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FILED
United States Court of Appeals
UNITED STATES COURT OF APPEALS Tenth Circuit
FOR THE TENTH CIRCUIT December 10, 2021
_________________________________
Christopher M. Wolpert
Clerk of Court
UNITED STATES OF AMERICA,
Plaintiff - Appellee,
v. No. 18-1296
(D.C. No. 1:12-CR-00033-JLK-2)
BAKHTIYOR JUMAEV, (D. Colo.)
Defendant - Appellant.
_________________________________
ORDER
_________________________________
Before MATHESON, LUCERO, and EID, Circuit Judges.
_________________________________
This matter is before the court on motion by Appellant’s counsel, Caleb
Kruckenberg, to correct a clerical error in the opinion issued December 8, 2021. The
opinion incorrectly identified Appellant’s counsel.
Upon consideration, the motion is granted. A correction version of the opinion
issued on December 8, 2021, is attached and shall be issued nunc pro tunc to the original
filing date.
Entered for the Court
CHRISTOPHER M. WOLPERT, Clerk
by: Jane K. Castro
Chief Deputy Clerk
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FILED
United States Court of Appeals
PUBLISH Tenth Circuit
UNITED STATES COURT OF APPEALS December 8, 2021
Christopher M. Wolpert
FOR THE TENTH CIRCUIT Clerk of Court
_________________________________
UNITED STATES OF AMERICA,
Plaintiff - Appellee,
v. No. 18-1296
BAKHTIYOR JUMAEV,
Defendant - Appellant.
_________________________________
Appeal from the United States District Court
for the District of Colorado
(D.C. No. 1:12-CR-00033-JLK-2)
_________________________________
Caleb Kruckenberg, Washington, D.C., for Defendant-Appellant.
James C. Murphy, Assistant United States Attorney, Denver, Colorado (John C. Demers,
Assistant Attorney General, National Security Division, U.S. Department of Justice,
Washington, D.C.; Joseph Palmer and Steven L. Lane, Attorneys, National Security
Division, U.S. Department of Justice, Washington, D.C.; Jason R. Dunn, United States
Attorney, Denver, Colorado, with him on the briefs), for Plaintiff-Appellee.
_________________________________
Before MATHESON, Circuit Judge, LUCERO, Senior Circuit Judge, and EID, Circuit
Judge.
_________________________________
EID, Circuit Judge.
_________________________________
Defendant-appellant Bakhtiyor Jumaev and his co-defendant Jamshid
Muhtorov were convicted, after separate trials, of conspiring to provide material
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support or resources to a designated foreign terrorist organization, and knowingly
providing or attempting to provide material support or resources to a designated
foreign terrorist organization, in violation of 18 U.S.C. § 2339B.1 Both appealed,
and, with the parties’ consent, we procedurally consolidated the cases. In an opinion
issued concurrently with this one, we reject Muhtorov’s claims, including his Sixth
Amendment speedy trial claim, and affirm his convictions. Muhtorov, slip op. at 1,
106–63. In this decision, we address Jumaev’s claims, of which there are three.
First, like Muhtorov, Jumaev asserts that his Sixth Amendment speedy trial right was
violated. Second, Jumaev maintains that the district court abused its discretion by
declining to severely sanction the government for its discovery conduct. Third,
Jumaev contends that the extraterritorial search warrants for his home, phone, and
computer were issued in violation of Rule 41 of the Federal Rules of Criminal
Procedure. Exercising jurisdiction under 28 U.S.C. § 1291, we conclude that each of
Jumaev’s claims fails, and we affirm.
I
A
Jumaev is a refugee from Uzbekistan. In 2009, he met Muhtorov, a fellow
Uzbekistan refugee. The two lived far apart—Jumaev, in Philadelphia, Pennsylvania,
and Muhtorov in Denver, Colorado. But Philadelphia, it turned out, was one of the
1
Muhtorov was also convicted on a third count not brought against Jumaev.
See United States v. Muhtorov, No. 18-1366, slip op. at 1, 3, 115 (10th Cir. Dec. 8,
2021).
2
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few cities in the United States where a trucking class was offered in Russian, and
Muhtorov, who struggled with English but spoke Russian, wished to obtain a
commercial trucker’s license. Muhtorov decided to take the class in Philadelphia,
and a mutual friend arranged for Muhtorov to stay with Jumaev while Muhtorov was
there.
Jumaev and Muhtorov became friendly during Muhtorov’s visit. The two had
similar backgrounds. Both had left Uzbekistan due to government brutality, and both
were Muslim. They also shared a mutual interest in the Islamic Jihad Union (“IJU”),
a State Department–designated foreign terrorist organization with ties to al-Qaeda.
After Muhtorov returned to Colorado, the two men stayed in contact.
Unbeknownst to Jumaev and Muhtorov, the government was intercepting their
communications. Through warrantless surveillance of a non–United States person
living abroad conducted pursuant to section 702 of the Foreign Intelligence
Surveillance Act of 1978 Amendments Act of 2008 (“Section 702”), Pub. L. No. 110-
261, 122 Stat. 2436 (codified at 50 U.S.C. § 1881a), the government had become
aware that Muhtorov was connected to the IJU. Once Muhtorov was on the
government’s radar, the government used communications intercepted via Section
702 to support applications to surveil Muhtorov under the Foreign Intelligence
Surveillance Act of 1978 (“FISA” or “traditional FISA”), Pub. L. No. 95-511, 92
Stat. 1783. The government also obtained information via traditional FISA
surveillance that was eventually used against Jumaev.
3
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In the course of surveilling Jumaev and Muhtorov, the government discovered
that the men wished to provide money to the IJU for the “wedding,” a code word that
referred to the Jihadist cause. Specifically, they contemplated that Jumaev would
send $300 to Muhtorov as a “wedding gift,” and that Muhtorov would then give the
money to the IJU.
Bank records show that a $300 check dated on or about March 10, 2011 was
made out to Muhtorov by a known associate of Jumaev, Ilkhom Sobirov. On
January 21, 2012, Muhtorov was arrested at Chicago O’Hare International Airport.
He had on him a one-way ticket to Turkey, nearly $3,000 in cash, two new iPhones,
and a new iPad.
B
On March 14, 2012, Jumaev was charged, via a criminal complaint filed in the
District of Colorado, with conspiring to provide material support or resources to a
designated foreign terrorist organization. That same day, a magistrate judge in the
District of Colorado issued an arrest warrant for Jumaev and extraterritorial search-
and-seizure warrants for Jumaev’s home, cellular phone, and laptop computer in
Philadelphia. Incriminating material was found on Jumaev’s devices, and Jumaev
was promptly arrested and detained pending trial. On March 20, 2012, a superseding
indictment, charging both Jumaev and Muhtorov, added a second count as to Jumaev
alleging that he knowingly provided or attempted to provide material support or
resources to a designated foreign terrorist organization. On March 22, 2012, a
second superseding indictment was returned, which deleted Jumaev’s and
4
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Muhtorov’s aliases from the indictment caption but was otherwise identical to the
first superseding indictment. From the filing of the first superseding indictment
onward, Jumaev’s and Muhtorov’s cases proceeded largely in tandem, with the two
filing numerous joint motions and objections addressing discovery, scheduling, and
other matters.
The pretrial proceedings over the next six years were complicated and
protracted. Discovery, in particular, proved to be a bottleneck. Jumaev and
Muhtorov together broadly requested (1) all statements they had made that were in
the government’s possession, by which they meant “not just the statements made or
given to government investigators or agents, but also all recorded conversations or
communications including e mails and other written communications that they [were]
alleged to have authored, as well as any statements made to third parties in whatever
form,” App’x Vol. I at 463; (2) “any transcriptions or summaries of any such
statements and translations into English thereof,” id.; (3) grand jury materials; and
(4) exculpatory evidence under Brady v. Maryland, 373 U.S. 83 (1963), and Giglio v.
United States, 405 U.S. 150 (1972). The resulting discovery was voluminous, and,
because many of the materials were classified, the government had to initiate
numerous ex parte, in camera hearings pursuant to the Classified Information
Procedures Act (“CIPA”), 18 U.S.C. app. 3, to determine whether otherwise
discoverable classified material could be withheld from the defense. Additionally,
the government had acquired a large number of recordings of Jumaev and Muhtorov
5
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speaking in Uzbek, Tajik, and Russian, and translating those materials was difficult
because Uzbek and Tajik translators with security clearances were scarce.
On October 25, 2013, the government provided Muhtorov, but not Jumaev,
notice that it would offer evidence at Muhtorov’s trial that was obtained or derived
from surveillance conducted pursuant to Section 702. On January 29, 2014,
Muhtorov moved to suppress the evidence that was obtained or derived from Section
702 surveillance. Before Muhtorov filed his motion, the government informed
Jumaev that he was not an “aggrieved person” as to the Section 702 acquisitions at
issue—which was critical information, because by statute only an “aggrieved person”
is permitted to “move to suppress . . . evidence obtained or derived from . . .
electronic surveillance” conducted pursuant to FISA, including Section 702. 50
U.S.C. § 1806(e); see id. § 1881e(a)(1) (deeming Section 702 surveillance to be
“electronic surveillance” that falls within the scope of 50 U.S.C. § 1806(e)).
Notwithstanding the fact that the government told him he had not been “aggrieved,”
Jumaev joined Muhtorov’s motion.
The district court denied the joint motion on November 19, 2015, nearly two
years after it was filed. With respect to Muhtorov, the district court resolved the
motion on the merits in the government’s favor. But with respect to Jumaev, the
district court concluded, consistent with the representation the government had made
to Jumaev before he joined Muhtorov’s motion, that Jumaev was not an “aggrieved
6
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person” under 50 U.S.C. § 1806(e) and thus he could not seek suppression of Section
702 evidence nor bring an as-applied challenge to the constitutionality of the statute.2
On May 18, 2016, the government filed a third superseding indictment. The
third superseding indictment added two new charges—counts 5 and 6—against
Jumaev and Muhtorov for conspiring to provide personnel to a designated foreign
terrorist organization knowing or intending that the personnel be used to prepare for
or carry out a conspiracy to kill, kidnap, maim, or injure persons or damage property
in a foreign country. The government maintained that Jumaev and Muhtorov had
attempted to help Jumaev’s son study at a madrassa with ties to terrorism.
Eventually, the district court set a discovery deadline of September 1, 2016
and a trial date of March 13, 2017 for both Jumaev and Muhtorov. On the date of the
discovery deadline, the government produced a hard drive containing approximately
39,000 files of recorded statements. This did not, however, prove to be the end of
discovery. In fact, discovery productions continued well after the discovery
deadline—though subsequent productions were much smaller than the one that
occurred on September 1, 2016.
On October 17, 2016, Muhtorov filed a motion to sever his trial from
Jumaev’s. A little over a month later, the district court granted the motion. United
2
To the extent Jumaev presented a facial challenge, it was resolved by the
district court’s rejection of Muhtorov’s as-applied and facial challenges. See App’x
Vol. III at 119; see also Muhtorov, slip op. at 22 n.11 (noting that because
Muhtorov’s as-applied Section 702 challenge fails, his “facial challenge necessarily
fails” as well).
7
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States v. Muhtorov, No. 12-cr-33-JLK, 2016 WL 11612426, at *1–2 (D. Colo. Nov.
29, 2016). The district court found the severance to be appropriate because
Muhtorov anticipated he might call Jumaev as a witness. Id. at *1. It also concluded
that the need for separate, simultaneous translators for the different languages used in
Muhtorov’s and Jumaev’s statements would make a joint trial cumbersome. Id. at *2.
Muhtorov’s trial was moved back to July 31, 2017, but Jumaev’s trial remained
scheduled to begin on March 13, 2017. Despite the severance, many aspects of the
pretrial proceedings remained joined.
On November 4, 2016, Jumaev moved to suppress the evidence derived from
the searches of his home, phone, and computer. He asserted that the magistrate judge
violated Federal Rule of Criminal Procedure 41 when she issued the extraterritorial
warrants pursuant to which the evidence was obtained. On January 31, 2017, the
district court denied Jumaev’s motion to suppress.
On February 28, 2017, less than two weeks before Jumaev’s trial was set to
begin, Jumaev moved for the first time to dismiss the indictment on the grounds that
his Sixth Amendment right to a speedy trial had been violated. Jumaev argued that
the five years he had spent waiting to go to trial were excessive and the fault of the
government. Additionally, he maintained that the large quantity of discovery
produced on the discovery deadline, the additional productions made after the
deadline, and the government’s decision to bring two new charges (counts 5 and 6)
against him more than four years after he was first indicted had prevented his defense
team from being ready to go trial on the scheduled date.
8
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On March 1, 2017, the government voluntarily dismissed counts 5 and 6—the
counts that had been added by the third superseding indictment. On March 13,
2017—the day that was meant to be the start of trial—the district court denied
Jumaev’s speedy trial motion. At the same time though, the district court sanctioned
the government for its delayed filing and dismissal of counts 5 and 6. Specifically,
the district court entered an order prohibiting the government from using any
evidence pertaining to counts 5 and 6 in its case in chief. Jumaev then moved for a
continuance to give his lawyers additional time to prepare his defense. The district
court granted the motion and rescheduled the trial for January 8, 2018.
