[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
________________________ FILED
U.S. COURT OF APPEALS
ELEVENTH CIRCUIT
No. 00-13083
December 13, 2005
________________________ THOMAS K. KAHN
CLERK
D. C. Docket No. 99-00125-CR-KMM
UNITED STATES OF AMERICA,
Plaintiff-Appellee,
versus
MARVIN BAKER,
WAYNE BAPTISTE
a.k.a. "Fat Wayne",
MICHAEL HARPER
a.k.a. "Cuban Mike",
ARTHUR PLESS
a.k.a. "Plex",
KENNETH WILLIAMS a.k.a.
"Boobie" a.k.a. "Black",
SUSAN HALL GIBSON
a.k.a. "Miss Sue",
LEONARD BROWN a.k.a.
Bo,
EFRAIN CASADO a.k.a. "E-4"
a.k.a. "Efro",
JONATHON HAWTHORNE a.k.a.
"Moose",
MALCOLM SHAW,
BEN H. JOHNSON
a.k.a "Bush",
Defendants-Appellants.
________________________
Appeals from the United States District Court
for the Southern District of Florida
_________________________
(December 13, 2005)
Before BARKETT and MARCUS, Circuit Judges, and GEORGE *, District Judge.
BARKETT, Circuit Judge:
Eleven defendants appeal their convictions for drug trafficking offenses after
a jury trial. Seven of these defendants also appeal their sentences. We address
each of the defendants’ arguments in turn, and AFFIRM the convictions and
sentences of Williams, Casado, Harper, Leonard Brown, Malcolm Shaw, Baker,
Baptiste, Pless and Gibson; REVERSE the convictions of Johnson and Hawthorne;
and REMAND the case to the district court for proceedings consistent with this
opinion.
I. BACKGROUND
The government accused fifteen defendants of drug trafficking offenses in a
seventeen-count indictment: Kenneth Williams, Efrain Casado, Leonard Brown,
Lenard Brown, Susan Hall Gibson, Bernard Shaw, Marvin Baker, Malcolm Shaw,
Ronald Raye, Wayne Baptiste, Michael Harper, Arthur Pless, Ben Johnson,
*
Honorable Lloyd D. George, United States District Judge for the District of Nevada, sitting by
designation.
2
Jonathon Hawthorne, and Charton Darces.1 Three defendants, Bernard Shaw,
1
Count 1: Charged Williams and Casado with engaging in a continuing criminal enterprise
(CCE), in violation of 21 U.S.C. §§ 848(a), (b)(2)(A), based on predicate
violations under 21 U.S.C. §§ 841(a)(1), 846, and 963;
Count 2: Charged all fifteen defendants with conspiracy to possess with intent to distribute
and to distribute in excess of 5kg of cocaine and 50g of cocaine base, from in or
about January 1990, and continuing through in or about January 1998, in violation
of 21 U.S.C. §§ 841(a)(1) and 846;
Count 3: Charged Williams, Leonard Brown, Lenard Brown, and Charlton Darces with
conspiracy to import in excess of 5kg of cocaine into the United States, in
violation of 21 U.S.C. §§ 952(a) and 963;
Count 4: Charged Williams with distribution of in excess of 500g of cocaine and 50g of
cocaine base, in violation of 21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 5: Charged Harper with distribution of in excess of 50g of cocaine base, in violation
of 21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 6: Charged Williams with distribution of in excess of 5kg of cocaine, in violation of
21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 7: Charged Shaw with distribution of in excess of 500g of cocaine, in violation of 21
U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 8: Charged Casado with distribution of in excess of 500g of cocaine, in violation of
21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 9: Charged Williams, Leonard Brown, and Lenard Brown with distribution of in
excess of 500g of cocaine and 50g of cocaine base, in violation of 21 U.S.C. §
841(a)(1) and 18 U.S.C. § 2;
Count 10: Charged Casado with distribution of in excess of 500g of cocaine, in violation of
21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 11: Charged Shaw with distribution of in excess of 500g of cocaine, in violation of 21
U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 12: Charged Shaw with distribution of in excess of 5kg of cocaine, in violation of 21
U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 13: Charged Williams with distribution of in excess of 50g of cocaine base in
violation of 21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 14: Charged Harper with distribution of in excess of 50g of cocaine base, in violation
of 21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 15: Charged Pless with distribution of in excess of 50g of cocaine base, in violation
of 21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2;
Count 16: Charged Williams, Casado, Leonard Brown, Lenard Brown, Pless, Johnson, and
Hawthorne with conspiracy to use and carry a firearm during and in relation to a
drug trafficking crime as set forth in Count 2, in violation of 21 U.S.C. § 846 and
18 U.S.C. § 942(o) and its predecessor, 18 U.S.C. § 924(n); and
Count 17: Charged Gibson with knowingly maintaining a place at 7285 NW 17th Court,
Miami, FL, for the purpose of manufacturing, distributing, and using cocaine and
cocaine base, in violation of 21 U.S.C. § 856(a)(1) and 18 U.S.C. § 2.
3
Ronald Raye, and Charlton Darces, pled guilty before the start of trial. Lenard
Brown 2 died of a congenital heart defect before trial.
The centerpiece of the government’s case-in-chief was its evidence
implicating the remaining eleven defendants in the conspiracy to distribute and to
possess with intent to distribute cocaine alleged in Count 2. That evidence, part of
a thirty-one day trial featuring over one hundred witnesses, accused them of being
part of a gang that the media, riffing on Williams’ nickname “Boobie,” had dubbed
the “Boobie Boys.” However, the government’s witnesses, many of them
incarcerated former associates of Williams or his co-defendants, described the
“Boobie Boys” not as a stereotypical “gang” with colors, hand signals, or other
visible signs of membership, but rather as an informal association of people from
the Miami area.
The overall thrust of the hundreds of hours of witness testimony was that
Williams and Casado, who had been operating their own, independent drug
distribution networks with their friends in the Miami area, met in prison in 1992
and combined forces to create a massive drug distribution operation based in South
Florida, in which the remaining thirteen defendants played a part. Raye, Bernard
and Malcolm Shaw, Harper, the Brown twins, and their mother Susan Hall Gibson
2
Lenard Brown was Leonard Brown’s twin brother. To avoid confusion, we refer to all
defendants by their last names except for the Brown twins and Malcolm and Bernard Shaw.
4
were all friends of Williams from the Miami neighborhoods of Carol City,
Overtown, and Liberty City. Baptiste was Casado’s close friend and business
partner. Pless and Johnson, themselves friends, knew both Casado and Williams.
Hawthorne, a paid lookout for a small-time drug dealer who did business with
Williams, allegedly started to deal drugs directly with the “Boobie Boys.”
Charlton Darces was a Port of Miami longshoreman who, according to the
evidence, helped the “Boobie Boys” import cocaine. The government’s case was
also replete with evidence, some of it quite graphic, that Williams, Casado,
Leonard Brown, Baptiste, Harper, Pless, Johnson, and Hawthorne committed
murders in furtherance of this conspiracy.3
3
Although the relevant conspiracy statute, 21 U.S.C. § 846, does not require proof of an overt
act in furtherance of the conspiracy, United States v. Shabani, 513 U.S. 10, 13, 115 S. Ct. 382,
130 L. Ed. 2d 225 (1994), the government listed in the indictment twenty-six “overt acts,” many
of them homicides, allegedly done in furtherance of the Count 2 conspiracy. As we discuss
infra, the government cannot render evidence of an otherwise inadmissible overt act admissible
simply by placing it into the indictment itself. The overt acts cited are as follows:
1. In or about early January, 1992, in Miami, Miami-Dade County, defendants
KENNETH WILLIAMS, BERNARD SHAW and RONALD RAYE
delivered approximately one kilogram of cocaine base, or “crack”, to an
individual who was later arrested in St. Lucie County, Florida in possession
of the crack.
2. On or about December 23, 1993, in Miami, Miami-Dade County, defendants
ARTHUR PLESS and BEN JOHNSON participated in the shooting death of
Roosevelt Davis.
3. On or about January 29, 1994, in Miami, Miami-Dade County, defendants
WAYNE BAPTISTE and EFRAIN CASADO distributed one-half kilogram
of cocaine to another individual.
4. On or about March 17, 1994, in Miami, Miami-Dade County, defendant
KENNETH WILLIAMS and others participated in the shooting death of
Benny Brownlee.
5. In or about mid-May, 1994, in Miami, Miami-Dade County, defendant
5
KENNETH WILLIAMS delivered approximately 500 grams of powder
cocaine and 1.13 kilograms of cocaine base or “crack” to a courier who
transported the crack to Augusta, Georgia at the defendant’s direction.
6. On or about June 22, 1994, in Miami, Miami-Dade County, defendants
KENNETH WILLIAMS and EFRAIN CASADO participated in the shooting
death of Walter Betterson and Derrick Harris.
7. On or about September 18, 1994, in Miami, Miami-Dade County, defendants
ARTHUR PLESS and BEN JOHNSON shot to death Everett Cooper.
8. On or about November 4, 1994, in Miami, Miami-Dade County, defendant
ARTHUR PLESS and others participated in the shooting death of Johnny
Beliard.
9. In or about late November of 1994 or December of 1994, in Miami, Miami-
Dade County, defendant MICHAEL HARPER delivered approximately two
kilograms of cocaine base, or “crack” to an individual who in turn
transported the crack to Georgia, a portion of which was later seized by
authorities.
10. In or about early to mid-March of 1995, in Miami, Miami-Dade County,
defendant KENNETH WILLIAMS delivered several kilograms of cocaine
to a courier who transported the cocaine to Pensacola, Florida at
WILLIAMS’ direction.
11. In or about mid-May of 1995, in Miami, Miami-Dade County, defendant
MALCOLM SHAW delivered several kilograms of cocaine to an individual
who transported the cocaine to Columbia, South Carolina for distribution.
12. On or about May 17, 1995, in Miami, Miami-Dade County, defendants
EFRAIN CASADO, ARTHUR PLESS and BEN JOHNSON participated in
the shooting deaths of Otis Green, Alice Mae Gardner, and Michael Frazier.
