentiary] basis on which
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acquittal is sought.” Ibid.; accord United States v. Herrera, 313 F.3d 882, 884
(5th Cir. 2002) (en banc) (per curiam). 1
II.
Given all this, you might wonder how someone like Haggerty—who
concedes he “did not move for acquittal for insufficient evidence” at trial,
Blue Br. 8—could possibly get de novo review of a sufficiency claim on appeal.
The answer lies in a case we decided 60 years ago and that has no basis in the
Rules.
A.
That case is Hall v. United States, 286 F.2d 676 (5th Cir. 1960). The
defendant in Hall appealed his federal conviction for bank fraud on the sole
ground of insufficient evidence. Id. at 677–78. But he hadn’t said anything
about sufficiency to the trial court. So the Government sensibly asked our
court to review the conviction for plain error. See id. at 677.
We refused. After quoting precedent that unequivocally held the
failure to raise a sufficiency challenge required plain-error review, see ibid.
(quoting Demos v. United States, 205 F.2d 596, 599 (5th Cir. 1953)), we
confined that rule to cases involving jury trials. We then held that in bench
trial cases, pleading not guilty automatically preserves all sufficiency issues
for appeal. Here is the entirety of our reasoning:
[T]here can be little or no need for a formal motion for a
judgment of acquittal in a criminal case tried to a court without
a jury upon the defendant’s plea of not guilty. The plea of not
guilty asks the court for a judgment of acquittal, and a motion
to the same end is not necessary. In such a case, therefore, we
1
For a discussion of a “disturbing countertrend in our precedent,” see Kieffer, 991
F.3d at 637–41 (Oldham, J., concurring in the judgment).
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hold that the sufficiency of the evidence to sustain a conviction
should be reviewed the same as if there had been a formal
motion for judgment of acquittal.
Ibid. (citation omitted).
Hall’s theory has gained some purchase. A leading treatise calls it
“sound.” See 2A Charles Alan Wright & Peter J. Henning,
Federal Practice and Procedure § 469, at 391 (4th ed. 2009).
Several of our sister circuits have adopted it. See, e.g., United States v. Grace,
367 F.3d 29, 34 (1st Cir. 2004) (joining the Sixth, Seventh, Ninth, and D.C.
Circuits in holding that “ a defendant does not have to make a Rule 29 motion
in a bench trial to preserve the usual standard of review for a sufficiency of
the evidence claim on appeal”). And our court continues to apply it. See ante,
at 4; United States v. Rosas-Fuentes, 970 F.2d 1379, 1381 (5th Cir. 1992).
B.
We should stop. There are four reasons why.
First, Hall ignores the text of Rule 51. 2 The Supreme Court has made
clear that Rule 51 is the mechanism for error preservation in a federal criminal
case. See Puckett, 556 U.S. at 135 (“In federal criminal cases, Rule 51(b) tells
parties how to preserve claims of error . . . .”). And the preservation
mechanism in Hall looks nothing like the procedure spelled out in Rule 51.
Pleading not guilty obviously doesn’t qualify as an “objection to the court’s
action” or provide “grounds for that objection.” Fed. R. Crim. P. 51(b).
It is instead an objection to having to stand trial. Nor does pleading not guilty
2
Much like it does today, the version of Rule 51 in force when we decided Hall
directed a defendant to “make[] known to the court the action which he desires the court
to take or his objection to the action of the court and the grounds therefor” at “the time
the ruling or order of the court is made or sought.” Fed. R. Crim. P. 51, 327 U.S. 871,
871–72 (1945).