On November 30, 2017, the district judge informed the parties that he
unexpectedly needed to undergo medical treatment. To accommodate this
development, Jumaev’s trial start date was moved again, this time to March 12, 2018.
On February 16, 2018, a few weeks before the new trial start date, Jumaev
moved a second time to dismiss the indictment on speedy trial grounds. The district
court again denied Jumaev’s motion. Also in February 2018, the government finally
made its last discovery production to Jumaev.
On March 2, 2018, the district court sanctioned the government for discovery
conduct that had occurred in December 2017. That month, Jumaev’s defense team
traveled to Kazakhstan to depose a witness, Sobirov, who had acted as a confidential
human source for the government. The government, however, failed to disclose
potential impeachment information about Sobirov until the morning of his deposition.
The district court determined that the timing of the government’s disclosure
9
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prevented Jumaev’s defense team from being able to effectively use the potential
impeachment information during Sobirov’s deposition. Accordingly, the district
court ordered that the jury be read an instruction concerning “the information that
was belatedly disclosed by the government and not elicited during [the] deposition.”
App’x Vol. VII at 406.
Jumaev’s trial began on March 12, 2018. On April 30, 2018—a little over six
years after Jumaev was initially arrested and charged—Jumaev was convicted on
both of the remaining counts against him (counts 1 and 2).3 On July 18, 2018, the
district court sentenced Jumaev to time served—76 months and 3 days—as well as
ten years of supervised release.4 Jumaev now appeals.
II
We begin with Jumaev’s Sixth Amendment speedy trial claim. “The Sixth
Amendment guarantees that ‘[i]n all criminal prosecutions, the accused shall enjoy
the right to a speedy and public trial.’” United States v. Medina, 918 F.3d 774, 779
(10th Cir. 2019) (alteration in original) (quoting U.S. Const. amend. VI). To evaluate
whether a defendant’s Sixth Amendment speedy trial right has been violated, we
3
Counts 3 and 4 pertained solely to Muhtorov.
4
Jumaev was released into the custody of the U.S. Department of Homeland
Security. The government seeks to remove Jumaev from the United States, and on
January 12, 2021, the Board of Immigration Appeals entered a final order of removal.
Jumaev, though, has challenged that order in a separate appeal. See Jumaev v.
Garland, No. 21-9513 (10th Cir. filed Feb. 2, 2021). On May 14, 2021, this court
issued a stay of removal. Order, Jumaev, No. 21-9513 (May 14, 2021). Jumaev’s
immigration appeal otherwise remains pending.
10
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apply the four-part balancing test set forth by the Supreme Court in Barker v. Wingo,
407 U.S. 514 (1972). “The four factors are: ‘(1) the length of the delay; (2) the
reason for the delay; (3) the defendant’s assertion of his right; and (4) prejudice to
the defendant.’” Medina, 918 F.3d at 780 (quoting United States v. Yehling, 456 F.3d
1236, 1243 (10th Cir. 2006)). “We review the legal question of whether there was a
Sixth Amendment violation de novo and any underlying district court factual findings
for clear error.” United States v. Frias, 893 F.3d 1268, 1272 (10th Cir. 2018).
Although six years is an exceptionally long time to await trial, Jumaev’s claim
lacks merit in this instance. As noted above, we conclude in our separate Muhtorov
opinion that Muhtorov’s speedy trial claim fails. And that conclusion resolves
Jumaev’s claim, too. In all critical respects, Jumaev’s claim is substantially similar,
and often identical, to Muhtorov’s. In fact, as we detail below, to the extent
Jumaev’s claim differs from Muhtorov’s, the material differences render Jumaev’s
claim the weaker one. Accordingly, for largely the same reasons that Muhtorov’s
claim falls short, we determine that Jumaev’s Sixth Amendment speedy trial claim
likewise fails.5
We first weigh each of the Barker factors. We then balance them.
5
The dissent’s primary criticisms of our speedy trial analysis here are the same
as those lodged against our speedy trial analysis in Muhtorov. See Dissent at 1
(dissenting “[f]or the reasons stated in” the Muhtorov dissent and “incorporat[ing]
that dissent in its entirety”). As we detail in Muhtorov, we respectfully disagree with
those objections.
11
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A
1
The first Barker factor—the length of the delay—weighs strongly in Jumaev’s
favor. This first factor “typically serves as a gatekeeper.” Frias, 893 F.3d at 1272.
“We examine the other factors only when the delay is presumptively prejudicial,
satisfied by ‘[d]elays approaching one year.’” Id. (alteration in original) (quoting
United States v. Batie, 433 F.3d 1287, 1290 (10th Cir. 2006)). “The delay period
starts with the indictment or arrest, whichever comes first.” United States v. Nixon,
919 F.3d 1265, 1269 (10th Cir. 2019). It ends “upon conviction.” Betterman v.
Montana, 136 S. Ct. 1609, 1613 (2016).
If a defendant can show that the delay is presumptively prejudicial, we must
then “decide how much weight to assign this delay, considering the length of time
and the complexity of the federal case.” Nixon, 919 F.3d at 1270. In making this
assessment, we consider “the extent to which the delay stretches beyond the bare
minimum needed to trigger judicial examination of the claim.” Doggett v. United
States, 505 U.S. 647, 652 (1992). Unsurprisingly, “[t]he greater the delay, the more
th[is] factor favors the defendant.” United States v. Hicks, 779 F.3d 1163, 1168 (10th
Cir. 2015).
Here, the roughly six-year delay “is well beyond the one-year delay that courts
have deemed sufficient to clear the ‘gate’ and allow consideration of the remaining
three Barker factors.” Muhtorov, slip op. at 116. And while it is shorter than the six
and a half years that Jumaev’s co-defendant Muhtorov spent waiting for trial, it is
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still longer than delays that we have concluded favor the defendant at the first Barker
factor. See Batie, 433 F.3d at 1290–91 (17-month delay); United States v. Margheim,
770 F.3d 1312, 1326 (10th Cir. 2014) (23-month delay); United States v. Seltzer, 595
F.3d 1170, 1176–77 (10th Cir. 2010) (two-year delay); Jackson v. Ray, 390 F.3d
1254, 1261 (10th Cir. 2004) (four-and-one-third-year delay). Accordingly, “when
considered ‘as one factor among several,’” this six-year delay “weighs strongly in
favor of [Jumaev].” Muhtorov, slip op. at 117 (quoting Seltzer, 595 F.3d at 1176).
Our conclusion is not altered by the fact that a long delay can be justified for a
“serious, complex . . . charge.” Barker, 407 U.S. at 531. As we observe in
Muhtorov, “[t]his consideration cuts in different directions in [these] case[s].” Slip
op. at 117. “On the one hand, the investigation included traditional FISA . . . , which
created procedural complexities.” Id. But on the other, the underlying conduct was
straightforward, particularly in Jumaev’s case. The government itself stressed this
point during trial, explaining to the jury that “this [was] a simple case” concerning a
single transaction in which Jumaev “sent $300 to a man named Jamshid Muhtorov”
“knowing that Jamshid Muhtorov was going to go support a terrorist group called the
Islamic Jihad Union.” App’x Vol. XVIII at 598–99, 2662. In the end, we need not
resolve this tension. Even assuming that this case was “complex” for purposes of the
first Barker factor, a six-year delay is still so long that the first Barker factor weighs
strongly in favor of finding a constitutional violation in this case. See Muhtorov, slip
op. at 118 (reaching the same conclusion with respect to Muhtorov’s delay of six and
a half years).
13
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2
The second Barker factor—the reason for the delay—does not weigh in favor
of a speedy trial violation. “Because the prosecutor and the court have an affirmative
constitutional obligation to try the defendant in a timely manner the burden is on the
prosecution to explain the cause of the pre-trial delay.” Muhtorov, slip op. at 119
(internal quotation marks omitted) (quoting United States v. Brown, 169 F.3d 344,
349 (6th Cir. 1999)). In turn, delays can count in favor of a speedy trial violation
even when “there is no evidence that the government intentionally delayed the case
for the explicit purpose of gaining some advantage.” Seltzer, 595 F.3d at 1179.
However, “pretrial delay is often both inevitable and wholly justifiable,” such as
when “[t]he government . . . need[s] time to collect witnesses against the accused
[and to] oppose his pretrial motions.” Doggett, 505 U.S. at 656.
As we explain in Muhtorov, the delay in these cases was due to discovery,
which lasted for Jumaev until February 2018. See Muhtorov, slip op. at 127 & n.62.6
6
As noted above, toward the end of 2017, the district judge alerted counsel
that he unexpectedly needed to undergo medical treatment, and, as a result, Jumaev’s
trial was moved from January 2018 to March 2018. App’x Vol. IV at 832, Vol. XIII
at 1080. For the same reason, Muhtorov’s trial was similarly moved, from March
2018 to May 2018. Muhtorov, slip op. at 127. Because the government completed
discovery in Muhtorov’s case in January 2018—four months before Muhtorov’s trial
occurred—we consider the delay caused by the district judge’s medical treatment in
the course of assessing Muhtorov’s speedy trial claim. See id. at 127, 136–38. But
with respect to Jumaev, discovery was completed later than in Muhtorov’s case and
trial occurred sooner—just one month after the government finished its discovery
productions. As a result, delays due to discovery productions eclipsed the delay due
to the district judge’s medical treatment, eliminating the need to address the district
judge’s medical situation as part of our analysis of Jumaev’s claim.
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The government, therefore, must “provide an acceptable rationale for the delay.”
Seltzer, 595 F.3d at 1177. This is no easy task in light of the considerable length of
the delay. But, ultimately, the government has carried its burden. “Given the volume
of materials requested, meeting those requests required time, particularly when the
materials had to be translated from uncommon languages—Uzbek and Tajik—by
translators with security clearances,” who were few and far between. Muhtorov, slip
op. at 131. Additionally, “[t]he district court’s and the parties’ obligations to comply
with CIPA significantly complicated the discovery process” in ways that were
unavoidable. Id. at 129. For these reasons, the lengthy period of discovery was
justified.7
The dissent’s approach differs slightly from ours here. It reasons that “[b]ut
for . . . government-caused delay, the trial would have begun in March 2017,” and
“therefore [the dissent] would attribute the entire additional year’s delay [from March
2017 to March 2018] to the government,” including the “additional two months until
March 2018 due to the district court judge’s illness.” Dissent at 3 n.3. In our view,
these different paths lead to the same destination, for, like the dissent, we count the
entire period from March 2017 to March 2018 as delay that the government must
justify. However, unlike the dissent, our basis for reaching this conclusion is that
discovery was not completed until February 2018, making an earlier trial impossible.
The dissent’s analysis does not necessarily conflict with our own—indeed, in
Muhtorov we do weigh the delay caused by the judge’s medical treatment against the
government, albeit not heavily. See slip op. at 136–38. But in this case we do not, at
the end of the day, reach the issue of the judge’s illness.
7
As we detail in section III, infra, Jumaev asserts that the government violated
its discovery obligations in this case by (1) failing to meet the September 1, 2016
discovery deadline; (2) bringing new charges against him late into the proceedings,
which forced his defense team to revisit and reevaluate the discovery that had been
produced up until that point; and (3) delaying the disclosure of potential
impeachment information concerning a witness, Sobirov, until the morning of that
witness’s deposition. See Reply Br. at 27–28. Although Muhtorov does not also
raise these claims on appeal, they do not render Jumaev’s case dissimilar from
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The dissent takes issue with this analysis. Most of its disagreements concern
the reasoning we employ in Muhtorov, see Dissent at 2–3 & n.2, and we address
those critiques in that opinion. But the dissent also posits, with respect to Jumaev
specifically, that “[t]he excessive governmental delay in responding to timely
discovery requests made by . . . Jumaev is even more compelling [than in Muhtorov’s
case] because the government waited to provide discovery information long in its
possession until the eve of Jumaev’s first scheduled trial,” “caus[ing] an additional
delay of one year.” Id. at 1. It thus concludes that “the second Barker factor” should
“weigh[] even more heavily in Jumaev’s favor than,” in the dissent’s view, “it did for
Muhtorov.” Id. at 4.
For three reasons, we are unconvinced that Jumaev’s case is stronger than
Muhtorov’s when it comes to the second Barker factor. First, the dissent’s argument
appears to be premised on the notion that the March 2017 postponement of Jumaev’s
trial was solely the result of discovery “produced [by the government] for the first
Muhtorov’s for purposes of the second Barker factor. Jumaev’s claim concerning the
government’s failure to meet the discovery deadline is simply a recasting of Jumaev
and Muhtorov’s general complaints about the slow pace of discovery. Similarly, the
late-filed charges included in the third superseding indictment were brought against
Jumaev as well as Muhtorov, see App’x Vol. III at 262–63, so any time lost due to
that development affected them both, see Muhtorov, slip op. at 139 (explaining that
“Muhtorov would not have ‘faced trial . . . earlier than he did but for’ the . . . filing
and dismissing of the third superseding indictment” “[g]iven that the discovery
process happened before, during, and after [that] event[]” (first omission in original)
(quoting Doggett, 505 U.S. at 657)). Finally, while the late disclosure of potential
impeachment information about Sobirov is an issue unique to Jumaev, that late
disclosure had no impact on Jumaev’s trial date, and therefore is not relevant to our
assessment of the second Barker factor.