13. In or about late October of 1995 or early November of 1995, in Miami,
Miami-Dade County, defendant EFRAIN CASADO delivered several
kilograms of cocaine base, or “crack” to an individual. Approximately two
and one-half kilograms of crack which remained from this crack were seized
by law enforcement authorities in West Palm Beach, Florida on November
2, 1995.
14. In or about late December of 1995, in Miami, Miami-Dade County,
defendants KENNETH WILLIAMS, LEONARD BROWN and LENARD
BROWN delivered cocaine and cocaine base, or “crack” to an individual, a
portion of which was later seized by law enforcement authorities on March
6, 1996.
15. In or about early January of 1996, in Miami, Miami-Dade County, defendant
MALCOLM SHAW delivered approximately one and one-half kilograms of
cocaine to an individual who transported the cocaine to Tallahassee, Florida
for distribution, a portion of which was later seized by law enforcement
authorities on January 7, 1996.
16. In or about early February of 1996, defendant MALCOLM SHAW delivered
approximately two kilograms of cocaine to an individual, which were seized
6
The crimes alleged in the other sixteen counts were linked to the Count 2
by law enforcement authorities on February 7, 1996.
17. In or about early March of 1996, in Miami, Miami-Dade County, defendant
KENNETH WILLIAMS delivered cocaine to an individual who in turn
transported the cocaine to Tallahassee, Florida, a portion of which was later
seized by law enforcement authorities on March 6, 1996.
18. In or about late April of 1996 or early May of 1996, in Miami, Miami-Dade
County, defendant MICHAEL HARPER delivered several kilograms of
cocaine base, or “crack” to an individual who in turn transported the crack
to North Carolina, a portion of which was later seized by law enforcement
authorities on May 3, 1996.
19. On or about May 19, 1996, in Miami, Miami-Dade County, defendants
WAYNE BAPTISTE and ARTHUR PLESS participated in the shooting
death of Moses Brown.
20. On or about November 5, 1996, in Miami, Miami-Dade County, defendant
EFRAIN CASADO participated in the shooting death of Tarvis Miller.
21. In or about mid-March of 1997, in Miami, Miami-Dade County, defendant
ARTHUR PLESS delivered approximately one-half kilogram of cocaine
base, or “crack” to an individual who in turn transported the crack to
Jacksonville, Florida, a portion of which was later seized by law enforcement
authorities on March 18, 1997.
22. On or about May 23, 1997, in Miami, Miami-Dade County, defendants
KENNETH WILLIAMS and EFRAIN CASADO traveled in a stolen car in
possession of high powered assault rifles, ski masks and camouflage clothing
to rob individuals of drugs and money.
23. On or about June 24, 1997, in Hollywood, Broward County, defendant
CHARLTON DARCES applied for a United States passport with DARCES’
picture, but in the name of another individual, to meet with cocaine suppliers
in Panama to facilitate future cocaine importations for eventual distribution
in Miami, Miami-Dade County.
24. On or about September 13, 1997, in Miami, Miami-Dade County, another
individual returned from Panama having met with cocaine suppliers to
facilitate future drug importations into the Port of Miami and Port
Everglades. The individual used the false passport issued to defendant
CHARLTON DARCES on this occasion.
25. On or about February 11, 1998, in Miami, Miami-Dade County, defendants
EFRAIN CASADO, LEONARD BROWN, LENARD BROWN and
JONATHON HAWTHORNE participated in the shooting deaths of Roger
Davis and Tyrone Tarver.
26. On or about February 24, 1998, in Miami, Miami-Dade County, defendants
LEONARD BROWN and LENARD BROWN shot to death John Davis.
7
conspiracy. Count 3 accused Williams and Leonard Brown of a conspiracy to
import cocaine that, according to the government’s evidence, was related to their
drug possession and distribution activities charged by the Count 2 conspiracy.
Counts 4-15 alleged instances of drug distribution during the timeframe of the
Count 2 conspiracy. Count 16 accused six defendants of conspiring to use and
carry a firearm during and in relation to the Count 2 conspiracy. Count 17 accused
Gibson of maintaining a place for manufacturing, distributing, and using cocaine.
Count 1 essentially accused Williams and Casado of masterminding the Count 2
conspiracy, the related importation and firearms conspiracy, and the distribution
charges listed in Counts 3, 4, 6, 8, 9, and 10.
The jury returned guilty verdicts as to all defendants on Counts 1, 2, 3, 4, 6,
8, 9, 10, 11, 12, 14, 15, and 16.4 The defendants appeal from these convictions,
and Williams, Casado, Baptiste, Harper, Malcolm Shaw, Pless, and Hawthorne
also challenge their sentences. We address each of the defendants’ arguments in
turn, grouping them whenever possible to avoid repetition.
II. DISCUSSION
A. Evidentiary Errors
We first address the defendants’ arguments that the district court erred in
4
The government dismissed Counts 5, 7, and 13, during trial. The jury acquitted Gibson on
Count 17. After trial, the government dismissed Count 2 with respect to defendant Casado only.
8
admitting twenty items of evidence in violation of Federal Rules of Evidence 802
(hearsay), 404(b) (other crimes, wrongs, or acts), 701 (lay opinion testimony), and
106 (rule of completeness); the Fifth Amendment right against self-incrimination;
and the Sixth Amendment’s Confrontation Clause. Most of the defendants’ claims
are grounded in Rules 802 and 404(b), and the Confrontation Clause, and
challenge evidence pertaining to violent acts allegedly committed by Williams,
Casado, Leonard Brown, Baptiste, Pless, and Hawthorne.
We review a district court’s evidentiary rulings for abuse of discretion.
United States v. Henderson, 409 F.3d 1293, 1297 (11th Cir. 2005). An abuse of
discretion arises when the district court’s decision rests upon a clearly erroneous
finding of fact, an errant conclusion of law, or an improper application of law to
fact. United States v. Frazier, 387 F.3d 1244, 1276 n.12 (11th Cir. 2004) (en banc)
(Tjoflat, J., specially concurring). We review preserved evidentiary objections for
harmless error. United States v. Hands, 184 F.3d 1322, 1329 (11th Cir. 1999),
corrected by 194 F.3d 1186 (11th Cir. 1999). However, when a party raises a
claim of evidentiary error for the first time on appeal, we review it for plain error
only. United States v. Jernigan, 341 F.3d 1273, 1280 (11th Cir. 2003). Under the
plain error standard, “before an appellate court can correct an error not raised at
trial, there must be (1) error, (2) that is plain, and (3) that affects substantial rights.
If all three conditions are met, an appellate court may then exercise its discretion to
9
notice a forfeited error, but only if (4) the error seriously affects the fairness,
integrity, or public reputation of judicial proceedings.” United States v. Cotton,
535 U.S. 625, 631-32 (2002) (internal quotation marks and citations omitted).
Further, we must review the prejudicial effect of all evidentiary errors,
evaluated under both preserved and plain error standards, in the aggregate. United
States v. Labarbera, 581 F.2d 107, 110 (5th Cir. 1978).5 We will therefore reverse
if the cumulative effect of the errors is prejudicial, even if the prejudice caused by
each individual error was harmless. United States v. Blasco, 702 F.2d 1315, 1329
(11th Cir. 1983) (“A piecemeal review of each incident does not end our inquiry.
We must consider the cumulative effect of these incidents and determine whether,
viewing the trial as a whole, appellants received a fair trial as is their due under our
Constitution.”). For convenience’s sake, therefore, we defer our cumulative
prejudice analysis until the end of this section.
1. Law
a) Hearsay and the Confrontation Clause
The defendants collectively challenge the admission of fifteen items of
evidence on the bases that (1) they were inadmissible hearsay and (2) their
admission violated the Confrontation Clause. Hearsay “is a statement, other than
5
In Bonner v. City of Prichard, 661 F.2d 1206, 1209 (11th Cir. 1981) (en banc), the Eleventh
Circuit adopted as binding precedent all Fifth Circuit decisions handed down prior to the close of
business on September 30, 1981.
10
one made by the declarant while testifying at the trial or hearing, offered in
evidence to prove the truth of the matter asserted.” Fed. R. Evid. 801(c). Hearsay
is inadmissible unless the statement is not hearsay as provided by Rule 801(d), or
falls into one of the hearsay exceptions enumerated in Rules 803, 804, and 807.
Moreover, if hearsay is “testimonial,” that is, for example, “made under
circumstances which would lead an objective witness reasonably to believe that the
statement would be available for use at a later trial,” Crawford v. Washington, 541
U.S. 36, 52 (2004) the Confrontation Clause6 prohibits its admission at trial unless
(1) the declarant is unavailable, and (2) and the defendant has had a prior
opportunity to cross-examine the declarant. See id. at 59, 68. While the Supreme
Court has not clarified which statements are in fact “testimonial” it has provided
some guidance on the term’s meaning. It defined “testimony” as “typically ‘[a]
solemn declaration or affirmation made for the purpose of establishing or proving
some fact.’” Id. at 51 (quoting 1 N. Webster, An American Dictionary of the
English Language (1828)). Thus, “formal statement[s] to government officers” are
generally testimonial. Crawford, 541 U.S. at 51. So is “ex parte in-court
testimony or its functional equivalent – that is, material such as affidavits,
custodial examinations, prior testimony that the defendant was unable to cross-
6
“In all criminal prosecutions, the accused shall enjoy the right … to be confronted with the
witnesses against him.” U.S. Const. amend. VI.
11
examine, or similar pretrial statements that declarants would reasonably expect to
be used prosecutorially.” Id. Similarly, “extrajudicial statements … contained in
formalized testimonial materials, such as affidavits, depositions, prior testimony, or
confessions,” and “statements that were made under circumstances which would
lead an objective witness reasonably to believe that the statement would be
available for use at a later trial,” fall within the “core class” of testimony. Id. at 51-
52.