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qualify as informing the court of an “action the [defendant] wishes the court
to take” with the requisite degree of specificity. Ibid. Even our most lenient
post-Hall preservation precedents recognize that “not guilty!” falls woefully
short of what a defendant must say to get de novo review. See, e.g., United
States v. Staggers, 961 F.3d 745, 754 (5th Cir. 2020) (holding a defendant must
at least “make[] a general sufficiency-of-the-evidence challenge” at trial to
obtain de novo sufficiency review on appeal (emphasis added) (quotation
omitted)). If it were otherwise, plain-error sufficiency review would
completely disappear. Contra United States v. Delgado, 672 F.3d 320, 330 (5th
Cir. 2012) (en banc) (“The four-prong [plain-error] analysis is applicable to
all forfeited claims of error . . . , including [a] claim that the evidence [is]
insufficient to support [a] . . . conviction.”).
Second, Hall ignores the foundational preservation principles that
underlie Rule 51. A central reason for the contemporaneous-objection
requirement is that it “gives the district court the opportunity to consider
and resolve” a defendant’s objections as they arise. Puckett, 556 U.S. at 134.
That is possible when a defendant timely raises sufficiency concerns about
evidence that has already been admitted at trial. See Fed. R. Crim. P.
29(a) (authorizing sufficiency motions “[a]fter the government closes its
evidence”). But it is obviously impossible when a defendant like Haggerty
says “not guilty!” months before the Government has offered any evidence at all.
How is a district court supposed to resolve a not-guilty “objection” before
the Government has called its first witness? 3
3
Hall’s plead-and-preserve theory is even more absurd when applied to a
defendant who asks the court to conduct a trial on stipulated facts. See ante, at 2–3.
Haggerty’s strategy from the very beginning was to concede the facts and dispute the law.
He even got credit for accepting responsibility, id. at 6—a sentencing adjustment that “is
not intended to apply to a defendant who puts the government to its burden of proof at trial
by denying the essential factual elements of guilt,” U.S.S.G. § 3E1.1 cmt. n.2. Such
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And why would a defendant lodge a proper objection under Rule 51
when a simple not-guilty plea suffices? In fact, why even bother to plead at
all? The Federal Rules say that “[i]f a defendant refuses to enter a plea[,] . . .
the court must enter a plea of not guilty.” Fed. R. Crim. P. 11(a)(4). So
according to Hall, a defendant can do absolutely nothing and still get de novo
sufficiency review on appeal. That is the opposite of how error preservation
is supposed to work. See Puckett, 556 U.S. at 134 (“[T]he contemporaneous-
objection rule prevents a litigant from sandbagging the court [by] remaining
silent about his objection and belatedly raising the error only if the case does
not conclude in his favor.” (quotation omitted)); accord Kieffer, 991 F.3d at
638 (Oldham, J., concurring in the judgment).
Third, Hall creates a distinction between sufficiency problems and
other constitutional infirmities that doesn’t make sense. The upshot of Hall
is that defendants have a much easier time preserving sufficiency arguments
than they do preserving anything else: ask for a bench trial, plead not guilty,
and you’re set. Hall attempts to justify this distinction by pointing to the
constitutional “duty of the trial court to direct a verdict of acquittal,
regardless of whether a motion to that effect is made.” 286 F.2d at 677
(quotation omitted); see also Grace, 367 F.3d at 34 (agreeing with Hall because
“[t]he Due Process Clause protects the accused against conviction except
upon proof beyond a reasonable doubt” (quotation omitted)). But the
Supreme Court has “repeatedly cautioned” against tinkering with the
“careful balance” effected by Rule 51’s preservation requirements and Rule
52’s plain-error exception on a right-by-right basis. See Puckett, 556 U.S. at
calculated decision-making is certainly grounds for forfeiture and probably grounds for
waiver. See United States v. Olano, 507 U.S. 725, 733 (1993) (“Whereas forfeiture is the
failure to make the timely assertion of a right, waiver is the intentional relinquishment or
abandonment of a known right.” (quotation omitted)).
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135–36. Moreover, we have refused to elevate a defendant’s due process right
to sufficient proof above other constitutional rights in related contexts. See,
e.g., Delgado, 672 F.3d at 331 (observing that “the Constitution does not
require that the sufficiency of the evidence be subject to de novo review in all
cases” and that the Supreme Court’s plain-error cases “do not . . . allow[]
for any exceptions to the application of the plain-error test for forfeited
[sufficiency] claims”); Parr v. Quarterman, 472 F.3d 245, 252–53 (5th Cir.