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time shortly before trial.” Id. at 3. The dissent believes, apparently, that we should
look favorably on Jumaev because until he received the government’s “eleventh-
hour” disclosures, he believed he would be able to proceed to trial on the March 2017
date. Id. Yet the dissent’s factual premise does not hold. As Jumaev himself
explained in his first speedy trial motion, “[g]iven the huge number of intercepted
communications provided on September 1, 2016, the Jumaev defense ha[d] not [as of
March 2017] had the time or resources to review these communications [with Jumaev
and an interpreter], let alone know which ones need[ed] to be translated for the
preparation of transcripts for trial.” App’x Vol. VI at 703. Accordingly, Jumaev
would not have been ready to go to trial on the initial start date even absent the
government’s productions after September 1, 2016, for his defense team was still
working through the communications that had been produced by the discovery
deadline. Second, the dissent’s argument similarly lacks support in the law. We are
unaware of any authority that suggests the constitutional import of a pretrial delay
increases when it occurs close to a scheduled trial date. Third, given that Muhtorov’s
trial date was pushed back at the same time as Jumaev’s and for the same amount of
time, we fail to see how the delay is more “compelling” in Jumaev’s case. If
anything, Muhtorov’s situation was the more compelling one, for by that point
Muhtorov had already spent roughly two months longer than Jumaev in pretrial
detention, and the order of Jumaev’s and Muhtorov’s trials guaranteed that Muhtorov
would have to wait longer still for a jury to hear his case.
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In sum, while the delay in this case was due to discovery, the government has
justified the delay. The second Barker factor therefore weighs against finding a
constitutional violation.
3
a
The third Barker factor—Jumaev’s assertion of his right to a speedy trial—
also weighs against a speedy trial violation. “The defendant’s assertion of his speedy
trial right . . . is entitled to strong evidentiary weight in determining whether [he] is
being deprived of the right.” Barker, 407 U.S. at 531–32. “[F]ailure to assert the
right,” on the other hand, “will make it difficult for a defendant to prove that he was
denied a speedy trial.” Id. at 532. Though a defendant bears the burden to assert his
right, a defendant does not “waive[] any consideration of his right to speedy trial for
any period prior to which he has not demanded a trial.” Id. at 525. Rather, “the
ultimate inquiry is ‘whether the defendant’s behavior during the course of litigation
evinces a desire to go to trial with dispatch.’” Muhtorov, slip op. at 142 (quoting
Batie, 433 F.3d at 1291). Thus, “‘[w]e may weigh the frequency and force of [the
defendant’s] objections’ to the delay.” Margheim, 770 F.3d at 1328 (first alteration
in original) (quoting United States v. Latimer, 511 F.2d 498, 501 (10th Cir. 1975)).
“A defendant’s early and persistent assertion of his right to a speedy trial will tip the
third factor in his favor, but efforts to stall the proceedings, such as ‘moving for
many continuances,’ will ‘tip the balance of this factor heavily against the
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defendant.’” Medina, 918 F.3d at 781 (internal quotation marks omitted) (quoting
Margheim, 770 F.3d at 1328).
Jumaev argues that the motions to dismiss he filed in the trial court sufficiently
asserted his constitutional right to a speedy trial. We determine otherwise, for
Jumaev’s motions were not timely. The first was submitted on February 28, 2017,
less than two weeks before the then-scheduled trial date of March 13, 2017. The
second was filed on February 16, 2018, less than a month before his trial finally did
occur and about five years and eleven months after he was arrested and charged. We
have previously recognized that the third Barker factor weighs against a defendant
who chooses “not to assert his right to a speedy trial until trial itself [is] imminent.”
United States v. Kalady, 941 F.2d 1090, 1095 (10th Cir. 1991). And we find that that
principle applies here. By waiting until just thirteen days before trial was set to begin
to raise his first speedy trial objection, Jumaev tipped this factor in the government’s
favor.
Notably, Jumaev’s requests for a speedy trial differ from those of his co-
defendant Muhtorov, who did adequately assert his speedy trial right. While both
Muhtorov and Jumaev waited years to file their first speedy trial motions,
Muhtorov’s motions were more frequent and more timely. For instance, Muhtorov,
like Jumaev, filed two counseled motions. But, unlike Jumaev, Muhtorov also
submitted several pro se motions in which he “expressed his frustration with delays.”
Muhtorov, slip op. at 143. The first of these, in particular, included an analysis of the
four Barker factors and was filed five months before Muhtorov’s then–trial date. See
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id. at 143–45. Muhtorov’s counseled motions, too, stand in contrast to Jumaev’s.
For example, Muhtorov’s first counseled motion was filed approximately four
months prior to trial instead of only two weeks beforehand. See id. at 143, 145.
Muhtorov’s persistence and diligence show that he “did not intend on waiting until
the eve of trial to assert the right for the first time.” Id. at 145. Jumaev’s tardiness,
by contrast, leaves open the possibility that he “merely . . . mov[ed] to dismiss after
the delay ha[d] already occurred.” United States v. Gould, 672 F.3d 930, 938 (10th
Cir. 2012) (internal quotation marks omitted) (quoting Batie, 433 F.3d at 1291).
In reaching this conclusion, we recognize that when these cases began, the
government believed—and represented—that discovery would be completed within
months, not years. See App’x Vol. XI at 228. A full appreciation for the difficulties
that discovery would present developed only gradually, and for that reason, Jumaev
and Muhtorov’s failure to register speedy trial objections closer to the start of the
proceedings is understandable. See Barker, 407 U.S. at 528 (instructing that a
defendant is not obligated to submit a “pro forma demand [for a speedy trial] . . .
immediately after appointment of counsel” to preserve his right). Indeed, this context
helps explain why Muhtorov’s assertion of his speedy trial right was sufficient
despite the late date on which it was lodged; in an ordinary case, a speedy trial
objection first raised roughly five years after the indictment would be untimely. See
Nixon, 919 F.3d at 1272 (determining that the third Barker factor weighed against a
defendant who “waited almost a year to invoke his right to a speedy trial”); United
States v. Black, 830 F.3d 1099, 1121 (10th Cir. 2016) (suggesting that an initial
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assertion of the speedy trial right “13 months after the First Superseding Indictment”
is “late”); United States v. Koerber, 10 F.4th 1083, 1110 (10th Cir. 2021) (finding
that a first assertion of the speedy trial right “over four years after [the defendant’s]
initial indictment” was not “‘frequent’ or ‘forceful’”). But this context does not
justify the entirety of Jumaev’s delay. It was ultimately Jumaev’s “burden to actively
assert his right.” Yehling, 456 F.3d at 1244; see also Muhtorov, slip op. at 140 (“The
defendant has the ‘burden of showing he desired a speedy trial.’”) (quoting Gould,
672 F.3d at 938). And Jumaev has not demonstrated that the government’s
unexpected discovery delays prevented him from asserting his speedy trial right until
trial was virtually at hand.
Focusing on the number of motions he filed, Jumaev insists that he did meet
his burden. He observes that he objected on speedy trial grounds on two separate
occasions. Reply Br. at 15. And, citing our decision in United States v. Seltzer, he
says that “this Court has held that if a defendant has ‘twice asserted his speedy trial
rights’ this ‘put[s] both the district court and the government on notice that the
defendant wishe[s] to proceed to a prompt resolution of his case,’ and thus ‘weighs
strongly’ in his favor.” Id. (alterations in original) (quoting Seltzer, 595 F.3d at
1179).
Jumaev overreads Seltzer. Seltzer’s analysis did not turn solely on the number
of motions filed; such a rule would permit a defendant to prevail on this factor simply
by “rapid-fire filing [speedy trial] motions” shortly before trial. Margheim, 770 F.3d
at 1329; see also Batie, 433 F.3d at 1291 (explaining that a speedy trial motion
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submitted after “delay has already occurred” “could be, indeed may well be,
strategic”). Rather, Seltzer held that the third Barker factor weighs in the defendant’s
favor when his speedy trial requests are “repeated” and “prompt.” Seltzer, 595 F.3d
at 1179. Applying that principle here, although “both [Jumaev] and the Seltzer
defendant ‘brought . . . repeated requests,’ . . . only the Seltzer defendant did so
promptly.” Margheim, 770 F.3d at 1329 (first omission and emphasis in original)
(quoting Seltzer, 595 F.3d at 1179). Jumaev’s two motions, therefore, did not
sufficiently assert his speedy trial right.
Finally, Jumaev’s other pretrial conduct casts further doubt on his claim that
he prioritized a speedy trial. See United States v. Tranakos, 911 F.2d 1422, 1429
(10th Cir. 1990) (explaining that the third Barker factor weighs against a defendant
who “moves for dismissal on speedy trial grounds” but whose “other conduct
indicates a contrary desire”). Jumaev points out that he objected to the slow pace of
the government’s discovery efforts throughout the proceedings, which is true. But
more revealing is Jumaev’s decision to join Muhtorov’s motion seeking suppression
of evidence acquired pursuant to Section 702. This was an issue of significant
novelty and complexity, and it was clear that the issue would take a substantial
period of time to litigate. For instance, one filing Jumaev and Muhtorov submitted in
support of the motion—a notice of supplemental authority—was 420 pages long. See
App’x Vol. II at 53–472. Moreover, Jumaev knew that his chances of prevailing on
the motion were close to zero. After all, the government informed Jumaev two
months before he joined Muhtorov’s motion that he was not an “aggrieved person” as
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to the Section 702 acquisitions at issue. Id. Vol. I at 605, 608. And the district court
corroborated this claim—while further indicating that Jumaev likely lacked standing
to bring the Section 702 challenge—at a hearing that took place when the joint
motion was pending. Id. Vol. XI at 266–67. Today, Jumaev acknowledges that “the
case against [him] had virtually nothing to do with FISA.” Reply Br. at 13.8
Nevertheless, Jumaev insisted on litigating the Section 702 issue. That choice
reveals that he was not “focused completely on proceeding to trial.” Margheim, 770
F.3d at 1329.9
Based on the foregoing, we conclude that Jumaev did not adequately assert his
speedy trial right.10
8
In keeping with this acknowledgment, Jumaev has not appealed the denial of
the Section 702 suppression motion. Muhtorov, though, has appealed that ruling, and
we address it in the opinion dedicated to his claims. See Muhtorov, slip op. at 6–75.
9
The dissent maintains that “Jumaev’s decision to join Muhtorov’s . . .
suppression motion in 2014 did not evidence Jumaev’s lack of eagerness to go to
trial” because “Jumaev and Muhtorov remained as co-defendants in a single trial
until the November 2016 severance,” and therefore, “regardless of whether he joined
the motion, [Jumaev] could not progress toward trial until the motion was decided in
November 2015.” Dissent at 7 n.7. The dissent never explains, however, why
Jumaev could not have asked for a severance once it became clear that Muhtorov’s
case would require resolution of the complicated issues surrounding Section 702
surveillance. Indeed, when Muhtorov asked for a severance, it was granted. See
Muhtorov, 2016 WL 11612426, at *1–2.
10
In addition to the foregoing analysis, we note that (1) Jumaev did not object
to a number of continuances requested by the government under the Speedy Trial Act
(“STA”), 18 U.S.C. §§ 3161–3174, see App’x Vol. I at 489, 491, 529, 542, 548, and
(2) Jumaev himself requested a nine-month continuance on March 13, 2017, the date
his trial was initially scheduled to occur, see id. Vol. XVIII at 86, 90. We do not,
however, count these continuances against Jumaev. Just as in Muhtorov, once
Jumaev committed himself to litigating the Section 702 issue his “failure to object [to
STA continuances] sooner was understandable in light of [the] pending motions to
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b
For four principal reasons, the dissent disagrees with our analysis of the third
Barker factor. Though we understand the dissent’s frustration with the length of time
it took for Jumaev’s case to get to trial, we are unpersuaded by the dissent’s
arguments.
First, the dissent contends that by “tip[ping] this factor in favor of Muhtorov
because his . . . pro se motions expressed frustration with the delay” but not granting
equal credit to Jumaev, we “require counseled defendants to file pro se motions in
order for Barker’s assertion-of-the-right factor to weigh in their favor.” Dissent at 6.