“Statements taken by police officers in the course of interrogations” are
definitively “testimonial.” Id. at 52. As the Crawford Court used the term
“interrogation” in the “colloquial” and not “technical legal” sense, statements
given in a formal interrogation setting at a police station and witness statements
given to an investigating police officer are both considered “testimonial.” Id. at 53
n.4 (holding that post-Miranda statement “knowingly given in response to
structured police questioning” was testimonial), 58 n.8 (characterizing statement
given by victim to an investigating police officer in White v. Illinois, 502 U.S. 346
(1992), as testimonial); see also United States v. Arnold, 410 F.3d 895, 903-04 (6th
Cir. 2005) (holding that accuser’s 911 call, initial statement to police upon their
arrival at the crime scene, and statements made to police a short time later were
12
testimonial).7
Admission of non-testimonial hearsay against criminal defendants is not
governed by Crawford, but still violates the Confrontation Clause unless the
statement falls within a firmly rooted hearsay exception, or otherwise carries a
particularized guarantee of trustworthiness. Ohio v. Roberts, 448 U.S. 56, 66
(1980).8 A hearsay exception is firmly rooted if, “in light of longstanding judicial
and legislative experience [the exception] rests on such a solid foundation that
admission of virtually any evidence within it comports with the substance of the
constitutional protection.” Lilly v. Virginia, 527 U.S. 116, 126 (1999).
b) Rule 404(b) Evidence of “Other Crimes, Wrongs, or Acts”
All eleven defendants also challenge the district court’s admission of
fourteen instances of “other crimes, wrongs, or acts” under Federal Rule of
Evidence 404(b), much of which implicated them in attempted and consummated
7
We note that Crawford cautions that “[i]nvolvement of government officers in the production
of testimony with an eye toward trial presents unique potential for prosecutorial abuse--a fact
borne out time and again throughout a history with which the Framers were keenly familiar.
This consideration does not evaporate when testimony happens to fall within some broad,
modern hearsay exception, even if that exception might be justifiable in other circumstances.”
Crawford, 541 U.S. at 56 n.7.
8
We note that while Crawford does supercede Roberts insofar as testimonial hearsay is
concerned, the Roberts formulation remains applicable to non-testimonial statements. See United
States v. Franklin, 415 F.3d 537, 546 (6th Cir. 2005) (explaining that with respect to non-
testimonial statements, the Roberts formulation remains the controlling precedent, under which
non-testimonial statements are constitutionally admissible if they “bear independent guarantees
of trustworthiness”); United States v. Saget, 377 F.3d 223, 227 (2d. Cir. 2004) (stating that
“Crawford leaves the Roberts approach untouched with respect to non-testimonial statements”).
13
homicides. Rule 404(b) forbids the admission of any evidence of “other crimes,
wrongs, or acts … to prove the character of a person in order to show action in
conformity therewith.” Fed. R. Evid. 404(b). However, such evidence “may … be
admissible for other purposes, such as proof of motive, opportunity, intent,
preparation, plan, knowledge, identity, or absence of mistake or accident.” Id.
Rule 404(b) is a rule of inclusion. United States v. Perez-Tosta, 36 F.3d 1552,
1562 (11th Cir. 1994) (noting that “[t]he second sentence of rule 404(b) is a rule of
inclusion, and 404(b) evidence, like other relevant evidence, should not lightly be
excluded when it is central to the prosecution’s case”). If the prior act evidence is
relevant to an issue other than the defendant’s character, it may be admissible
provided that the government (1) has sufficient proof that the defendant committed
the prior act, and (2) can show that the probative value of the evidence is not
substantially outweighed by its undue prejudice, and meets the other requirements
of Rule 403. United States v. Miller, 959 F.2d 1535, 1538 (11th Cir. 1992) (en
banc); see also Huddleston v. United States, 485 U.S. 681, 689-92 (1988).9
9
Nevertheless, in this Circuit “evidence of other crimes, wrongs, or acts” falls outside the scope
of Rule 404(b) when it is: “(1) an uncharged offense which arose out of the same transaction or
series of transactions as the charged offense, (2) necessary to complete the story of the crime, or
(3) inextricably intertwined with the evidence regarding the charged offense.” United States v.
Veltmann, 6 F.3d 1483, 1498 (11th Cir. 1993). This so-called “res gestae” often arises during
trials for conspiracies where the “other crimes, wrongs, or acts” describe the co-conspirators’
behavior within the scope and in furtherance of the charged conspiracy. See, e.g., United States
v. Jiminez, 224 F.3d 1243, 1249-50 (11th Cir. 2000); United States v. Ramsdale, 61 F.3d 825,
829-30 (11th Cir. 1995). Although not subject to Rule 404(b), admission of res gestae must still
satisfy Rule 403. United States v. Church, 955 F.2d 688, 700 (11th Cir. 1992).
14
Extrinsic evidence of other crimes, wrongs, or acts is inherently prejudicial
to the defendant. United States v. Beechum, 582 F.2d 898, 910 (5th Cir. 1978) (en
banc). “One of the dangers inherent in the admission of extrinsic offense evidence
is that the jury may convict the defendant not for the offense charged but for the
extrinsic offense.” Id. at 914. Additionally, extrinsic evidence “may lead [the
jury] to conclude that, having committed a crime of the type charged, [the
defendant] is likely to repeat it.” Id. (quotation marks omitted). Either inference
may be inimical to the long-standing rule that propensity to commit crimes should
not be the basis of a conviction.
Moreover, the non-character probity of 404(b) evidence is not absolute, but
rather relative to the other evidence in the proponent’s case. Id. Thus, we have
“generally held that if the extrinsic act requires the same intent as the charged
offenses and if these acts are proximate in time to the charged offenses, then the
extrinsic act is highly probative.” Church, 955 F.2d at 702 (quotation marks
omitted). “In its Rule 403 analysis, the trial court should [also] consider . . . the
probable effectiveness or lack thereof of a limiting instruction.” United States v.
Meester, 762 F.2d 867, 875 (11th Cir. 1985).
The probative value of extrinsic evidence also depends on the strength of the
government’s case concerning the element of intent of the charged crime. The
stronger the government’s case on intent, the less the extrinsic evidence will add.
15
United States v. Pollock, 926 F.2d 1044, 1049 (11th Cir. 1991); Beechum, 582
F.2d at 914. It follows that if intent is undisputed by the defendant, the evidence is
of negligible probative weight compared to its inherent prejudice and is therefore
uniformly inadmissible. Beechum, 582 F.2d at 914-15 (“If the defendant’s intent
is not contested, then the incremental probative value of the extrinsic offense
[offered to prove intent] is inconsequential when compared to its prejudice;
therefore, in this circumstance the evidence is uniformly excluded.”). Finally, we
review the admissibility of evidence under Rule 404(b) for an abuse of discretion.
United States v. Giordano, 261 F.3d 1134, 1140 (11th Cir. 2001).
2. The Defendants’ Evidentiary Claims
Having set forth the relevant legal standards, we first discuss each alleged
evidentiary error to determine whether the district court abused its discretion by
admitting the testimony at issue. Second, in those cases where the district court did
err, we consider whether the errors were sufficiently prejudicial to warrant
reversal.
a) Gary Coley Homicide
At trial, Sergeant Singer of the Miami-Dade Police Department (MDPD)
testified that his investigation of an October 1987 shooting that killed Gary Coley
and wounded Steven Jones and Robert Fitzpatrick “revealed” that Williams was
the gunman. Singer also testified that Steven Jones, who did not testify at trial, had
16
identified Williams as the shooter. Singer added that Williams later pled guilty to
an attempted second-degree murder charge arising from the incident. Defense
counsel lodged timely hearsay and 404(b) objections.10
Singer’s statement about what Jones told him is unquestionably hearsay; it
has no probative value other than to establish that Williams shot Coley, Jones, and
Fitzpatrick.11 Singer’s statements about what his investigation “revealed” are
similarly hearsay; even though they do not explicitly paraphrase the words of
others, the only conceivable explanation for how Singer discovered this
information is through listening to the statements of others. See United States v.
Shiver, 414 F.2d 461, 463 (5th Cir. 1969) (stating that a detective’s testimony that
his investigation “revealed” that a certain car was stolen was “pure hearsay, since
he could not have known the facts of his own knowledge.”). As the statements do
not fall under any of the hearsay exceptions, the district court abused its discretion
in admitting them.
Defense counsel did not, however, lodge a timely Confrontation Clause
10
The district court stated before trial that the objections of one defendant would automatically
be adopted by the other co-defendants, unless a defendant expressly stated that he or she wanted
to “opt out.”
11
Any assertion that this evidence provided “background” for Singer’s testimony about
Williams’ subsequent guilty plea misses the point that the only relevance of Williams’ guilty
plea is to establish that he did in fact attempt to kill Jones and Fitzpatrick. “Background”
evidence of the facts supporting a guilty plea is thus relevant for the same reason the plea itself is
relevant – to prove Williams was the shooter, and is thus more likely to have committed the
charged crimes. That is precisely what Rules 802 and 404(b) forbid.
17
objection,12 and so we review this claim for plain error only. The district court
erred under Crawford by admitting Singer’s statements because: (1) the hearsay
statements, made by accusers to a law enforcement officer in the course of a
criminal investigation, were “testimonial;” and (2) the defendants had no
opportunity to cross-examine the declarants. See Crawford, 541 U.S. at 58 n.8
(characterizing statement given by victim to an investigating police officer at the
scene of the crime in White v. Illinois, 502 U.S. 346 (1992), as “testimonial”).
This error was also “plain.” Error is “plain” when, at the time of appellate
review, it is “obvious” or “clear” under current law, even if the law at the time of
trial was settled to the contrary. Johnson v. United States, 520 U.S. 461, 467-68
(1997). Crawford’s determination that the accuser’s statements to the police in
White v. Illinois were testimonial makes it obvious that admitting Sergeant
Singer’s accounts of the accusers’ statements in the Coley murder into evidence
12
In fact, the defense did not raise Confrontation Clause objections to any of the contested
evidence at trial. Several circuits have held that a hearsay objection does not in itself preserve a
Confrontation Clause objection. United States v. Dukagjini, 326 F.3d 45, 60 (2d Cir. 2003);
United States v. LaHue, 261 F.3d 993, 1009 (10th Cir. 2001) (trial counsel had raised hearsay
objection, but “[w]here a Confrontation Clause objection is not explicitly made below we will
not address the constitutional issue in the absence of a conclusion that it was plain error for the
district court to fail to raise [it] sua sponte”) (quoting United States v. Perez, 989 F.2d 1574,
1582 (10th Cir. 1993) (en banc)); cf. Greer v. Mitchell, 264 F.3d 663, 689 (6th Cir. 2001)
(rejecting defendant's argument that “trial court's ruling on hearsay objections were significant
enough to implicate the Confrontation Clause”). We have held that an objection properly
characterized as either an evidentiary objection or a sufficiency-of-the-evidence objection does
not constitute a constitutional objection for purposes of appellate review. United States v.