2006) (affirming the district court’s holding that a sufficiency argument was
procedurally barred because the habeas applicant “did not present th[is]
claim[] to the state court on direct appeal or in state habeas proceedings”).
Fourth, and finally, Hall introduces a distinction between jury trials
and bench trials that doesn’t make sense. The theory appears to be that in a
bench trial where the court is the factfinder, pleading not guilty and then
filing a motion under Rule 29 essentially asks the court to repeat the same
exercise twice. See Hall, 286 F.2d at 677 (“The plea of not guilty asks the
court for a judgment of acquittal, and a motion to the same end is not
necessary.”). But that reasoning doesn’t hold up.
For one thing, the premise is wrong. Even in bench trials, not-guilty
pleas and Rule 29 motions serve different functions and require courts to
perform different tasks. “A plea of not guilty puts all material elements of the
crime charged in play, even the most obvious facts.” 1A Charles Alan
Wright & Andrew D. Leipold, Federal Practice and
Procedure § 173, at 177 (4th ed. 2008). A court that receives such a plea
must therefore hold the Government to its burden of proof by conducting a
trial. See id. at 177 n.5. By contrast, a Rule 29 motion “challenge[s] the
sufficiency of the evidence” after it is offered at trial. Wright &
Henning, supra, § 466, at 355. A court that receives such a motion must
therefore review the evidence and “enter . . . judgment” if the Government
has failed to make the necessary showing. Id. § 461, at 320. Entering
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judgment on sufficiency grounds is obviously not an option until after the
Government has presented its case. See supra at 5. So it makes no sense to say
that a pre-evidence plea can double as a post-evidence acquittal motion. The
plea informs the court that the defendant wants a trial because he hopes the
evidence will emerge in his favor; the motion informs the court that the
defendant wants a judgment because he thinks the evidence has borne out his
plea. Cf. United States v. Johnson, 741 F. App’x 233, 234 (5th Cir. 2018) (per
curiam) (describing a defendant’s decision to plead guilty in light of trial
evidence that undermined his defense).
But even if Hall is right about the redundancy of pleading not guilty
and moving for acquittal in a bench trial, treating jury trials differently is still
problematic. First, not-guilty pleas operate the same way in bench trials as
they do in jury trials. See Wright & Henning, supra, § 469, at 391. So if
“[t]he plea of not guilty asks the court for a judgment of acquittal” in one,
Hall, 286 F.2d at 677, it also asks the court for a judgment of acquittal in the
other. Second, Rule 51 doesn’t differentiate between bench trials and jury
trials. See Fed. R. Crim. P. 51(b). So our preservation standards shouldn’t
either. See Puckett, 556 U.S. at 135. And third, relaxing the standard for bench
trials diminishes the value of a defendant’s right to trial by jury. This right is
a “fundamental reservation of power in our constitutional structure” that “is
meant to ensure [the People’s] control in the judiciary.” Blakely v.
Washington, 542 U.S. 296, 305–06 (2004). That is why courts’ sufficiency-
of-the-evidence review is so deferential. See Jackson v. Virginia, 443 U.S. 307,
319 (1979) (explaining that the sufficiency standard “impinges upon jury
discretion only to the extent necessary to guarantee the fundamental
protection of due process of law” (quotation omitted)). Yet Hall incentivizes
defendants to surrender the jury-trial right for the automatic promise of de
novo sufficiency review on appeal from a bench trial.
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* * *
I would apply Rule 51 as written and review Haggerty’s forfeited
sufficiency claim for plain error. Hall’s command to the contrary violates
Supreme Court precedent and common sense. Today’s treatment of the
standard of review only further confuses a deeply confused doctrine.
29