Not so. We contrast Jumaev’s motions with Muhtorov’s to illustrate why, despite the
many similarities between their cases, Jumaev’s assertions of the right fell short even
as Muhtorov’s successfully crossed the third-Barker-factor threshold. But what
matters for purposes of this comparison is not that some of Muhtorov’s motions were
pro se. What matters is that Muhtorov’s motions—regardless of whether they were
counseled or pro se—were more frequent and more timely than Jumaev’s. See
Medina, 918 F.3d at 781 (explaining that “[a] defendant’s early and persistent
assertion of his right to a speedy trial will tip the third [Barker] factor in his favor”).
suppress.” Slip op. at 146 (explaining that “[i]t may have been pointless for
[Muhtorov] to object to the STA continuances given the pending suppression
motions”). As for Jumaev’s own motion for a continuance, he filed it only after his
first speedy trial motion was denied, and he maintained that the continuance was
necessary, in part, due to the government’s ongoing document productions. See
App’x Vol. XVIII at 85–86. Given that the government did continue to produce
discovery well after March 13, 2017, we agree that Jumaev’s request for a
continuance did not necessarily run counter to a desire to proceed to trial quickly.
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To treat Jumaev’s and Muhtorov’s assertions as equivalent when conducting this
analysis would be to essentially ignore Muhtorov’s pro se motions—something that
the dissent acknowledges we cannot do. See Dissent at 6 (recognizing that “Barker’s
third factor requires us to consider the . . . additional pro se motions for a speedy trial
filed by Muhtorov”). Thus, accounting for Muhtorov’s pro se motions when we
weigh Jumaev’s and Muhtorov’s objections, the conclusion that Muhtorov’s were
made with greater “frequency and force,” Margheim, 770 F.3d at 1328 (quoting
Latimer, 511 F.2d at 501), is inescapable.11
Second, the dissent criticizes us for not “weigh[ing] the conduct of both
parties.” Dissent at 8 (emphasis added). In its view, because “the government
repeatedly assured [Jumaev] that discovery would be forthcoming,” Jumaev did all
that was required of him when “[h]e waited on the government to fulfill its
responsibilities, diligently and persistently filing discovery motions that were not met
in a timely fashion.” Id. at 8–9.12 Our analysis is not blind to the government’s
conduct. As our discussion in the preceding section makes clear, we have factored
11
The dissent also claims that our analysis, at the very least, “penalize[s]
Jumaev by faulting him for not augmenting the motions filed by his counsel with pro
se motions.” Dissent at 6. This, again, is an inaccurate representation of our
reasoning. We do not punish Jumaev for not filing pro se motions. We simply
adjudge that the two delinquent motions Jumaev did file were insufficient to tilt the
third Barker factor in his favor.
12
In expressing this opinion, the dissent says that “Jumaev did not seek
continuances.” Dissent at 9. That is not true. As mentioned above, Jumaev did, in
fact, ask for a nine-month continuance after his first speedy trial motion was denied.
See supra note 10. But because we do not count this request against Jumaev, see id.,
this discrepancy is immaterial.
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the government’s initial representations concerning discovery into our assessment of
the timeliness of Jumaev’s first speedy trial motion. See supra section II.A.3.a. But
when all is said and done, the burden is on the defendant “to actively assert his
right.” Yehling, 456 F.3d at 1244. Consequently, even when delay is attributable to
the government, the third Barker factor weighs against a defendant who “merely . . .
mov[es] to dismiss after the delay has already occurred.” Gould, 672 F.3d at 938
(internal quotation marks omitted) (quoting Batie, 433 F.3d at 1291). Nor is it
enough for a defendant to complain about the pace of discovery without expressly
raising a speedy trial objection. As we note in Muhtorov, Jumaev and Muhtorov (and
now, too, the dissent) “offer[] no authority that . . . objections to the slow pace of
discovery productions are akin to the assertion of a speedy trial right.” Slip op. at
144 n.78.
Third, the dissent maintains that we act uncharitably toward Jumaev by
“[s]imply comparing the time between filing of their first counseled speedy trial
motions and Muhtorov and Jumaev’s respective trial dates.” Dissent at 9. It says
that such a comparison “ignores that, after severance, Jumaev was required to
proceed to trial first, before Muhtorov,” and accordingly there was a “shorter
practical window between the November 29, 2016 severance and the first scheduled
trial date on March 13, 2017 available for Jumaev to assert his speedy trial right.” Id.
This argument is without legal foundation. Our caselaw instructs that there are two
key periods we look to when assessing the timeliness of a defendant’s assertion of the
right: the time elapsed since indictment or arrest (whichever comes first), see, e.g.,
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Nixon, 919 F.3d at 1272; Black, 830 F.3d at 1121, and the time left before trial, see
Kalady, 941 F.2d at 1095. Nothing in our precedent suggests that we should alter
these measurements to account for a co-defendant’s trial date. Even if, however, we
were to make the adjustment the dissent calls for and use only Jumaev’s initial trial
date when comparing Jumaev’s and Muhtorov’s first speedy trial objections, the
juxtaposition would still be unfavorable to Jumaev. Muhtorov’s initial motion was
submitted on February 1, 2017—roughly four weeks before Jumaev filed his first
motion, and nearly six weeks before Jumaev’s trial was set to begin. This contrast
illustrates, once again, that if Jumaev was committed to asserting his speedy trial
right, he had no reason to wait until a mere thirteen days prior to trial to start
objecting to the length of the proceedings.
Fourth, the dissent says we should not “fault Jumaev for joining Muhtorov’s
motion to suppress § 702-derived evidence.” Dissent at 7 n.7. It contends (1) that
the legality of the Section 702 surveillance was “a relevant issue in Jumaev’s case”
because evidence to be used against Jumaev was, at bottom, the product of that
surveillance; (2) that “the government’s assertion that Jumaev was not an ‘aggrieved
person’ entitled to notice . . . was open to good faith challenge by Jumaev below”;
(3) that “the belated government assurances that Jumaev was not an ‘aggrieved
person’ were far from unequivocal, requiring several defense motions to gain a clear
articulation of the government’s position”; (4) that “Jumaev’s decision to join in
Muhtorov’s motion . . . was far from a bad faith attempt to delay the trial”; and
(5) that “[t]o the extent . . . additional delay resulted from [Jumaev’s] decision [to
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join Muhtorov’s motion], which it did not given that the cases were not severed until
a year after the motion to suppress was decided, it should not be weighed heavily
against Jumaev.” Id. at 2, 7 n.7.
None of these arguments convinces us to overlook Jumaev’s decision to join
Muhtorov’s motion. With respect to the dissent’s first and second contentions that
the Section 702 surveillance was relevant to Jumaev’s case and open to good faith
challenge, Jumaev himself has fatally undercut such claims. By Jumaev’s own
admission, “the case against [him] had virtually nothing to do with FISA.” Reply Br.
at 13. Similarly, Jumaev has taken the wind out of the sails of the dissent’s third
contention that the government’s assurances that Jumaev was not “aggrieved” were
“belated” and “equivocal.” As Jumaev notes in his reply brief, “[t]he government . . .
‘made clear to [his] counsel in 2013 that the [Section 702] Notice did not apply to
him.’” Id. (quoting Aple. Br. at 26). And 2013 was certainly early enough to inform
Jumaev’s decision to join Muhtorov’s motion, which was not filed until 2014. As for
the dissent’s fourth contention—concerning whether Jumaev made a bad faith
attempt to delay the trial—this argument inverts the test we apply when weighing the
third Barker factor. The question is not whether the defendant acted in bad faith to
affirmatively slow down the proceedings; it is whether the defendant demonstrated
that he wished to proceed to trial quickly. See Batie, 433 F.3d at 1291. And Jumaev
has not made that showing. Finally, as for the dissent’s fifth contention, we agree
with the dissent that Jumaev’s decision to join Muhtorov’s motion did not produce
additional delay. That delay would have occurred anyway due to the slow pace of
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discovery. See supra section II.A.2. But Jumaev could not have known that such
delay was inevitable at the time that he joined Muhtorov’s motion. Indeed, Jumaev
himself states that early in the case he “believed the government’s representations
that discovery disclosures would be complete[d]” relatively quickly and that a trial
would “follow[] closely thereafter.” Reply Br. at 19. Thus, his decision to join
Muhtorov’s motion shows that he was more interested in litigating a complicated and
tangential legal issue than in “go[ing] to trial with dispatch.” Batie, 433 F.3d at
1291. And that “contrary desire” is what matters for purposes of the third Barker
factor. Tranakos, 911 F.2d at 1429.
In brief, Jumaev’s long-delayed speedy trial motions were inadequate
assertions of his speedy trial right. The third Barker factor weighs in the
government’s favor.
4
Lastly, the fourth Barker factor—prejudice—weighs in Jumaev’s favor, though
only moderately. “The individual claiming the Sixth Amendment violation has the
burden of showing prejudice.” Medina, 918 F.3d at 781 (internal quotation marks
omitted) (quoting Seltzer, 595 F.3d at 1179). However, “[i]n cases of ‘extreme’
delay, the defendant need not present specific evidence of prejudice, but can rely on a
‘presumption of prejudice’ resulting from the prolonged delay.” Id. (quoting United
States v. Frater, 495 F. App’x 878, 882 (10th Cir. 2012) (unpublished)). “Generally,
the court requires a delay of six years before allowing the delay itself to constitute
prejudice.” Seltzer, 595 F.3d at 1180 n.3. “Absent . . . an ‘extreme’ delay, the
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defendant must provide specific evidence of how the delay was prejudicial.” Medina,
918 F.3d at 781 (quoting Margheim, 770 F.3d at 1329). “[I]n assessing whether [the
defendant] has alleged prejudice with sufficient particularity, we focus on the
interests the speedy-trial right was designed to safeguard: (1) ‘preventing oppressive
pretrial incarceration’; (2) ‘minimizing anxiety and concern of the accused’; and
(3) ‘limiting the possibility that the defense will be impaired.’” Margheim, 770 F.3d
at 1329 (brackets omitted) (quoting Barker, 407 U.S. at 532).
“Based on our discussion of the second Barker factor, we cannot attribute six
years of delay to the government.” Muhtorov, slip op. at 152. Accordingly, this
fourth factor turns on whether Jumaev has demonstrated specific prejudice. Jumaev
attempts to do so by showing oppressive pretrial incarceration and impairment of his
defense. We consider each in turn.
a
Jumaev has established that he suffered prejudice due to his pretrial
incarceration. “Because the seriousness of a post-accusation delay worsens when the
wait is accompanied by pretrial incarceration, oppressive pretrial incarceration is the
second most important [interest].” Jackson, 390 F.3d at 1264. And as we recognize
in Muhtorov, extended pretrial incarceration, on its own, can be prejudicial. See
Muhtorov, slip op. at 153. That is the case here. Just as “the mere fact of
[Muhtorov’s] incarceration for six-and-a-half years weighs in favor of finding
prejudice,” so too do Jumaev’s six years of pretrial incarceration support a prejudice
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finding. Id. “By any measure, [six] years of pretrial incarceration is extraordinary.”
Id.
Additionally, Jumaev has shown that his pretrial incarceration was particularly
oppressive because he spent that incarceration “in Denver, far from his friends in
Pennsylvania,” and during that time was “only . . . able to see one of his sons via
videoconference for 10 minutes.” Aplt. Br. at 57 (quoting Suppl. App’x (Pleadings)
at 154). Like we do for Muhtorov, we credit Jumaev’s claims. Muhtorov, slip op. at
153. “Barker itself noted that time in jail for a pretrial detainee can disrupt family
life and thereby be prejudicial.” Id. And the distance Jumaev was forced to spend
away from his home in Philadelphia—over 1700 miles—undoubtedly exacerbated the
isolation caused by his incarceration.
In two instances, however, Jumaev fails to show a nexus between his pretrial
incarceration and the conditions that he claims were oppressive. He contends that he
experienced prejudice because (1) Denver was particularly far away from his family
in Uzbekistan and (2) he had to “live[] with the knowledge that his communications
with his family and friends were monitored for an extended period of his life, such
that his private concerns ha[d] become public.” Aplt. Br. at 57–58 (second alteration
in original) (internal quotation marks omitted) (quoting Suppl. App’x (Pleadings) at
154). Neither of these arguments withstands scrutiny. As for the first argument,
Jumaev’s theory appears to be that his pretrial imprisonment would have been less
burdensome vis-à-vis his separation from his family in Uzbekistan had he been in
Pennsylvania rather than Colorado. Yet given that Pennsylvania is still half a world
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away from Jumaev’s homeland, this proposition makes little sense. As for the second
argument, Jumaev apparently references the fact that the government surveilled him
while it was building its case. That surveillance, though, would have come to light
regardless of whether Jumaev was incarcerated before trial. Therefore, the fact that
Jumaev learned he was surveilled bears no relation to whether his pretrial
incarceration was oppressive.
We are also unpersuaded by Jumaev’s final argument concerning the
oppressiveness of his pretrial incarceration. Jumaev maintains that his pretrial
incarceration was oppressive because “it is likely that [he] would have received a . . .
shorter . . . term of imprisonment” had he not been incarcerated before trial, given
that “his time served was already near the top of his advisory guideline range by the
time of sentencing.” Reply Br. at 24. Observing that “[t]he Supreme Court has
recognized that pretrial custody can be particularly oppressive when it involves ‘dead
time’ in jails that ‘offer little or no recreational or rehabilitative programs,’” he says
that “[h]ad [he] gone to trial earlier, he likely would have spent less total time in
custody that [sic] he did in pretrial custody.” Id. at 25 (quoting Barker, 407 U.S. at
532–33).13 This in turn, he continues, “suggests that the time in custody was
particularly oppressive.” Id.