Candelario, 240 F.3d 1300, 1304 (11th Cir. 2001). Thus, defense counsels’ hearsay objections
are insufficient to preserve an objection on Confrontation Clause grounds.
18
violated the Confrontation Clause. Thus, the first two elements necessary to satisfy
plain error review are satisfied here. We consider the remaining two elements (i.e.,
whether the error affected the defendant’s substantial rights and whether it
seriously affected the integrity of judicial proceedings) when we later discuss the
prejudicial effect of the district court’s errors.
Moreover, as the defense contended at trial, admission of this extrinsic
evidence also violated Rule 404(b). Although the government argues that this
evidence is relevant to establish Williams’ intent, motive, knowledge, and modus
operandi in the drug-related offenses, we are unpersuaded. The Coley murder is
unrelated to any of the charged drug- or firearm-related crimes,13 and predates both
of the charged conspiracies and the continuing criminal enterprise. Although we
have recognized a connection between narcotics trafficking and violent crime, see,
e.g., United States v. Thomas, 242 F.3d 1028, 1032-33 (11th Cir. 2001) (finding
prior drug sales relevant to show defendant’s motive in felon in possession charge),
the extrinsic evidence must have at least some plausible non-character relevance to
13
We emphatically reject the government’s argument that the defendants’ uncharged criminal
activity is relevant because it tends to show intent, motive, knowledge, and modus operandi to
commit one of the twenty-six “overt acts,” many of them homicides, alleged in furtherance of
the Count 2 conspiracy. As noted supra, the alleged overt acts are not elements of the Count 2
conspiracy because 21 U.S.C. § 846 does not require one. Shabani, 513 U.S. at 13. In other
words, the jury could have convicted all eleven defendants on Count 2 even if it had found that
they did not commit any of the twenty-six overt acts alleged. Just because the government
places those acts in the indictment does not magically make them elements of the conspiracy
crime. In reality, the admissibility of 404(b) evidence stands and falls on the basis of its
relevance to the elements of the charged crime, and nothing else.
19
the charged conduct to be admissible under 404(b). The evidence never specified
what Williams’ intent, motive, or modus operandi was in carrying out the Coley
shootings, and thus this incident is only relevant to show that Williams is more
likely to commit crimes because he has done so in the past, which is exactly the
inference that Rule 404(b) forbids.
Moreover, even if this evidence were relevant to show something other than
action in conformity with past crimes, any such relevance is substantially
outweighed by the evidence’s dramatic prejudicial effect. See United States v.
Sanchez, 722 F.2d 1501, 1507-08 (11th Cir. 1984) (holding testimony that the
defendant, who was charged with conspiracy to import, importation of, and
possession of cocaine, killed two people in furtherance of the conspiracy after he
received a bad cocaine shipment was inadmissible under Rule 403); see also,
Church, 955 F.2d at 702. The district court thus abused its discretion in admitting
this evidence.14
b) Domestic Violence Complaint against Williams
The district court permitted Florida State Trooper Rodney Polite to testify
that he received a complaint from Williams’ girlfriend in 1993 that Williams “had
slapped her and beat her up,” over the hearsay objections of the defense. The
14
The district court did give a 404(b) limiting instruction as to this evidence, but as the evidence
was admitted for an improper purpose, the limiting instruction’s effect on the evidence’s
prejudicial effect is irrelevant to the propriety of its admission.
20
defendants also raise Confrontation Clause and Rule 404(b)15 challenges for the
first time on appeal.
The district court denied the hearsay objection on the basis that the statement
was not offered to prove the truth of the matter asserted. We disagree. The only
conceivable probative value of Polite’s testimony is to establish that Williams did
beat up his girlfriend, and was thus more likely to commit the charged crimes.
And because Polite’s statement clearly does not fall into any hearsay exception, the
district court abused its discretion under Rule 802 in admitting it.
c) Palmetto Expressway Triple Murder
The government introduced evidence, over a hearsay objection, about a
triple homicide committed on March 24, 1995, that it contended was related to
Williams’ and Casado’s drug business. MDPD Detective Juan Capote, who
responded to the homicide that night, testified that four men in a red car had been
shot on the Palmetto Expressway in Miami by bullets from an AK-47 assault rifle.
Three men died; one survived. Capote stated that he later “received information”
from an anonymous caller that indicated that Williams, Casado, and Marvin
Rogers, an associate of Williams, were involved in the shooting, and indicated that
the three victims were “street level narcotics dealers” who had been selling drugs
15
We need not address whether admission of this evidence constituted plain error under the
Confrontation Clause and Rule 404(b), as the testimony was obviously inadmissible hearsay not
subject to any exception.
21
on Roger’s drug turf. He further testified that the survivor of the shooting told him
that Williams and two other men were the gunmen.16
The district court explained that it allowed this testimony because it believed
that the statements were relevant not to prove their truth, but rather to explain how
Capote conducted his investigation.17 We do not understand this reasoning.
Capote’s investigation was not a complex endeavor; he responded to a homicide
call, examined the scene of the crime, and interviewed witnesses. Nothing the
witnesses said shed any additional light on why Capote conducted his investigation
in the manner that he did, nor did Capote’s investigation turn up any evidence
other than eyewitnesses’ statements accusing Williams and Casado of committing
the homicides. Rather, the only relevancy of the witnesses’ statements was to
establish that Williams, Casado, and Rogers did in fact commit the homicides. As
the statements also do not fall into any hearsay exception, the district court clearly
abused its discretion in allowing their admission.
d) 1992 Miami Strip Club Shootout
16
The government also admitted photos of the crime scene into evidence.
17
Statements by out of court witnesses to law enforcement officials may be admitted as non-
hearsay if they are relevant to explain the course of the officials’ subsequent investigative
actions, and the probative value of the evidence’s non-hearsay purpose is not substantially
outweighed by the danger of unfair prejudice caused by the impermissible hearsay use of the
statement. Ryan v. Miller, 303 F.3d 231, 252-53 (2d Cir. 2002); see also United States v.
Valencia, 957 F.2d 1189, 1198 (5th Cir. 1992); United States v. Hawkins, 905 F.2d 1489, 1495
(11th Cir.1990); United States v. Love, 767 F.2d 1052, 1063 (4th Cir. 1985); United States v.
Lubrano, 529 F.2d 633, 637 (2d Cir.1975).
22
MDPD Sergeant Alexander Casas testified that he had responded to a
reported shooting at the Club Rolex, a Miami-area strip club. He found .40 caliber
shell casings, blood, and clothing at the crime scene, but not the victim, who had
already been taken to the hospital. However, he stated that he also learned upon
his arrival that Williams had tried to shoot someone in the parking lot of the club
when his gun jammed, and was shot by his intended victim. Finally, Casas said
that he thought it strange that Williams never talked to the police about the
shooting, because shooting victims are usually cooperative, and opined that the
victim of a shooting would not seek out the police in cases where the victim was
the aggressor. The district court overruled defendants’ hearsay and Rule 701
objections to this testimony.
Casas’ statements about what he learned are unquestionably inadmissible
hearsay, as their only probative value is to establish that Williams had attempted to
shoot someone, and are not covered by a hearsay exception. The district court
abused its discretion under Rule 802 in admitting this evidence.18
e) 1992 Murder of “Ankey”
A witness for the government testified that Williams and Richard Stit killed
18
Appellants argue that Casas’ statements concerning Williams’ failure to speak with the police
about the shooting constitute impermissible lay opinion testimony under Federal Rule of
Evidence 701. Even assuming that the district court abused its discretion in admitting this
evidence, we do not find its admission sufficiently prejudicial either alone or in concert with
other errors to merit reversal of Williams’ conviction, as discussed infra.
23
a member of the rival “Thomas gang” in Virginia, because Williams believed
Thomas gang members responsible for shooting Williams’ business associates.
The defense made no objection to this testimony at trial, but argues on appeal that
its admission violated Rule 404(b).
The “Ankey” murder was committed during the scope of and in furtherance
of the Count 2 conspiracy. It is so closely related to Williams’ participation in the
conspiracy that it must be considered “inextricably intertwined” with the evidence
of the conspiracy, see Veltmann, 6 F.3d at 1498, and is thus not 404(b) evidence.
It also satisfies Rule 403 because it was significantly probative of Williams’ modus
operandi in his drug transaction — using violence to eliminate his competitors and
avenge attacks on his business associates. Admission of this testimony was not an
abuse of discretion.
f) Jetier Homicide
MDPD Officer David Sanchez investigated the 1991 shooting of Willie
Jetier, who was hospitalized for a short while before succumbing to his wounds.
Sanchez testified that he suspected that Casado and Baptiste were the shooters and,
fearing that Jetier would die before having an opportunity to identify the
perpetrators, he brought them to the hospital, where Jetier identified them as the
men who shot him. The defendants objected on hearsay and 404(b) grounds.
Officer Sanchez’s testimony about what Jetier told him is inadmissible
24
hearsay. Its only probative value was to establish that Casado and Baptiste were
the shooters, and did not explain any independently relevant aspect of Sanchez’s
investigation. Nor does it fall under a hearsay exception.19 Its admission was thus
a clear abuse of discretion.