13
Although Jumaev references the principle that incarceration is more
oppressive when it occurs in “local jails” that “lack . . . rehabilitation programs and
visiting privileges,” Muhtorov, slip op. at 154, he does not specifically claim that he
spent time in such a place, and the record discloses that he was incarcerated at a
federal facility—the Englewood Federal Detention Center—from March 30, 2012
through his release in 2018, see, e.g., App’x Vol. VI at 695.
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This argument carries no water. Jumaev cites no case that has treated the
sentence imposed post-conviction as relevant to assessing the constitutional validity
of pretrial proceedings. And even supposing a defendant’s sentence can be a valid
component of the speedy trial analysis in an appropriate case, Jumaev fails to present
a compelling argument as to why the sentence imposed in this instance rendered the
pretrial incarceration oppressive. Jumaev’s period of pretrial detention—76 months
and 3 days—fell within the applicable sentencing guidelines range of 63 to 78
months. Suppl. App’x (Pleadings) at 145. And although, practically speaking, the
length of that pretrial incarceration prevented the district court from selecting a
sentence on the low end of the relevant range, see id. at 158, it is not clear that, at
bottom, Jumaev’s pretrial detention was the reason he received a long sentence.
After all, the district court said during the sentencing hearing that “[t]he crimes with
which Mr. Jumaev has been convicted are undoubtedly grave and he must be
sentenced accordingly”—reasoning that indicates a sentence on the high end of the
guidelines range was on the table regardless of how much time Jumaev had already
served. Id. at 153. In these circumstances, we cannot say that Jumaev’s sentence of
time served demonstrates that his pretrial incarceration was oppressive.
Notwithstanding the failures of some of Jumaev’s arguments, on the whole,
Jumaev has demonstrated prejudice due to the nature and length of his six years of
pretrial incarceration.
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b
Jumaev has also demonstrated prejudice due to impairment of his defense.
“[T]he most serious [interest] is the ‘hindrance of the defense’ because the inability
of a defendant to adequately prepare his case skews the fairness of the entire system.”
Seltzer, 595 F.3d at 1179–80 (quoting United States v. Toombs, 574 F.3d 1262, 1275
(10th Cir. 2009)). “On this interest, we have held that a defendant should show ‘that
the delay resulted in the loss of specific evidence or the unavailability of certain
witnesses.’” Frias, 893 F.3d at 1273 (quoting Hicks, 779 F.3d at 1169). Impairment
of the defense also occurs when “witnesses lose their memory of events that are
critical to the theory of defense.” Margheim, 770 F.3d at 1329.
To establish impairment from lost testimony, a defendant must make three
showings. First, the defendant must “state[] with particularity what . . . testimony
would have been offered,” Jackson, 390 F.3d at 1265 (alteration in original) (internal
quotation marks omitted) (quoting Tranakos, 911 F.2d at 1429), and explain how the
lost testimony was “material,” Margheim, 770 F.3d at 1330, or “meaningful,”
Medina, 918 F.3d at 782. Second, the defendant must “present evidence that the
delay caused the . . . unavailability.” Jackson, 390 F.3d at 1265. Third, the
defendant must establish that he “t[ook] steps, when possible, to preserve testimony.”
Id. “But when a defendant is not ‘on notice of the need to preserve testimony’ or has
no ‘realistic opportunity to do so,’” we do not “view the failure to preserve testimony
as fatal to a claim of prejudice.” Muhtorov, slip op. at 150–51 (quoting Jackson, 390
F.3d at 1265).
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Jumaev tries to demonstrate prejudice due to loss of testimony in two ways:
the failure of his own memory, and the unavailability of his former roommate
Jakhonghir Rakhimov as a witness. He succeeds in the latter attempt, but the weight
of his showing is reduced because Rakhimov’s testimony would not have been
exculpatory or central to Jumaev’s defense.
We first address Jumaev’s assertion that his own recollection suffered from the
passage of time. Jumaev says that because his memory failed, he was unable “to give
context to the volumes of recorded conversations he had been a part of seven years
prior to his trial.” Reply Br. at 21. And he further claims that “[t]hese lapses in his
memory were exploited by the government” at trial, used to show “that [his]
explanations about his discussions with the FBI and Mr. Muhtorov were ‘neither
reliable nor credible.’” Id. at 22 (emphasis omitted) (quoting App’x Vol. XVIII at
2717).
We accept that Jumaev can satisfy the second and third impairment-of-the-
defense requirements with respect to this lost testimony. We do not doubt that
Jumaev’s recollection of the relevant events faded, to at least some degree, over the
long span of time at issue. See Seltzer, 595 F.3d at 1177 n.2 (noting “the dangers of
memory loss or distortion over time”); see also Edmaiston v. Neil, 452 F.2d 494, 500
(6th Cir. 1971) (concluding that the defendant’s “own memory was understandably
vague with regard to events occurring eight and one-half years before trial”).
Additionally, there is no indication that Jumaev had reason to know—at the outset,
when his memory was still fresh—that the proceedings would last so long as to cause
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his memory to falter, such that he needed to take steps to preserve his own testimony.
Finally, even if Jumaev had anticipated that his memory would fail, preserving his
testimony was not a realistic option: it would have been impractical for him to record
every detail he could recall about every conversation he had ever had (1) with
Muhtorov or (2) that pertained to the IJU. Accordingly, Jumaev has established that
the delay here produced the loss of his testimony and that preservation was neither
required nor feasible.
Jumaev falls short, however, in his attempt to show that the lost testimony
was material. Jumaev does not assert prejudice on the grounds that his testimony
would have been exculpatory. Instead, he claims that the government used his poor
recollection against him “as evidence of his evasiveness,” undermining his credibility
with the jury. Aplt. Br. at 55. The record does not bear out Jumaev’s
characterization of the government’s trial arguments. True, the prosecutor who made
the government’s closing statement contended that Jumaev “said plenty of things that
are neither reliable nor credible.” App’x Vol. XVIII at 2717. But she was likely
referring to the fact that, by Jumaev’s own admission, he had lied to the FBI on
multiple occasions, not to the fact that Jumaev had struggled to remember certain
details when he testified. See id. at 1879, 1882–83, 1887. Further, at that point in
her closing, the prosecutor was not trying to cast doubt on Jumaev’s testimony. To
the contrary, she was trying to convince the jury that, despite the lies Jumaev had
previously told to the FBI, incriminating statements he made to the FBI after he was
arrested were credible. See id. at 2710–13, 2717. Jumaev thus fails to show that the
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government used his lack of recollection against him. Ergo, he has not demonstrated
that he was prejudiced by the loss of his own testimony.
Turning to Jumaev’s argument about the unavailability of Rakhimov, we
conclude that Jumaev fares better on this score. The government does not contest
that the march of time rendered Rakhimov—who could not be located for Jumaev’s
trial—unavailable as a witness. Nor does the government maintain that Jumaev had
notice that he needed to attempt to preserve Rakhimov’s testimony. The sole
question, then, is whether Jumaev has pointed to particular testimony from Rakhimov
that would have been material to Jumaev’s case.
Jumaev has done so. Relying on an interview of Rakhimov conducted by the
FBI, he shows that, had Rakhimov been available, Rakhimov would have testified
that Jumaev “was a simple primitive man who did not understand Islam.” Aplt. Br. at
56 (internal quotation marks omitted) (quoting App’x Vol. V at 37). And this
testimony, Jumaev further explains, could have cast doubt on the government’s claim
that Jumaev was serious about joining Muhtorov in the pursuit of religious
extremism. Id.; see App’x Vol. XVIII at 2707–09. Thus, Rakhimov’s testimony
“arguably ‘would have aided [Jumaev’s] defense,’” rendering it material. Muhtorov,
slip op. at 156 (quoting United States v. Trammell, 133 F.3d 1343, 1351 (10th Cir.
1998)).
That said, “we do not weigh this prejudice heavily” because Rakhimov’s
testimony “would not have been exculpatory or central to the defense.” Id. at 158.
Rakhimov’s testimony would not have directly contradicted the government’s theory
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that Jumaev was radicalized; the jury could have determined that Jumaev turned to
religious extremism even though he “did not understand Islam.” Moreover, the
actions charged in the indictment occurred in 2011 and 2012, while Rakhimov was
Jumaev’s roommate only until 2008. App’x Vol. V at 37. The jury, therefore, could
have concluded that in the years after Rakhimov lived with Jumaev, Jumaev’s
understanding of Islam grew. Indeed, lending support to such a conclusion,
Rakhimov himself would have testified that Jumaev “was teaching himself” about
Islam using “videos and . . . tapes” and by “listening to sermons from . . . Anwar
Aulaqi,” a well-known cleric who had been “‘blacklisted’ by the United States.” Id.
In short, even though Rakhimov’s testimony was material, it was neither exculpatory
nor central to his defense. For that reason, we do not find this prejudice substantial.
B
We now turn to balancing the Barker factors, but given the substantial
similarities between this case and Muhtorov’s, we need not belabor the analysis. The
first, second, and fourth Barker factors carry essentially the same weights here that
they carry in Muhtorov. In both cases, (a) the first Barker factor weighs heavily in
favor of finding a constitutional violation because a delay of six years or more is
substantial, (b) the second Barker factor does not weigh in favor of a violation
because the government has justified the discovery delay, and (c) the fourth factor
weighs in favor of a violation due to the oppressive pretrial incarceration and the loss
of a witness, though does not weigh as heavily as it would had the witness’s
testimony been exculpatory or central to the defense. Muhtorov, slip op. at 158. The
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only significant difference between these cases is that for Jumaev, the third factor—
assertion of the right to a speedy trial—weighs against finding a violation. Muhtorov
makes clear that even if the third factor tipped toward a constitutional violation,
Jumaev’s claim would not succeed “given the quantity and nature of the discovery,
and the overall good faith and diligence of the government and the district court in
bringing this case to trial.” Id. at 162–63. A fortiori, with the third factor weighing
against Jumaev, his speedy trial claim fails.
III
We next consider Jumaev’s discovery-sanctions claim.14 “We review a district
court’s decision to impose sanctions, and the court’s choice of sanction, for an abuse
of discretion.” United States v. Golyansky, 291 F.3d 1245, 1249 (10th Cir. 2002).
Jumaev maintains that the government “violated the court’s discovery orders
in two ways.” Reply Br. at 27. First, he says that “[t]he government undoubtedly
14
In his opening brief, Jumaev appeared to raise, in addition to the argument
we consider here, an argument that the government failed to timely fulfill its
obligations under Brady v. Maryland. See Aplt. Br. at 59 (“The court erred in
declining to impose sufficient sanctions for the government’s repeated violations of
its Brady obligations and the court’s discovery orders.”). In his reply brief, however,
Jumaev clarifies that he does not “argu[e] a constitutional violation based on the late
disclosure of Brady material.” Reply Br. at 27. Rather, he argues only “that the
district court erred by declining to impose sufficient sanctions for discovery
violations.” Id. Because Jumaev has “intentionally relinquished” his Brady
argument, we do not address it. Folks v. State Farm Mut. Auto. Ins. Co., 784 F.3d
730, 737 (10th Cir. 2015) (internal quotation marks omitted) (quoting Richison v.
Ernest Grp., Inc., 634 F.3d 1123, 1127 (10th Cir. 2011)); see also United States v.
Augustine, 742 F.3d 1258, 1264 n.1 (10th Cir. 2014) (declining to consider
arguments that were “abandoned . . . in [the] reply brief”).
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disregarded the September 1, 2016, discovery deadline imposed by the court.” Id.
Yet rather than, as Jumaev argues the district court should have done, penalize the
government for this conduct, the district court granted a nine-month continuance.
See id. at 27–28; App’x Vol. XVIII at 86, 90.15 Second, Jumaev observes that “the
trial court twice sanctioned the government for” its discovery conduct. Reply Br. at
28 (emphasis omitted) (citing App’x Vol. VII at 406, Vol. XVIII at 82–83). The first
sanction was issued after the district found that the government “caused the defense
team to have to revisit and reevaluate all of the discovery that had been provided to it
by the Government” by waiting over four years after the initial indictment to bring
two new charges against Jumaev (count 5 and count 6). App’x Vol. XVIII at 83. As
remedies for the government’s conduct, the district court granted the aforementioned
continuance (which served multiple functions), as well as entered “[a]n order of
preclusion . . . prevent[ing] the Government from offering any of the Count 5 and 6
evidence in its possession in its case in chief.” Id. The second sanction was issued
when the district court determined that the government “disturbed the balance
between the parties” by waiting to disclose potential impeachment information about
a witness, Sobirov, until the morning of the witness’s deposition in Kazakhstan.
App’x Vol. VII at 406. The district court corrected this imbalance by “instruct[ing]
15
Jumaev moved for this continuance because he needed more time to review
discovery produced by the September 1, 2016 deadline. See supra notes 10, 12. He
also did so, though, because (among other reasons) the government produced
discovery after the September 1, 2016 deadline. See id. Hence, we agree with
Jumaev that the continuance was, in part, a means of addressing the government’s
post-deadline discovery production.
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the jury on the information that was belatedly disclosed by the government and not
elicited during Mr. Sobirov’s deposition.” Id. The question Jumaev presents on
appeal is whether the district court’s choice of remedies in these three instances was
an abuse of discretion.16
Under Rule 16(d)(2) of the Federal Rules of Criminal Procedure, a district
court has broad discretion in choosing a sanction upon determining that a party has
violated a discovery obligation. “[T]he court may: (A) order that party to permit the
discovery or inspection; specify its time, place, and manner; and prescribe other just
terms and conditions; (B) grant a continuance; (C) prohibit that party from
introducing the undisclosed evidence; or (D) enter any other order that is just under
the circumstances.” Fed. R. Crim. P. 16(d)(2). When selecting the sanction, a
16
The government contends that Jumaev “has not shown any discovery order
. . . violations,” Aple. Br. at 19, a claim that appears to be premised on the fact that,
although the government was sanctioned for its discovery conduct, it was not
sanctioned for violating an order of the district court pertaining to discovery. While
the government’s assertion is partially correct as a factual matter, the government
offers a distinction without a difference. The government is subject to discovery
obligations in a criminal case regardless of whether the district court issues discovery
orders, and the district court’s authority to order sanctions for late compliance with
discovery obligations—as well as our review of such an order—is unaffected by the
source of the discovery obligation that was violated. See Fed. R. Crim. P. 16(d)(2)
(authorizing a district court to issue sanctions for violations of the discovery
obligations imposed by Rule 16 of the Federal Rules of Criminal Procedure,
including those obligations created by a district court order issued pursuant to Rule
16(d)(1)); United States v. Burke, 571 F.3d 1048, 1054 (10th Cir. 2009) (indicating
that district courts have authority under Rule 16 to remedy belated disclosures that
violate Brady rather than Rule 16 itself); United States v. Gonzales, 164 F.3d 1285,
1291–92 (10th Cir. 1999) (observing that “[e]ven where Rule 16 is inapplicable, the
courts have discretion to exclude evidence as a sanction for violation of a discovery
order,” id. at 1291, and employing the same legal standard used in Rule 16 cases).
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district court considers the factors we first announced in United States v. Wicker,
848 F.2d 1059 (10th Cir. 1988): “(1) the reasons the government delayed producing
the requested materials, including whether or not the government acted in bad faith
when it failed to comply with the discovery [obligation]; (2) the extent of prejudice
to the defendant as a result of the government’s delay; and (3) the feasibility of
curing the prejudice with a continuance.” Id. at 1061. “[T]hese three factors,”
however, “should merely guide the district court in its consideration of sanctions;
they are not intended to dictate the bounds of the court’s discretion.” Id.
Although the choice of sanction is committed to the district court’s discretion,
we have instructed that “[t]he court should impose the least severe sanction that will
accomplish prompt and full compliance with” the violated discovery requirement.
Gonzales, 164 F.3d at 1292. “The preferred sanction is a continuance.” Golyansky,
291 F.3d at 1249. “It would be a rare case where, absent bad faith, a district court
should exclude evidence rather than continue the proceedings.” Id.
Here, “the government acted diligently and without bad faith or negligence.”
Muhtorov, slip op. at 118.17 Accordingly, to establish that the district court abused
17
This observation from Muhtorov concerns the overall pace of discovery, and
thus applies here only to the government’s failure to complete discovery by the
September 1, 2016 deadline. But we similarly find no evidence of bad faith
concerning the filing of the third superseding indictment and the delayed disclosure
of potential impeachment information about Sobirov. Jumaev points to only one
possible instance of bad faith related to either of these events: that in response to
Jumaev’s motion to have Sobirov—an immigrant who had left the country after
serving as a confidential human source for the government—paroled into the United
States to testify at Jumaev’s trial, the government asserted that the motion should be
denied “because there was no way of knowing whether [Sobirov] would leave
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its discretion by declining to impose more severe sanctions, Jumaev must
demonstrate (1) prejudice to his defense (2) that the district court’s sanctions did not
cure. See Golyansky, 291 F.3d at 1249.18 Jumaev fails to make such a showing.
We start with prejudice. Jumaev contends that “[t]he prejudice [he] suffered
was, primarily, the extreme delay” caused by the belated discovery productions.
Aplt. Br. at 64. He does not claim that this delay caused “prejudice as it relates to
guilt or innocence.” Reply Br. at 28. But, pointing to a Sixth Amendment speedy
trial case, he says that “prejudice can come in the form of delay itself.” Id. (citing
Doggett, 505 U.S. at 657).
Jumaev’s attempt to show that delay itself constitutes prejudice comes up
short. Although Jumaev is correct that delay itself can be prejudicial for purposes of
willingly after the trial.” App’x Vol. VII at 405; see Aplt. Br. at 62, 64. The district
court determined that “[t]his representation by the government was not forthright and
bordered on deceitful,” given that the government “had previously granted Mr.
Sobirov deferred action and Significant Public Benefit Parole so that he could remain
in the U.S.” App’x Vol. VII at 405.
While the government’s misrepresentation is troubling, in this appeal Jumaev
does not take issue with the fact that Sobirov was unavailable to testify at Jumaev’s
trial. And critically, Jumaev never explains how the government’s lack of candor in
opposing his motion to have Sobirov paroled into the United States demonstrates that
the timing of its disclosure of potential impeachment information about Sobirov was
the product of bad faith. Indeed, any connection between the motion and the delayed
disclosure is tenuous at best given that, a month before Sobirov’s deposition, the
government dropped its opposition to permitting Sobirov to enter the United States to
testify. See id. at 332. Jumaev thus has not established that the discovery violations
at issue were the product of bad faith.
18
We have also indicated that, absent prejudice, a district court may suppress
evidence that did not comply with discovery orders when doing so is necessary “to
maintain the integrity and schedule of the court.” Wicker, 848 F.2d at 1061. Jumaev
does not argue that such circumstances were presented in this case.
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a constitutional speedy trial claim, see, e.g., Frias, 893 F.3d at 1272 (noting that
when assessing the first Barker factor, delay “is presumptively prejudicial” if it
“‘approach[es] one year’” (quoting Batie, 433 F.3d at 1290)), “prejudice” means
different things in different legal contexts. For instance, even in the speedy trial
context, the prejudice analysis differs depending on which Barker factor is under
consideration. See Muhtorov, slip op. at 148 n.81. So too, the Wicker prejudice
analysis is its own inquiry. Specifically, when applying the Wicker prejudice factor,
we ask whether “the delay impacted the defendant’s ability to prepare or present its
case.” Golyansky, 291 F.3d at 1250 (emphasis added). Delay, therefore, is relevant
to assessing prejudice under Wicker only to the extent that delay impaired the
defendant’s ability to mount his defense.
Jumaev makes no effort to show such impairment here. As discussed supra in
section II.A.4.b., Jumaev argues as part of his speedy trial claim that the time his case
took to get to trial (1) impaired his ability to recall important details when he testified
and (2) rendered a witness who would have testified on his behalf, Rakhimov,
unavailable. But Jumaev does not present these arguments in support of this
discovery-sanctions claim. Nor is it clear that he could have made such arguments
here—the delay at issue for this discovery-violation claim is not the entire pretrial
period, but just the time from the September 1, 2016 discovery deadline until the
government made its final production to Jumaev in February 2018. Consequently,
Jumaev has not demonstrated that he suffered Wicker prejudice due to delay.
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This is not to say that Jumaev suffered no prejudice. To the contrary, the late
discovery productions and the belated superseding indictment caused Jumaev’s
defense team to need more time to prepare for trial. See Golyansky, 291 F.3d at 1250
(explaining that late productions can cause “unfair surprise”). And the last-minute
disclosure of potential impeachment information about Sobirov prevented Jumaev’s
defense team from being able to effectively use that information during Sobirov’s
deposition. But it is only these harms—not “delay itself”—that the district court’s
orders needed to address.
With these harms in mind, we turn to whether the district court’s sanctions
cured the prejudice to Jumaev’s defense, and we conclude that the district court
crafted adequate remedies. First, to ensure that Jumaev’s defense team was able to
review discovery materials produced after September 1, 2016, as well as to make up
for time that Jumaev’s defense team had spent revisiting evidence after the filing of
the third superseding indictment, the district court granted a continuance. App’x Vol.
XVIII at 86, 90. Second, to prevent the late-filed charges from creating further
additional work for the defense team, the district court forbade the government from
using any evidence associated with counts 5 and 6 in its case in chief, even in support
of the other counts. Id. at 83–84.19 Third, to make up for the defense team’s inability
19
Prohibiting the use of such evidence in support of the other counts is what
gave this part of the district court’s order its teeth, as by the time the court was ready
to rule on this discovery issue, the government had voluntarily dismissed counts 5
and 6. See App’x Vol. XVIII at 83.
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to use potential impeachment evidence during Sobirov’s deposition in Kazakhstan,
the district court “instruct[ed] the jury on the information that was belatedly
disclosed by the government and not elicited during Mr. Sobirov’s deposition.” Id.
Vol. VII at 406. These orders redressed the prejudice caused by the government’s
delays and in turn were a proper exercise of the district court’s discretion.
Focusing on the continuance remedy, Jumaev protests that the continuance
actually “made [things] worse” because by that point he had already suffered through
years of pretrial delays. Aplt. Br. at 64. In this respect, Jumaev is correct that a
district court must keep a defendant’s right to a speedy trial in mind when
determining whether a continuance is an appropriate sanction for a discovery
violation. See United States v. Yepa, 608 F. App’x 672, 680 (10th Cir. 2015)
(unpublished) (determining that the district court acted within its discretion in
deciding that a continuance was not a feasible sanction because a continuance would
have “inequitably extend[ed] [the defendant’s] pretrial incarceration”); United States
v. Ivory, 131 F. App’x 628, 631 (10th Cir. 2005) (unpublished) (upholding the district
court’s decision to order a continuance as a discovery sanction when doing so “would
solve the problem with respect to [the defendant] without impairing his speedy trial
rights” (emphasis added)).20 But here, for the reasons stated supra in section II,
20
Unpublished cases cited in this opinion are not binding precedent, but we
consider them for their persuasive value. See Fed. R. App. P. 32.1(a); 10th Cir. R.
32.1(A), (C).
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Jumaev’s speedy trial right was not violated. It follows, then, that Jumaev’s speedy
trial right did not render a continuance an inappropriate sanction in this instance.
To summarize, although the slow pace of discovery, the late-filed charges, and
a last-minute disclosure of potential impeachment information caused Jumaev some
prejudice, the district court’s orders were sufficiently curative. The remedy that
Jumaev most strongly objects to—the continuance—was not only within the district
court’s discretion to order, but is generally the preferred method for dealing with
discovery violations. Accordingly, Jumaev’s challenge to the district court’s choice
of discovery sanctions fails.
IV
Finally, we turn to Jumaev’s claim that the evidence obtained from the
execution of extraterritorial search warrants for his home, cellular phone, and laptop
computer should have been suppressed. In considering Jumaev’s challenge to the
district court’s denial of his suppression motion, we review the district court’s legal
determinations de novo and its factual findings for clear error, viewing the evidence
in the light most favorable to the government. United States v. Trujillo, 993 F.3d
859, 864 (10th Cir. 2021).
The search warrants at issue were authorized by a federal magistrate judge, a
federal judicial officer whose power to issue warrants is geographically constrained.
As relevant here, Federal Rule of Criminal Procedure 41 “generally limits a federal
magistrate judge’s warrant-issuing authority to the district where he or she sits.”
United States v. Krueger, 809 F.3d 1109, 1110–11 (10th Cir. 2015); see Fed. R.
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Crim. P. 41(b)(1) (“[A] magistrate judge with authority in the district . . . has
authority to issue a warrant to search for and seize a person or property located
within the district . . . .”).21 This general limitation, however, is subject to
exceptions. See 28 U.S.C. § 636(a) (indicating that a federal magistrate judge has
powers outside of “the district in which” he or she sits “as authorized by law”).
Here, the government invokes the exception found in Federal Rule of Criminal
Procedure 41(b)(3), which provides that “a magistrate judge—in an investigation of
domestic terrorism or international terrorism—with authority in any district in which
activities related to the terrorism may have occurred has authority to issue a warrant
for a person or property within or outside that district.” Fed. R. Crim. P. 41(b)(3);
see also Uniting and Strengthening America by Providing Appropriate Tools
Required to Intercept and Obstruct Terrorism Act of 2001 (USA PATRIOT Act),
Pub. L. No. 107-56, § 219, 115 Stat. 272, 291 (inserting Rule 41(b)(3) into the
Federal Rules of Criminal Procedure). Because Federal Rule of Criminal Procedure
41(b) is entitled “Venue for a Warrant Application,” we refer to Rule 41(b)(3)’s
requirement that there be a connection between the magistrate judge’s district and the
terrorism activities under investigation as a “venue requirement.”