Finally, Sanchez’ testimony is extrinsic evidence under Rule 404(b), as it is
not an uncharged offense which arose out of the same transaction or series of
transactions as the charged offenses, necessary to complete the story of the charged
crimes, nor inextricably intertwined with the evidence regarding the charged
offenses. Moreover, it is only relevant to prove Casado’s and Baptiste’s bad
character and to show their action in conformity therewith, which Rule 404(b)
clearly prohibits. It was thus an abuse of discretion to admit it into evidence.
g) Amoco Double Murder
MDPD Detective Jeff Lewis testified about his investigation of the murder
of Roger Davis and Tyrone Tarver at an Amoco station on February 11, 1998.
Although he did not witness the shootings, Lewis told the jury that eyewitnesses
had told him the following during his investigation:
Davis and Tarver arrived at the Amoco station at about the same time, in
19
The statement was not excepted from the general prohibition against hearsay as a “dying
declaration” under Rule 804(b)(2) because the government produced no evidence establishing
that Jetier made his statement “believing that [his] death was imminent.” Nor is it classified as a
non-hearsay statement of identification under Rule 801(d)(1)(C), because Jetier did not testify at
the trial and was not subject to cross-examination concerning that statement.
25
separate cars. Shortly thereafter, a blue-green Nissan Altima drove into the station
after them. Two men clothed in camouflage, ski masks, and bulletproof vests
exited the car toting AK-47s and began shooting at the two men.
Davis and Tarver fled their assailants, but to no avail. The gunmen hunted
Davis down near a fence, and shot him while he was apparently trying to surrender.
After Davis collapsed, the shooter pressed the gun barrel to his head and shot him
again. Tarver, on the other hand, was gunned down as he fled across the street, but
did not die immediately. Instead, he lay on the road, crying out in agony that “it
burned.” 20 At the scene of the crime, Lewis found 43 spent AK-47 shell casings on
the ground, in locations indicating that the gunmen tracked their victims across the
Amoco station premises as they fired. One-and-a-half blocks away, police also
recovered the Nissan Altima, and found two AK-47 assault rifles, four ski masks, a
“skully,”21 and some tools that Lewis opined had been used to start the vehicle,
which had been reported stolen. Police also discovered that the stolen car’s owner
had his or her cellular telephone taken along with the car. A call made from that
phone after the theft had occurred was traced to the girlfriend of Corey “Fish
Grease” Murcherson, an associate of Williams.
Lewis then stated that another “source” informed him that a rented white
20
At this time the government admitted graphic photographs of the crime scene.
21
Witnesses described a “skully” as a knit stocking cap.
26
Toyota Camry had also been involved in the Amoco shooting. The car was traced
to a Miami rental outlet. The rental paperwork listed one Richard Stit as a driver,
who, Lewis told the court, the United States Attorney’s Norfolk office identified as
an “enforcer” for Williams. Police later located the Camry, which had been
destroyed by fire.
Lewis continued, stating that unnamed witnesses identified one passenger in
the Altima as a heavyset black male, over 6' tall, with long, flowing dreadlocks,
and the driver as a shorter black male with a medium build. He said that another
eyewitness, Mario Frazier, told him that the car’s driver was Casado.22 He also
detailed the contents of a Miami Herald article, admitted into evidence, describing
one gunman as a 25-30 year-old, 250-lb black male, 5' 9" to 6' tall, with a light
complexion, and a long haircut — a description somewhat consistent with photos
of a man Lewis identified as Hawthorne. It described the other gunman as a 20-25
year-old, 160-175lb black male, 5' 9" - 6' tall, with a light complexion and Afro
haircut. Hawthorne’s involvement, Lewis also testified, was corroborated by an
interview he had with a prisoner, Kevin Bovian. Bovian allegedly told Lewis that
Hawthorne said he was the driver of the rental car, that he cut his dreadlocks after
the press coverage describing the gunmen, and that the shooting was in retaliation
for a shooting in which Hawthorne was wounded the month before.
22
Casado is a Hispanic male.
27
According to Lewis, Jesus Wilson also told him that he saw Leonard and
Lenard Brown inside the Altima. Wilson claimed that the Altima had been hidden
at the house of a Williams’ associate, earlier on the day of the shooting, along with
the bulletproof vests and AK-47s Wilson said were used to kill Davis and Tarver.
Lewis said that Wilson told him that the twins asked him to buy dark, full-face ski
masks for them, because they did not want to draw attention to themselves by
making such a purchase. However, Wilson contradicted Bovian’s statement that
Hawthorne was a gunman, telling Lewis instead that the twins killed Davis and
Tarver. Lewis concluded by opining to the court that “based on his investigation,”
he thought that the Amoco murders were the result of a turf war between the
“Boobie boys” and a rival gang called “Vonda’s gang.”
Finally, Lewis told the court that Williams’ friend and associate Corey
Murcherson, was killed shortly after the Amoco double murder in which he had
allegedly participated. Lewis testified that he believed Williams and Brown
thought Murcheson was a liability after the Amoco murder and sought to have him
killed. Lewis’ speculation about Williams’ motives became more convincing after
Murcherson’s former lawyer, Karen Mills-Francis, testified for the defense that on
November 16, 2005, Murcherson admitted to her that he was in fact a gunman in
the Amoco murders. The defendants raised a hearsay objection to this evidence at
trial, but also argue for the first time on appeal that its admission violated Rule
28
404(b).
Lewis’ recollection of what eyewitnesses told him about the murder is
inadmissible hearsay, as are his statements about what Bovian and Wilson told
him. They were offered to establish their truth — who killed Davis and Tarver,
and how — and do not fall into any hearsay exception. The district court thus
abused its discretion in allowing this testimony.
The Miami Herald articles are also inadmissible hearsay, as they are relevant
primarily to establish the truth of their contents — the identity of the gunmen.23
The articles might be permissible for the non-hearsay purpose of establishing that
the descriptions of the gunmen had been made public, but in the absence of any
non-hearsay evidence concerning the description of the gunmen, the prejudice
stemming from the hearsay use of the evidence substantially outweighs the
articles’ probative value to establish the murders’ publicity. Thus, their admission
constitutes an abuse of discretion under Rule 802.
Lewis’ statement about the white Camry, on the other hand, was not hearsay
because it was probative to establish why he procured the car’s paperwork, and
was properly admitted. Nonetheless, his account of what the U.S. Attorney’s
office told him about Richard Stit was offered to prove the truth of its contents, and
23
In fact, the articles are likely a reporter’s account of what eyewitnesses reported; in other
words, double hearsay forbidden by Rule 805.
29
is inadmissible hearsay, the allowance of which was an abuse of discretion.
Finally, the entire testimony concerning the Amoco murders and
Murcherson’s murder plainly violates Rule 404(b).24 All three killings occurred
outside the temporal scope of all of the charged crimes, including the Count 2
conspiracy, and there is hardly any evidence, beyond Detective Lewis’ rank
speculation, linking the shootings to any of the charges in the indictment. Its only
real probative value is to establish the criminal propensities of those involved.
And even if this evidence did have some probative worth, the details of the Amoco
double homicide are so chilling that its prejudicial impact substantially outweighs
any such probative value. The admission of this evidence thus constitutes error
that is plain.25 See United States v. Lejarde-Rada, 319 F.3d 1288, 1291 (11th Cir.
2003) (“It is the law of this circuit that, at least where the explicit language of a
statute or rule does not specifically resolve an issue, there can be no plain error
where there is no precedent from the Supreme Court or this Court directly
resolving it.”); United States v. Gore, 298 F.3d 322, 324-25 (5th Cir. 2002)
(holding that error was “plain” when the district court’s ruling was obviously
24
We address here only the first two elements of plain error review: (1) admission of the
testimony concerning the Amoco murders was error under Rule 404(b); (2) that error is now
plain. We address the remaining two elements in our discussion of the prejudicial effect of the
district court’s errors.
25
As noted above, we reserve our discussion of the remaining two elements of plain error review
(i.e., the impact the evidence had on the defendants’ substantial rights and on the integrity of
judicial proceedings) as part of our prejudice discussion, infra.
30
contrary to the text of a federal statute).
In sum, admission of this evidence was an abuse of discretion under Rule
802, and represented an error that was plain under Rule 404(b).26
h) Benny Brownlee Murder
The government’s case accused Williams and other unnamed individuals of
the 1994 murder of Benny Brownlee, allegedly carried out in retaliation for the
murder of Williams’ associate and friend Gary Dukes. Dukes was killed in a
drive-by shooting while at a barbershop run by Jesus Wilson, a drug dealer and
barber who bought cocaine from Williams and Harper. Johnny Hankins, a
Williams associate who was also shot in the drive-by, testified that Williams told
him that Williams and Marvin Rogers avenged Dukes’ murder by killing a member
of the Thomas gang, and that Harper had driven the car they used in committing
the murder.
The government alleged that this member of the Thomas gang was Benny
Brownlee, who was killed hours after the Dukes killing.27 The MDPD detective
who had responded to the Brownlee homicide, Gus Borges, gave a detailed account
26
Although Lewis’ statements about the white Camry and his statements about what he observed
at the scene of the crime were not hearsay, these statements would have been nonsensical and
irrelevant under Rule 401 if considered separately from the inadmissible hearsay, and thus the
jury never would have been permitted to hear them out of context. Moreover, admission of these
statements still plainly violated Rule 404(b).
27
Photos of Brownlee’s body were admitted into evidence over objection.
31
of the killing on the basis of statements he took from three eyewitnesses. He said
that he learned from one eyewitness, Marlin Randal, that men in a beige Honda
shot Brownlee as he fled from his attackers. Randal then reportedly said that
Brownlee fell “on the ground and defenseless, [and] two subjects walked up to him
and continued shooting him.” This commentary, Borges stated, was confirmed by
two security guards present at the shooting. Moreover, he testified that the doctor
who performed Brownlee’s autopsy classified the death as a homicide. There was
no evidence that these three eyewitnesses were unavailable to testify at trial.
Borges also found a beeper at the Brownlee crime scene that had telephone
numbers from received calls stored in its memory. Police called the stored
numbers and stated that the persons who answered the phone told him that they had
paged the beeper trying to reach Marvin Rogers. Borges further testified that he
“learned” that Marvin Rogers was part of a “group operating in the Carol City
area” known as the primary street-level drug dealers in that area. He concluded by
telling the jury that Williams, Rogers, Raye, and Bernard Shaw emerged as
primary suspects in the slaying, but that there was never sufficient evidence to
arrest anyone for the crime. The defense raised a hearsay objection to this
evidence at trial.