Jumaev does not dispute that the investigation into his conspiracy with
Muhtorov to provide material support to the IJU was an investigation of domestic or
21
There are also statutory limits on a magistrate judge’s authority. See
28 U.S.C. § 636(a); see also Krueger, 809 F.3d at 1117–18 (Gorsuch, J., concurring
in the judgment) (emphasizing the importance of these statutory limits).
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international terrorism sufficient to trigger Rule 41(b)(3). Nor does he contest that
“activities related to the terrorism” occurred within the District of Colorado, the
judicial district in which the magistrate judge who issued the warrants sat. Instead,
his argument is a procedural one concerning the sufficiency of the warrant
application materials that were submitted to the magistrate judge. See Aplt. Br. at 68.
He contends that the materials “were deficient because they failed to attest to a single
fact showing any connection to Colorado.” Id. Due to this alleged failure to
“present[] information to the magistrate demonstrating that she had statutory
authority to issue the warrants,” Reply Br. at 29, Jumaev argues that the magistrate
judge’s issuance of the warrants violated Rule 41, and that in turn the evidence
obtained via those warrants must be suppressed, see Aplt. Br. at 68–69.22
Jumaev’s argument founders because it is not supported by the text of Rule 41.
No provision of Rule 41 mandates that an application for a Rule 41(b)(3) warrant
22
We assess whether a Rule 41 violation justifies suppression using the
analytical framework this court adopted in United States v. Pennington, 635 F.2d
1387 (10th Cir. 1980). “Under this framework, we begin by considering whether
Rule 41 was in fact violated.” Krueger, 809 F.3d at 1113. “If so, we typically
proceed by determining whether that specific Rule 41 violation rises to the level of a
Fourth Amendment violation.” Id. “If we determine that the Rule 41 violation is not
of constitutional import, we then consider whether the defendant can establish that, as
a result of the Rule violation, ‘(1) there was “prejudice” in the sense that the search
might not have occurred or would not have been so abrasive if the Rule had been
followed, or (2) there is evidence of intentional and deliberate disregard of a
provision in the Rule.’” Id. at 1114 (quoting Pennington, 635 F.2d at 1390).
Because we conclude that Rule 41 was not violated, we resolve this case at the
first step of the Pennington analysis. Further, for the same reason, we do not address
the government’s alternative argument that the good faith exception to the
exclusionary rule applies.
49
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address 41(b)(3)’s venue requirement. The only reference to the 41(b)(3) venue
requirement is found in Rule 41(b) itself, a part of Rule 41 that other circuits have
recognized “is a substantive provision,” not one that “detail[s] the procedures for
obtaining and issuing warrants.” United States v. Berkos, 543 F.3d 392, 397–98
(7th Cir. 2008) (emphasis omitted); see also United States v. Ackies, 918 F.3d 190,
201 (1st Cir. 2019) (adopting the Seventh Circuit’s view). By contrast, the part of
Rule 41 that does speak to the procedure for obtaining a search-and-seizure
warrant—Rule 41(d)—points to just one thing that must be shown in a search-and-
seizure warrant’s application materials: “probable cause to search for and seize a
person or property.” Fed. R. Crim. P. 41(d)(1) (“After receiving an affidavit or other
information, a magistrate judge . . . must issue the warrant if there is probable cause
to search for and seize a person or property . . . .” (emphasis added)). Given that this
is the only application requirement identified in the rule, it follows that an
application’s omission of information pertaining to the 41(b)(3) venue requirement is
not a Rule 41 violation. “After all, ‘common sense, reflected in the canon expressio
unius est exclusio alterius, suggests that the specification of [one requirement]
implies’ the exclusion of others.” Elwell v. Oklahoma ex rel. Bd. of Regents of Univ.
of Okla., 693 F.3d 1303, 1312 (10th Cir. 2012) (Gorsuch, J.) (brackets omitted)
(quoting Arizona v. United States, 567 U.S. 387, 432 (2012) (Scalia, J., concurring in
part and dissenting in part)); see also Keene Corp. v. United States, 508 U.S. 200,
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208 (1993) (noting that courts have a “duty to refrain from reading a phrase into [a]
statute when Congress has left it out”).23
Although we determine that Rule 41 does not obligate the government to
address the 41(b)(3) venue requirement in its warrant application materials, we do
not go so far today as to hold that a magistrate judge may issue an extraterritorial
warrant pursuant to Rule 41(b)(3) without having any basis for concluding that
activities related to the terrorism under investigation may have occurred in her
district, so long as the government could have showed such a connection at the time
the warrant was issued. We need not decide that question, because in this case the
magistrate judge was given the information she needed to determine that relevant
terrorism activities had occurred in Colorado. To start, the warrant application
materials here may have been enough on their own to allow the magistrate judge to
discern the Colorado connection, for in support of the warrant applications the
government submitted an affidavit that detailed at length Jumaev’s interactions with
Muhtorov, and Muhtorov had already been indicted on a terrorism charge in the
District of Colorado. See App’x Vol. I at 217, Vol. VI at 52–70. But even if the
application materials themselves failed to establish the link to Colorado, the
government provided more: it also filed a criminal complaint against Jumaev that
alleged he had “conspire[d]” “with others” “in the county of Denver in the State and
23
Rule 41 also lays down requirements as to what must be in a warrant. See
Fed. R. Crim. P. 41(e)(2) (“Contents of the Warrant”). Again, information about
venue is not among those requirements. See id.
51
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District of Colorado.” Id. Vol. VI at 50–51 (emphasis added). The warrant
applications, the affidavit, and the criminal complaint were clearly intended to be
considered as a single package; in fact, the affidavit pulled double duty, expressly
supporting both the warrant applications and the complaint. Id. at 52. And together,
these submissions allowed the magistrate judge to discern that at least some of the
numerous terrorism-related activities described in the affidavit had occurred in
Colorado. No more was necessary.
Jumaev argues that this analysis conflicts with the Supreme Court’s decision in
Whiteley v. Warden, 401 U.S. 560 (1971). There, the Court held that “an otherwise
insufficient affidavit cannot be rehabilitated by testimony concerning information
possessed by the affiant when he sought the warrant but not disclosed to the issuing
magistrate,” because “[a] contrary rule would . . . render the warrant requirements of
the Fourth Amendment meaningless.” Id. at 565 n.8. Extending this logic, Jumaev
contends that to permit the government to rely on a criminal complaint to help satisfy
the 41(b)(3) venue requirement would be to sanction the very type of “rehabilitation”
that Whiteley forbids. See Reply Br. at 31–32.
Jumaev’s reliance on Whiteley misses the mark. The government here did not
try to supplement its warrant affidavit after realizing that the affidavit was deficient.
Rather, the government submitted the complaint that referenced Colorado alongside
the affidavit and the applications. Further, Whiteley concerned the probable-cause
requirement imposed by the Fourth Amendment, see 401 U.S. at 564–65, not a venue
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requirement listed in a rule of procedure. Whiteley, therefore, is easily distinguished
from the case at hand.
Jumaev nevertheless insists that the “reasoning behind” Whiteley is “in play
here.” Reply Br. at 31–32. He says that “the magistrate must be informed of some of
the underlying circumstances”; “otherwise, the inferences from the facts which lead
to the complaint will be drawn not by a neutral and detached magistrate, as the
Constitution requires, but instead, by a police officer engaged in the often
competitive enterprise of ferreting out crime.” Id. at 32 (brackets and internal
quotation marks omitted) (quoting Aguilar v. Texas, 378 U.S. 108, 114–15 (1964)).
Jumaev again ignores that this reasoning concerned the process by which the
government establishes probable cause—something that the Constitution identifies as
essential to the issuance of a warrant. See U.S. Const. amend. IV (“[N]o Warrants
shall issue, but upon probable cause, supported by Oath or affirmation . . . .”). The
process a magistrate judge must use to determine that the government has satisfied a
venue provision found in rules of criminal procedure, by contrast, is a subject about
which the Fourth Amendment has nothing to say. Whiteley’s reasoning thus has no
application in this case.
In sum, no provision of Rule 41 demands that Rule 41(b)(3)’s venue
requirement be addressed in the warrant application materials. And even assuming
without deciding that a magistrate judge must have a basis for concluding that
Rule 41(b)(3)’s venue requirement is satisfied before issuing a 41(b)(3) warrant, we
conclude that the magistrate judge had such a basis here. Thus, the extraterritorial
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search warrants for Jumaev’s home, cellular phone, and laptop computer did not
violate Rule 41.
V
For the foregoing reasons, we AFFIRM Jumaev’s convictions and the district
court’s judgment.
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18-1296, United States v. Jumaev
LUCERO, Senior Judge, dissenting.
For the reasons stated in my dissent in the companion case of co-defendant
Jamshid Muhtorov, I respectfully dissent from the decision not to vacate Bakhtiyor
Jumaev’s conviction for want of a speedy trial.1 See United States v. Muhtorov, No. 18-
1366, slip op. at 1-24 (10th Cir. Dec. 8, 2021) (Lucero, Senior J., dissenting) (hereinafter
“Muhtorov dissent”). I incorporate that dissent in its entirety herein. The excessive
governmental delay in responding to timely discovery requests made by defendant
Bakhtiyor Jumaev is even more compelling because the government waited to provide
discovery information long in its possession until the eve of Jumaev’s first scheduled
trial. This caused an additional delay of one year. Such delay is attributable to the
government under the Barker factors discussed in my earlier dissent. Barker v. Wingo,
407 U.S. 514 (1972). As in that dissent, the government has failed to show that the
delays resulting from its discretionary decisions were necessary. See United States v.
Seltzer, 595 F.3d 1170, 1178 (10th Cir. 2010).
I
Jumaev was indicted for conspiring with Muhtorov to provide material support to
a designated terrorist organization and for knowingly providing such support. From their
indictments in 2012 to the severing of their cases on November 29, 2016, Jumaev and
1
Jumaev also contends that the district court abused its discretion by declining to
severely sanction the government for its discovery violations and that the extraterritorial
search warrants issued in his case violated Rule 41. (Op. at 2.) Because I would vacate
his conviction on the basis of a speedy trial violation, I do not address these contentions.
1
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Muhtorov were fused together as defendants in a joint trial. As a result, the government’s
decisions on § 702 notice, discovery production, and CIPA procedures directly affected
both defendants, because absent severance, one could not go to trial without the other.
Adding to their conjoined destiny, the evidence against Jumaev was directly derived from
the traditional FISA surveillance of Muhtorov, itself a product of the § 702 surveillance
of Muhtorov, making the legality of its collection a relevant issue in Jumaev’s case.
The unwarranted delays caused by the government that are described in the
Muhtorov dissent—the delay in the provision of the § 702 notice, the delay in meaningful
discovery production, and the failure to begin the CIPA § 4 evaluation until after
November 19, 2015—are present in full measure in Jumaev’s case, as are the delays
resulting from the government’s decisions not to clear counsel, its failure to adequately
resource translation services, its seeking of a third superseding indictment in May 2016,
and its chosen CIPA procedures. I weigh the government’s conduct heavily against it
under the second factor of Barker to conclude that Muhtorov’s right to a speedy trial was
violated.2 See Muhtorov dissent, at 4-23. Perforce, the same conclusion that I drew with
2
For Jumaev, my colleagues determine that “the first, second, and fourth Barker
factors carry essentially the same weights here that they carry in Muhtorov.” (Op. at 38.)
In other words, for them, the length of the delay weighs heavily in favor of a
constitutional violation and the prejudice arising from this delay weighs in Jumaev’s
favor, but the decisive second factor—the reason for the delay—weighs against him.
(Op. at 38-39.) As I did in Muhtorov, I would also weigh the prejudice factor more
heavily in Jumaev’s favor. In evaluating this factor we must “recognize that excessive
delay presumptively compromises the reliability of a trial in ways that neither party can
prove or, for that matter, identify.” Doggett v. United States, 505 U.S. 647, 655 (1992).
This presumption of prejudice “cannot alone carry a Sixth Amendment claim without
regard to the other Barker criteria, [but] it is part of the mix of relevant facts, and its
2
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respect to Muhtorov is applicable here. Further, my colleagues in the majority conducted
a rigid and formalistic Barker analysis and fault Jumaev for not filing a pro se speedy trial
motion separate and apart from those filed by his counsel.
II
Jumaev was incarcerated for six years as he awaited trial, hostage to the same
series of inexplicable—or at least unexplained—government decisions I described in
depth in the Muhtorov dissent. See id. Exacerbating the unwarranted delay described in
the Muhtorov dissent, eleventh-hour discovery production by the government caused an
additional year’s delay in Jumaev’s trial from March 2017 to March 20183 while he
“languish[ed] in confinement under unresolved charges.” Betterman v. Montana, 136 S.