Although Borges’ testimony about the recovered beeper and the numbers it
contained remain unobjectionable, Borges’ testimony about what others told him
32
or about what he had “learned” in the course of his investigation is only relevant to
establish its truth, that Williams, Rogers, Raye, and Bernard Shaw killed Benny
Brownlee. The fact that it explains what Borges did in the course of his
investigation is immaterial, because Borges’ investigation is only relevant to prove
the very same impermissible thing — that these men in fact killed Benny
Brownlee. Likewise, Borges’ testimony that Williams, Rogers, Raye and Bernard
Shaw emerged as the primary suspects in the shooting itself remains inadmissible
hearsay, as it is founded on the hearsay statements of others. The statements are
therefore hearsay, and because they do not fall into any hearsay exception, the
district court abused its discretion in admitting them.
i) Fatso and Hollywood Murders
About one month after the Brownlee homicide, two more Thomas gang
members were murdered: Walter “Fatso” Betterson and Derrick “Hollywood”
Harris. Betterson’s mother and Harris’ father both testified that their children had
told them shortly before they were shot that they were having problems with
Williams and feared that Williams was going to kill them.
However, the government introduced other non-hearsay evidence at trial
linking Williams and Casado with the murders. Williams’ friend and associate
Johnny Hankins testified that Williams told him that Betterson and Harris had
killed a witness to the Dukes murder, and that Williams, Casado, and Marvin
33
Rogers had killed them in revenge. Hankins’ testimony was corroborated by
Betterson’s neighbor Johnny Hampton. Hampton testified that he saw a Chevrolet
Impala chase Betterson’s car into his neighborhood. Betterson’s car crashed into a
pole on the side of the road near his house, and the Impala pulled up alongside it.
Someone inside Betterson’s car got out and ran, pursued by an occupant of the
Impala. Immediately afterwards, three men arrived in a Delta ‘88. Two
passengers emerged, fired shots into Betterson’s automobile, and then fled the
scene in the Delta. Minutes later, Hampton approached Betterson’s car and saw
two bodies in the car, later identified as Harris and Betterson. Hampton further
identified Williams and Leonard Brown as two of the shooters from the Delta ‘88.
The defendants raised a hearsay objection at trial, and also raise a Rule 404(b)
challenge for the first time on appeal.
The parents’ statements about what their children told them are hearsay, but
are excepted as present sense impressions under Rule 803(1) or as statements
expressing then-existing mental, emotional, or physical condition under Rule
803(3). The district court thus did not abuse its discretion in allowing this
testimony.
Moreover, the parents’ testimony is not 404(b) evidence because it is
inextricably intertwined with the evidence regarding the charged offense. See
Veltmann, 6 F.3d at 1498. Evidence at trial tied these murders to Williams’ feud
34
with the rival Thomas gang and the Thomas gang’s murder of Gary Dukes, which
in turn was part of the prosecution’s case against the defendants in the Count 2
conspiracy. Moreover, it satisfies Rule 403 because it is significantly probative of
the defendants’ modus operandi in their drug business. The admission of this
testimony was thus not error under Rule 404(b), much less plain error.
j) Colors Apartment Triple Murders
Detective Simmons’ testimony also linked Pless to the 1995 triple murder of
Otis Green, Green’s girlfriend Alicia, and Alicia’s five-year-old son Mikie, at the
Colors Apartment complex in Miami. Green was a small-time drug dealer who
sold at the Colors complex, which was considered his “spot.” However, Pless also
sold drugs there, as did David Pagan, Pless’s supplier and an associate of Casado.
Witnesses testified that a dispute had arisen between Pagan and Green, and that
Pagan had put a hit out on him. Pagan himself testified that Pless had engaged in a
shootout with Green’s workers at the Colors complex a few months before the
murders.
Brian Gibson, a Colors resident who was with Green, Alicia, and Mikie at
the time of the shooting, testified that they were parked near the Colors complex
when men in ski masks approached the car with large guns and opened fire, killing
everyone but him. He also stated that earlier that night he had seen Casado and
Baptiste around the Colors complex, and had seen Pless’s truck nearby.
35
Detective Simmons testified that he learned from Anthony Brantley that
Pless, Casado, and Johnson had planned and carried out the murders. Brantley
ostensibly told Simmons that Pless solicited him to drive the getaway car.
Simmons stated that Brantley said he met Pless and Johnson at Casado’s
warehouse, where they retrieved a stolen car and equipped themselves with assault
weapons, dark clothes, and bulletproof vests, and then carried out the killings while
Casado watched from a distance.
The government also introduced into evidence a photo of a tattoo Pless had
depicting a young boy praying over a crucifix-shaped tombstone engraved with the
letters “RIP” that read, “Dear God Can You Save Me.” Simmons said that Pless
had told him he got this tattoo after the Colors murders to deflect suspicion that he
had been involved.
The defendants did not raise an objection to this testimony at trial, but now
argue that admission of Anthony Brantley’s statements violated Rule 802 and the
Confrontation Clause. Admission of the statements did plainly violate the hearsay
rule.28 Simmons’ testimony was clearly admitted for its truth, and concerns
statements Brantley made in the course of a police interrogation — in this case, an
28
Because we determine that this testimony was inadmissible hearsay, we need not reach
defendants’ alternative argument that the testimony violated their rights under the Confrontation
Clause.
36
interview with Detective Simmons as part of a criminal investigation.29
However, it is apparent from the record that counsel for Arthur Pless invited
this error while attempting to undermine the credibility of Simmons’ investigation.
During cross-examination, Pless’s attorney asked Simmons whether Brantley was
among the “quality people” that Simmons had relied on in his investigation of the
murders and subsequent questioning of Pless:
Q: And Anthony Brantley, Cedrick’s brother, that’s the word of
another person upon whom you were getting ready to interrogate my client
to determine if he was going to incriminate himself in the triple homicide
over there in the Colors apartments of Otis Green, his girlfriend, and
Michael Frazier, correct?
A: What was the first part of your question?
Q: Anthony Brantley is the person upon whom you are relying
for your information that you got before my client surrendered
and you started talking to him about that homicide?
A: In part. Anthony Brantley was a young man recruited by
Efrain Casado, Arthur Pless and Benjamin Johnson to drive a
vehicle. He was the getaway driver in the Colors apartments
complex in which the little boy was killed along with his
mother. He drove the vehicle and provided sworn testimony
before the grand jury which was corroborated in every respect
through our investigation, and others. It was not totally based
on one person’s testimony, sir.
29
Although the available record is essentially silent as to the details of Brantley’s “interview,”
his involvement in the murders and the confessional nature of his statements indicates that the
questioning was likely more than casual. Moreover, in examining Simmons at trial, counsel for
both the defense and the government emphasized the overlap between the interview statements
and Brantley’s “sworn” (i.e. grand jury) statements, for which Brantley was granted immunity
from prosecution.
37
Q: And Anthony Brantley didn’t get arrested or charged with it
even though he claimed to you under sworn testimony that he
was the driver, that he was taking him to and from a hit where
these people were killed. He wasn’t arrested and charged or
indicted downtown to stand trial for first degree murder and
look at death in the electric chair or a lethal injection now, was
he?
A: No, sir.
Counsel also noted that Anthony Brantley had recently been released from jail.
On re-direct examination, Detective Simmons related that Anthony Brantley
had spoken to him in the course of the investigation, and had testified before a
grand jury, both times describing his involvement in the Colors murders.
According to Simmons, Anthony Brantley had confessed that he was recruited by
Casado to assist in the murder of Otis Green, and had driven the car from which
Johnson and Pless emerged before committing the murders, and in which Casado,
Baptiste, Johnson and Pless apparently escaped after the murders.
“[I]t is a cardinal rule of appellate review that a party may not challenge as
error a ruling or other trial proceeding invited by that party. The doctrine of invited
error is implicated when a party induces or invites the district court into making an
error. Where invited error exists, it precludes a court from invoking the plain error
rule and reversing.” United States v. Silvestri, 409 F.3d 1311, 1327 (11th Cir.
2005) (citations and internal quotation marks omitted); United States v. Martinez,
38
604 F.2d 361, 366 (5th Cir. 1979) (“The accepted rule is that where injection of
allegedly inadmissible evidence is attributable to the action of the defense, its
introduction does not constitute reversible error .”) (quoting United States v.
Doran, 564 F.2d 1176, 1177 (5th Cir. 1977)). Moreover, a defendant can “invite”
non-responsive testimony when he insists on pursuing a line of questioning after it
becomes apparent that further cross-examination will elicit potentially damaging
testimony, and fails to object to the non-responsive answer when it is given. See
id. (finding non-responsive testimony invited when counsel “pursued his
questioning until he dragged the prejudicial statements out of the witness”).
It can be fairly said that Pless’s counsel elicited the Anthony Brantley
testimony from Simmons on cross. Pless’s counsel specifically referred to “sworn
testimony” in which Brantley supposedly stated that “he was the driver, that he was
taking him [Pless] to and from a hit where these people were killed.” He also did
not object when Simmons gave his non-responsive answer. The re-direct
testimony merely elaborated on Simmons’ response to this question, which
presented the basic outline of the Brantley statement. Thus, Pless cannot now
complain about the district court’s error.
However, the other defendants may still fairly object to the introduction of
this testimony on appeal, as the errors of Pless’s counsel are not their own, and
they in no way were responsible for Simmons’ testimony on cross. Moreover, any
39
objection that they could have made on redirect was foreclosed, as the prosecutor
was entitled to elaborate on the information yielded in cross. However, because
they raised no objection at the trial court, their claims are subject only to review for
plain error. Simmons’ testimony that Brantley told him that Casado and Johnson
carried out the murders was inadmissible hearsay. That error satisfies the first two
prongs of the plain error test. We reserve our discussion of the remaining two
prongs for our discussion of prejudice.
k) Johnny Belliard Murder
The government’s case also connected Pless to the murder of Johnny
Belliard, a drug dealer who had been threatening to steal money and drugs from
Pless. MDPD Detective David Simmons told the jury that he worked on a task
force investigating homicides “that was [sic] committed by members of the Boobie
boys.” He testified that Cedric Brantley, an associate of Pless’s who sold drugs for
him in Pensacola, told him in a prison interview that Pless and Casado hired
Brantley’s brother Anthony to kill Belliard.30
The defense did not object to this testimony at trial but now argues that
admission of the statements violated Rule 802 and the Confrontation Clause. We
30
Simmons’ testimony was confirmed by Cedric himself, who testified on Pless’s behalf and
stated that Casado and Baptiste were nearby when Pless solicited Anthony to carry out the
murder. Cedric also testified that his brother told him that after killing Belliard, Anthony
returned to Casado’s warehouse where he met up with Casado and Johnson.
40
therefore review the district court’s decision for plain error only.31 The statements
are plainly hearsay; they were made by an out-of-court declarant and their only
probative value is for their truth. In sum, admission of this evidence violated Rule
802; that error is now plain.32
l) 1997 Car Chase and Robert Sawyer Shooting
Robert Sawyer was a drug dealer whose business interests sometimes
conflicted with Williams’ and Casado’s. At trial, Jesus Wilson testified that
Sawyer had threatened to kill both Williams and Casado over a drug dispute, and
that Casado had returned the threat. Later, Sawyer shot, but did not kill, Casado
outside Casado’s house. Wilson also testified that he, Williams, and others had
learned that Sawyer had killed Marvin Rogers, Williams’ associate who had
participated in the clashes with the Thomas gang. In response, Williams placed a
price on Sawyer’s life.
Officer Ariel Saud testified that on March 23, 1997, he had attempted to stop
a black Honda in the Overtown section of Miami. The car fled, prompting a car
31
The government asserts that this error, like admission of Simmons’ testimony about Pless and
Johnson’s involvement in the Colors triple murder, was invited. However, it does not appear that
Pless’s counsel introduced the content of the objectionable statement itself, and did not invite the
particular error of which Pless now complains.
32
We reserve discussion of the remaining two elements of plain error review for our discussion
of prejudice. Moreover, because admission of this testimony was error that was plain under Rule
802, we need not address defendants’ additional argument that this testimony was plain error
under the Confrontation Clause.
41
chase. Saud testified that he saw weapons being tossed from the car, and that
eventually the occupants of the car fled on foot. Saud and fellow Officers Miguel
Rodriguez, Steven Walthen, and David Sanchez testified that they pursued the
fleeing suspects and eventually captured Williams, Casado, and James Deleveaux,
a Williams associate.33 The police found Williams behind a woodpile, and Casado
and Deleveaux in the shower of a nearby residence.34 The officers testified that the
owners of the properties where the three men were found said that they did not
have permission to be there. Various weapons, including assault rifles, as well as
camouflage clothing and armored vests were recovered from the scene. Rene
Texidor, Casado’s friend, testified that Williams, Casado, and Deleveaux had been
on their way to kill Sawyer when they were captured.
Jesus Wilson also testified that in February 1998, he had been in an
apartment with Williams, Casado, Lenard Brown, Roshawn Davis, and others, who
had assembled weapons and were planning to kill Sawyer. Later, Wilson said,
Lenard Brown and Roshawn Davis told him that Lenard, Williams, and Casado
had shot Sawyer from their car while traveling next to him on the highway, but that
Sawyer survived. The defense raised hearsay and 404(b) objections to this
33
Officer Sanchez also testified that he recognized Casado from when he had arrested him for
the Jetier shooting in 1991.
34
Williams was arrested on charges of grand theft auto, fleeing to elude a police officer, and
resisting arrest.
42
evidence at trial.
Wilson’s statements relating what Lenard Brown and Roshawn Davis told
him are not hearsay because under Rule 801(d)(2)(E) they are co-conspirator
statements made during the course and in furtherance of the Count 2 drug
conspiracy. However, the officers’ testimony about statements made by the
owners of the properties where Williams, Casado, and Delevaux were found are
hearsay, and do not fall into a hearsay exception. Their admission therefore was an
abuse of discretion. However, their admission did not violate the Confrontation
Clause. The statements were not “testimonial” under Crawford because there is
insufficient evidence to say that they were accusatory in nature. There is no
indication as to whether the declarants knew that their statements would be used at
trial later. Roberts therefore governs their admission. Because the details of the
surrounding testimony make it almost impossible for the owners’ statements to
have been false, the statements carry a particularized guarantee of trustworthiness,
and their admission does not violate the Confrontation Clause.
Finally, we need not analyze whether admission of this evidence violated
404(b) because none of it is “extrinsic.” It clearly concerns an “uncharged offense
which arose out of the same transaction or series of transactions as the charged
offense.” See Veltmann, 6 F.3d at 1498. The dispute with Sawyer arose out of the
defendants’ involvement in the Count 2 drug conspiracy. Moreover, the testimony
43
does not pose a significant enough risk of unfair prejudice to substantially
outweigh its probative value in demonstrating the modus operandi of the
defendants’ drug business. Its admission was thus not an abuse of discretion.
In sum, only admission of the statements by the property owners that
Williams and Casado lacked permission to be on their land was an abuse of
discretion under Rule 802.
m) 1997 Armed Robbery
MDPD Officer Steven Waltham and Detective David Richards testified that
a stolen ATM card and checkbook were found in the black Honda used by
Williams, Casado, and Delevaux in the March 23, 1997 car chase. Detective
Richards stated that several months earlier, the owner of the ATM card and
checkbook had reported that she had those items stolen from her at gunpoint, by
someone she later identified in a photographic lineup as Williams.
The district court allowed this testimony over a hearsay objection, believing
that it was not hearsay because it was a statement of identification. Rule
801(d)(1)(C) does state that statements of “identification of a person made after
perceiving the person” are not hearsay, but only if the declarant testifies at trial and
is subject to cross examination concerning the statement. See, e.g., United States
v. Brewer, 36 F.3d 266, 271 (2d. Cir. 1994) (“Under Rule 801(d)(1)(C), a
statement of prior identification may be received in evidence only if the declarant
44
testifies at trial and is subject to cross-examination concerning the prior
identification.”) (internal quotation marks omitted). The victim of the theft never
testified at trial, so the testimony is hearsay. Since no hearsay exception applies,
its admission was an abuse of discretion.
n) Everett Cooper Murder
The government’s case accused Pless and Casado of killing small-time drug
dealer Everett Cooper (a.k.a. “Charlie Paul”) in September 1994. Cooper dealt
drugs at the Silver Blue Lakes apartment complex in Miami, where Pless also sold
cocaine. Detective Michael Malott, who investigated the murder, stated that
eyewitnesses told him that a man got out of a Lincoln Town Car and shot Cooper
with a chrome revolver. Malott further stated that Casado “had been known” to
drive a blue Town Car, and that shell casings found at the scene matched those
found at the scene of the Colors triple murder.35 The defense lodged a hearsay
objection at trial, and also raises a 404(b) challenge for the first time on appeal.
Malott’s testimony about what eyewitnesses told him and about what
Casado “had been known” to do is inadmissible hearsay because it is only relevant
for its truth — to establish that Casado and Pless were responsible for Cooper’s
death. As no hearsay exceptions apply, admission of this testimony was an abuse
35
A bloody photo of Cooper’s body was also admitted into evidence. However, Malott’s
testimony was bolstered by David Pagan, who testified that Pless admitted to killing Cooper.
45
of discretion.
However, admission of Malott’s testimony did not violate Rule 404(b),
much less constitute plain error, because like the government’s evidence
concerning the “Ankey” murder, evidence that Pless and Casado killed a rival drug
dealer during the scope of the Count 2 conspiracy is inextricably intertwined with
the evidence of their involvement in that conspiracy. See Veltmann, 6 F.3d at
1498. And although the evidence is certainly prejudicial, it still satisfies Rule 403
because the danger of unfair prejudice does not substantially outweigh its
significant probative value in establishing Pless’s involvement in the Count 2 drug
conspiracy.
o) America’s Most Wanted/Crimestoppers
Deputy U.S. Marshal Michael Moran testified that Williams had appeared on
the television programs Crimestoppers and America’s Most Wanted around 1998.
The defense made an objection at trial based on hearsay, and Rules 403 and 404(b).
Although the government offered this testimony to provide background on
Williams’ status as a fugitive, it is nonetheless inadmissible hearsay. The only
relevance of the testimony is to show that Williams was, in fact, wanted by law
enforcement. As it falls under none of the hearsay exceptions, it was an abuse of
discretion to admit it into evidence.
Finally, although this evidence may be “inextricably intertwined with the
46
evidence regarding the charged offense” since it demonstrates that Williams was
trying to elude capture for the charged offenses and thus tends to show his
cognizance of his own guilt, see People v. Slater, 268 A.D.2d 260, 260 (N.Y. App.
Div. 2000), it does not satisfy Rule 403 in this case.36 While this evidence has
virtually no probative value, it is incredibly and unfairly prejudicial – essentially
telling the jurors to believe that Williams is guilty of the charged offenses because
he appeared on two well-known television programs featuring individuals that
police consider responsible for committing crimes.37 See Ford v. Curtis, 277 F.3d
806, 811 (6th Cir. 2002) (finding “references to the F.B.I’s Ten Most Wanted List
and to America’s Most Wanted” in the government’s case constituted 404(b)
evidence that was “of nominal relevance and prejudicial”); Wilding v. State, 674
So. 2d 114, 119 (Fla. 1996), overruled on other grounds by Devoney v. State, 717
So. 2d 501 (Fla. 1998) (“The fact that [the defendant] was the subject of [the]
widely viewed television program [America’s Most Wanted] clearly was irrelevant
and highly prejudicial.”). Permitting the admission of this evidence was thus an
abuse of discretion.
p) 1997 Staged Drug Rip-Off
36
Even though inextricably intertwined evidence is not subject to Rule 404(b), it must still
satisfy Rule 403. Church, 955 F.2d at 700.