Ct. 1609, 1614 (2016). The context of Jumaev’s motion for a speedy trial is telling. In
late February 2017, just two weeks before the scheduled trial date and after years of
futilely filing motions to compel discovery, Jumaev sought dismissal of the charges
because of the government’s belated disclosure of a substantial portion of Brady and Rule
41 material that included 29 trial exhibits it produced for the first time shortly before trial.
importance increases with the length of delay.” Id. at 656 (citation omitted and emphasis
added).
3
Although the initial continuance granted after the district court denied Jumaev’s
requested remedy of dismissal was for ten months until January 2018, the trial was
delayed for an additional two months until March 2018 due to the district court judge’s
illness. But for the government-caused delay, the trial would have begun in March 2017,
therefore I would attribute the entire additional year’s delay to the government. See
United States v. Carini, 562 F.2d 144, 149 (2d Cir. 1977) (illnesses of judges are
institutional delays properly chargeable to the government). As the record makes clear,
replacement of the trial judge during his treatment would have delayed the trial longer as
the available replacement would have required time to become familiar with the case.
3
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This late production of evidence—evidence that had been in the custody of the
government since the time of Jumaev’s arrest or before—made it impossible for his
counsel to be prepared for the trial that was scheduled to begin on March 13, 2017. For
Jumaev, this eve-of-trial production of constitutionally-required evidence necessitated
dismissal for violation of a speedy trial because, as his counsel argued, counsel would be
forced to provide ineffective assistance if the trial proceeded. His first speedy trial
motion was filed to oppose the unwarranted additional delay staring Jumaev in the face—
delay directly caused by the unexplained late production of evidence in the possession of
the government for more than five years.4 Jumaev, like Muhtorov, was not required to
trade one constitutional right for another; the Constitution protects both. Muhtorov
dissent, at 17-18. Because the governmental delays described in the Muhtorov dissent
were exacerbated for Jumaev, whose scheduled trial was continued as a direct result of
the government’s eleventh-hour production of discovery material it long had in its
possession, the second Barker factor weighs even more heavily in Jumaev’s favor than it
did for Muhtorov.
4
Jumaev’s March 2017 motion was filed only after his speedy trial motion was
denied, a decision which the district court recognized forced his counsel to seek a
continuance or go to trial and provide ineffective assistance. For Jumaev, the March
2017 speedy trial motion was filed to avoid the additional delay necessitated by the
government’s late production of discovery, including disclosure of trial exhibits on the
eve of trial; it was not filed “after the delay has already occurred.” (Op. at 26 (quotation
omitted).) The record is clear that absent the government’s late disclosures, Jumaev was
ready to proceed to trial in March 2017. Late production of constitutionally required
discovery by the government continued until the eve of the March 2018 trial. (See Op. at
14 n.6.) Counsel for Jumaev argued below that these late disclosures included
unclassified evidence long in the possession of the government that was not required to
be analyzed under CIPA.
4
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III
The third Barker factor—assertion of the speedy trial right—similarly supports
Jumaev’s claim. The majority comes to the opposite conclusion because (1) Jumaev
neither augmented his counseled motions with pro se filings nor (2) filed his speedy trial
motions as early as did Muhtorov. The Barker analysis conducted by my colleagues is
not faithful to the requirements of that case. Barker requires that its balancing test weigh
“the conduct of both the prosecution and the defendant.” 407 U.S. at 530. Rather than
carrying out this ad hoc and contextual analysis, the majority instead conducts a highly
rigid and formulistic evaluation of whether Jumaev asserted his right to a speedy trial.
See id. at 522 (“[A]ny inquiry into a speedy trial claim necessitates a functional analysis
of the right in the particular context of the case . . . .”).
My research fails to disclose any cases or authorities that hold that a counseled
defendant must file pro se motions for denial of a speedy trial separate and apart from
those of his counsel. My colleagues fail to enlighten me further on that point. To the
extent that the majority creates a new precedent for this circuit compelling defendants to
file pro se motions separate and apart from those of their counsel in order to assert speedy
trial rights or implies that such filings give greater weight to an assertion of the right to a
speedy trial, I am compelled to separate myself from this jurisprudentially problematic
proposition.
5
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Although Barker’s third factor requires us to consider the two additional pro se
motions for a speedy trial filed by Muhtorov,5 it is obvious that we cannot require
counseled defendants to file pro se motions in order for Barker’s assertion-of-the-right
factor to weigh in their favor. To say it another way, although we must consider
Muhtorov’s pro se motions when evaluating whether he asserted his speedy trial right, we
cannot penalize Jumaev in comparison.6 My colleagues so penalize Jumaev by faulting
him for not augmenting the motions filed by his counsel with pro se motions. (Op. at 19-
20.) The majority appears to tip this factor in favor of Muhtorov because his two pro se
motions expressed frustration with the delay. Yet Jumaev did not accede happily to the
delays in bringing his case to trial. The two speedy trial motions filed by his counsel,
which exhaustively detail his persistent and diligent efforts to access the discovery to
which he was constitutionally entitled and to move the case to trial, are equally
expressive of his frustration, and additional pro se motions were not necessary.
Although my colleagues acknowledge that Jumaev “objected to the slow pace of
the government’s discovery efforts throughout the proceedings,” (Op. at 22), they give
5
Appellate review of Muhtorov’s pro se motions is problematic because the
motions were, permissibly, not accepted by the district court. See generally United States
v. Dunbar, 718 F.3d 1268, 1278 (10th Cir. 2013) (“Defendant ha[s] no right to submit
motions other than through his attorney.”); United States v. Bennett, 539 F.2d 45, 49
(10th Cir. 1976) (“[P]ermission for [hybrid representation is] recognized as being
discretionary with the trial court.”).
6
Both Muhtorov and Jumaev filed two counseled motions for a speedy trial
violation; the sole difference in the number of speedy trial motions are the two pro se
motions filed by Muhtorov. I conclude that both Muhtorov and Jumaev sufficiently
asserted their right to a speedy trial, and disagree that this factor weighs against Jumaev.
6
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him little credit for these efforts, and instead focus myopically on measuring the time
between the filing and the scheduled trial dates.7 This type of formulistic, truncated
7
My colleagues in the majority fault Jumaev for joining Muhtorov’s motion to
suppress § 702-derived evidence. They assert that Jumaev “knew that his chances of
prevailing on the motion were close to zero,” in part because the “government informed
Jumaev two months before he joined Muhtorov’s motion that he was not an ‘aggrieved
person’ as to the Section 702 acquisitions at issue,” and therefore, Jumaev’s decision to
join the motion demonstrates that he was not actually eager to go to trial. (Op. at 22-23.)
Problems abound with this analysis. First, the government’s assertion that Jumaev was
not an “aggrieved person” entitled to notice is an unsettled question of statutory
interpretation that, although not presently contested in this appeal, was open to good faith
challenge by Jumaev below. Second, contrary to the majority’s assertion, the belated
government assurances that Jumaev was not an “aggrieved person” were far from
unequivocal, requiring several defense motions to gain a clear articulation of the
government’s position. Third, in accordance with the government’s decision to try them
jointly, Jumaev and Muhtorov remained as co-defendants in a single trial until the
November 2016 severance. Therefore, Jumaev’s decision to join Muhtorov’s second
suppression motion in 2014 did not evidence Jumaev’s lack of eagerness to go to trial
because, regardless of whether he joined the motion, he could not progress toward trial
until the motion was decided in November 2015, which was more than a year before
severance. Finally, as recognized by the district court, the government’s interpretation
that Jumaev was not an “aggrieved person” under the statute does not resolve the
constitutional derivative evidence inquiry or his facial challenge to the constitutionality
of § 702 surveillance.
The majority asserts that “the district court corroborated this claim [that Jumaev’s
chances of success on the motion to suppress were close to zero] . . . at a hearing that
took place when the joint motion was pending.” (Op. at 22.) In doing so, the majority
once again ignores context—at this June 2015 hearing, the district court told the parties
“what he was going to do, and what it means” in regard to the defendants’ motion to
suppress § 702 evidence. Far from evidencing a foregone conclusion that Jumaev’s
“chances of prevailing on the motion were close to zero,” id., it instead was a preliminary
ruling on that very question. Given that the evidence used against Jumaev was derived
from § 702 surveillance, albeit one step removed from that of Muhtorov, Jumaev’s
decision to join in Muhtorov’s motion to suppress evidence derived from § 702
surveillance was far from a bad faith attempt to delay the trial. To the extent that
additional delay resulted from this decision, which it did not given that the cases were not
severed until a year after the motion to suppress was decided, it should not be weighed
heavily against Jumaev.
7
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analysis was rejected by the Supreme Court as “insensitive to a right which we have
deemed fundamental.” Barker, 407 U.S. at 529-30. Barker requires “a balancing test, in
which the conduct of both the prosecution and the defendant are weighed.” Id. at 530.
Our analysis must decide “whether the defendant’s behavior during the course of
litigation evidences a desire to go to trial with dispatch.” United States v. Batie, 433 F.3d
1287, 1291 (10th Cir. 2006). When I weigh the conduct of both parties as required by
Barker, I cannot conclude that Jumaev did not sufficiently assert his right to a speedy
trial.
In the initial years of Jumaev’s incarceration, the government repeatedly assured
him that discovery would be forthcoming. In May 2012, it asserted that discovery would
be provided in June 2012. When that did not ensue, in October 2012, the government
asserted that the required discovery (which included the requested defendants’ statements
and Brady material) would be provided by June 2013. Very little was provided, with no
discovery provided between September 2014 and April 2015. In March 2016, the
government resisted defense efforts to compel discovery and a trial date. The defendants
My colleagues contend that Jumaev acknowledges that “the case against [him] had
virtually nothing to do with FISA,” cherry picking this purported admission from his
reply brief. (Op. at 23 (citing Reply Br. at 13).) To the contrary, in his reply Jumaev was
pointing out the contradiction in the government’s simultaneous assertion that FISA and
CIPA did not apply to him and its insistence that FISA and CIPA still limited its ability to
comply with its discovery obligations. My colleagues further question my failure to
explain why Jumaev could not have moved for severance earlier. (Op. at 23 n.9.) The
more appropriate question is how he was to assess this decision without notice of the
involvement of § 702 evidence in the case against him for more than 23 months, or any
meaningful discovery until September 2016. His inability to evaluate this decision was
caused by the government’s obfuscation of the source of its evidence against him until
after October 2013.
8
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requested a discovery cut-off of July 1, 2016 to facilitate progress to trial, but the
government pushed the date back to September 1, 2016. The filing of the Third
Superseding Indictment by the government in May 2016 “mandated” an additional trial
delay. Finally, as discussed above, belated discovery following the court-imposed
discovery cut-off resulted in an additional year’s delay in trial. Unlike Batie, Jumaev did
not seek continuances. He waited on the government to fulfill its responsibilities,
diligently and persistently filing discovery motions that were not met in a timely fashion.
If this is the conduct I am weighing, the balance easily comes down on Jumaev’s side of
the scale.
The majority also ignores that, after severance, Jumaev was required to proceed to
trial first, before Muhtorov. Simply comparing the time between filing of their first
counseled speedy trial motions and Muhtorov and Jumaev’s respective trial dates ignores
the shorter practical window between the November 29, 2016 severance and the first
scheduled trial date on March 13, 2017 available for Jumaev to assert his speedy trial
right. It similarly ignores that Jumaev’s first motion to dismiss on speedy trial grounds
was not filed to take advantage of delay that had already occurred. (Op. at 25-27.)
Although significant, and in my mind unexplained, delay had already occurred, this
motion was instead filed because the government’s continued discovery delays and late
production had necessitated another year’s delay in addition to the years-long delay
already caused by the government. Jumaev’s second motion to dismiss for a speedy trial
violation highlighted the late production of required discovery that continued throughout
this additional year of delay. The majority agrees that “discovery was not completed
9
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until February 2018, making an earlier trial impossible.” (Op. at 15 n.6.) Such continued
late production of constitutionally required discovery raises significant questions about
the readiness of the government to have gone to trial in March 2017, and failure to meet
its discovery obligations does not show “necessity” for the delay under Seltzer.
My colleagues view the motions filed by Jumaev as not timely. (Op. at 19.) But
Jumaev had been eager to proceed to trial in March 2017 before the government’s
eleventh-hour disclosure that required the additional delay in trial. Far from being
untimely, Jumaev’s motions represent the culmination of years of conduct seeking to
proceed to trial. When I assess Jumaev’s conduct during the course of the litigation, his
persistent motions seeking the disclosure he had requested and was constitutionally due
does not show a defendant “who moves for dismissal on speedy trial grounds when his
other conduct indicates a contrary desire.” United States v. Tranakos, 911 F.2d 1422,
1429 (10th Cir. 1990). As a result, I would weigh Barker’s third assertion-of-the-right
factor heavily in Jumaev’s favor.
IV
For the reasons described herein and in the Muhtorov dissent, I weigh all four
Barker factors heavily in favor of Jumaev and conclude his conviction must be vacated
for want of a speedy trial. Any other result would “not [be] consistent with the interests
of defendants, society, or the Constitution.” Barker, 407 U.S. at 528.
10