37
America’s Most Wanted is “a nationally syndicated television show that profiles unsolved
crimes and solicits assistance from the public in identifying and tracking down the suspects
portrayed on its episodes.” United States v. Henderson, 241 F.3d 638, 642 (9th Cir. 2000).
47
Government witnesses testified that defendant Baker, an MDPD officer, had
been hired by Williams, Shaw, and Harper to steal drugs and money from their
customers. MDPD officers also testified that Baker participated in an unrelated
drug rip-off for a different drug dealer in 1997 that had been staged by the
MDPD’s Internal Affairs Department. In particular, Detective Joe Gross, who
supervised a surveillance operation against Baker, testified as to what other officers
who were watching Baker told him over police radio about Baker’s actions. The
defense made a hearsay objection to Gross’ testimony at trial, and raises a 404(b)
challenge to its admission for the first time on appeal.
We need not reach the defendants’ 404(b) contentions, as Gross’ statements
were inadmissible hearsay. Although they were relevant to explain how Gross
conducted his sting operation, their primary probative value was to prove that
Baker was accepting money in return for helping drug dealers rip off their
customers. The testimony does not fall into any hearsay exception, and thus its
admission was an abuse of discretion.
q) Threats Made By Williams, Baptiste, and Brown to Witnesses in Holding
Cells
Errol Sawyer, an acquaintance of many of the defendants, testified for the
government that Leonard Brown, Baptiste, Shaw, and Williams threatened him
while he was in a holding cell waiting to testify. Sawyer said that Brown told him
48
that “black grease-ass kid’s mother is sitting over there [in the courtroom] with his
kid” and to “be careful about your son ‘cause we’re going to get him on the streets
and [fuck] him.” He said that Shaw asked him why he let the “white people” make
him start talking, that Williams made “sly remarks,” and that both said, “You ain’t
going to get forty years off of me.” Witness Reggie White testified that he also
overheard Williams and Brown make threatening remarks to Sawyer. The defense
objected to this testimony on Rule 404(b) grounds.38
Although prejudicial, “[c]ourts may consider evidence of threats to
witnesses as relevant in showing consciousness of guilt” under Rule 404(b).
United States v. Gonzalez, 703 F.2d 1222, 1223 (11th Cir. 1983). However,
“[b]ecause the potential prejudice from death threats may be great, the government
must have an important purpose for introducing the evidence in order to satisfy the
38
As an initial matter, we note that these threats are not acts committed in the course and in
furtherance of the charged conspiracies, such that they would be admissible against all of the
defendants. We cannot infer from the threats that a subsidiary conspiracy to injure Sawyer, his
friends or his family or to prevent Sawyer from testifying was consummated over two years after
the underlining criminal enterprise was dissolved. See generally United States v. Magluta, 418
F.3d 1166, 1178-79 (11th Cir. 2005) (“Acts of covering up, even though done in the context of a
mutually understood need for secrecy, cannot themselves constitute proof that concealment of
the crime after its commission was part of the initial agreement among the conspirators.”)
(quoting Grunewald v. United States, 353 U.S. 391, 402 (1957)). Pursuant to the Third
Superseding Indictment, the conspiracies charged in Counts 1, 2, 3, and 16 continued through
January 1998, while the alleged threats occurred on March 1, 2000. Moreover, evidence did not
support the proposition that the original conspiracy included a "subsidiary conspiracy" to injure
Sawyer, his friends or his family or to prevent Sawyer from testifying two years after the
conclusion of the original conspiracy. See Magluta, 418 F.3d at 1179. Accordingly, the threats
were not in furtherance of the underlining conspiracy.
49
balancing test of Rule 403.” Id. (internal citation omitted). We have held that a
trial court did not abuse its discretion when it allowed a government informant to
testify in a multi-defendant trial that one defendant threatened his life two weeks
before trial, when the court had given a limiting instruction to the jury to consider
the testimony only with respect to the defendant who had made the threat. Id.
Although we realize that the district court has wide discretion in admitting
evidence, id. at 1224, it is clear to us that the district court abused that discretion in
allowing the evidence of the threats in this case, to the extent that it refused to give
such a limiting instruction to the jury commanding them to only consider the
evidence against Shaw, Williams, Leonard Brown, and Baptiste, in light of the
extreme prejudice that such evidence can create with respect to other co-
defendants. See id. at 1223-24 (presence of limiting instruction important in
determination that district court did not abuse its discretion in admitting this
evidence with respect to the defendants that did not make threats).
The district court therefore abused its discretion in admitting this evidence as
to Casado, Harper, Pless, Johnson, Hawthorne, Gibson, and Baker. As to the four
defendants that actually made the threats, whether admission of this testimony was
proper remains a close call, but we ultimately conclude that the district court did
not abuse its discretion in admitting it as to Williams, Shaw, Baptiste, and Leonard
50
Brown.
r) Gibson’s 1980s Drug Sales
Several government witnesses testified that Gibson, with the help of her twin
sons, engaged in many drug transactions in Overtown in the 1980s, before the time
period covered by the Count 2 conspiracy. These witnesses said that Gibson had a
“spot” in Overtown near her house where she would give small quantities of
cocaine and heroin to small children, to sell on the street for her. Leonard and
Lenard Brown, who at that time were still in their early teens, allegedly helped
Gibson pack cocaine, cook it into crack, and sell cocaine and heroin on the street
along with other children. The defense raised a 404(b) objection at trial.
This evidence of Gibson’s drug sales before any of the charged conduct in
the indictment is “extrinsic” evidence whose admission is regulated by Rule
404(b). Under that Rule, this evidence was probative of Gibson’s intent on the
Count 17 charge of knowingly maintaining a place for the purpose of
manufacturing, distributing, and using drugs. United States v. Cardenas, 895 F.2d
1338, 1342 (11th Cir. 1990) (holding that “when a defendant charged with
conspiracy enters a not guilty plea, he makes intent a material issue in the case and
imposes a substantial burden on the government. Thus, the government may
introduce extrinsic offenses which qualify under 404(b) to prove defendant's state
51
of mind, unless defendant takes affirmative steps to remove the issue of intent from
the case.”) (internal quotation marks and citations omitted). Thus, the district court
did not abuse its discretion in admitting testimony concerning Gibson’s extrinsic
drug sales.
s) Reference to Pless’s Post-Miranda Silence
Pless raises a Fifth Amendment due process challenge to Detective
Simmons’ testimony regarding Simmons’ post-arrest questioning of Pless
regarding the Everett Cooper murder and Pless’s refusal to answer certain
questions. The following exchange ensued:
Q [AUSA]: Did there come a time that your interview of Mr.
Pless terminated, told you he didn’t want to talk to
you any further?
A [SIMMONS]: Yes. But prior to doing so, he mentioned –
MR. MATTERS:39 Objection. I would like to preserve that for a
sidebar.
THE COURT: Sustained.
THE WITNESS: Yes, sir.
Q: What subject matter were you relating to him when
the interview ended?
MR. MATTERS: Objection, Judge.
THE COURT: Overruled.
THE WITNESS: We started to inquire of Mr. Pless as to his
involvement in homicides.
Q: And was the interview ended at that time?
A: Yes, sir.
Counsel for Pless moved for a mistrial, arguing that the testimony was a
39
Mr. Matters is Pless’s counsel.
52
direct reflection upon Pless’s Fifth Amendment right against self-incrimination.
The court denied the motion.
Use of the defendant's silence at the time of arrest and after receiving
Miranda warnings in an effort to impeach him at trial violates the Due Process
Clause and its guarantee against fundamental unfairness. United States v. Miller,
255 F.3d 1282, 1285 (11th Cir. 2001) (citing Doyle v. Ohio, 426 U.S. 610 (1976)).
Such improper use occurs when a prosecutor “call[s] attention” to the defendant’s
silence. Id.
On the other hand, “[w]hile a single comment alone may sometimes
constitute a Doyle violation, the Supreme Court[] . . . [made] clear that a single
mention does not automatically suffice . . . when the government does not
specifically and expressly attempt to use . . . the improper comment to impeach the
defendant.” United States v. Stubbs, 944 F.2d 828, 835 (11th Cir. 1991) (citing
Greer v. Miller, 483 U.S. 756 (1987)). Thus, we have held that if the prosecution
mentions the defendant’s silence only in passing, and makes no specific inquiry or
argument about the defendant’s post-arrest silence, there is no due process
violation. United States v. Cayasso, No. 04-14867, 2005 WL 1038772 at **3
(11th Cir. May 4, 2005).
Here, while the Government’s question was unnecessary and inappropriate,
53
because it suggested that Pless had refused to answer any questions about the
murders because of his involvement in them, the reference was too brief to
constitute a Fifth Amendment violation under Cayasso and Stubbs. The
Government elicited only a single reference to Pless’s refusal to respond to
questioning, and apparently never referred to the matter again, either in subsequent
witness examination or in closing argument. Thus, the denial of a mistrial was not
error.
t) Pless’s Exculpatory Post-Arrest Statements
Pless also challenges the court’s denial of his motion to cross-examine
Detective Simmons on the exculpatory portions of Pless’s post-arrest statements.
At trial, the Government objected to the request on hearsay grounds. Although
Simmons had been permitted to testify regarding inculpatory portions of the
statements, the court sustained the Government’s objections. The prosecution now
correctly concedes that the denial of Pless’s request was error. Federal Rule of
Evidence 106 states that “[w]hen a writing or recorded statement or part thereof is
introduced by a party, an adverse party may require the introduction at that time of
any other part or any other writing or recorded statement which ought in fairness to
be considered contemporaneously with it.” Fed. R. Evid. 106; United States v.
Range, 94 F.3d 614, 620-21 (11th Cir. 1996). We have extended Rule 106 to oral
54
testimony in light of Rule 611(a)’s requirement that the district court exercise
“reasonable control” over witness interrogation and the presentation of evidence to
make them effective vehicles “for the ascertainment of truth.” Range, 94 F.3d at
621 (citing United States v. Castro, 813 F.2d 571, 576 (2d Cir. 1987)). Thus, the
exculpatory portion of a defendant’s statement should be admitted if it is relevant
to an issue in the case and necessary to clarify or explain the portion received.
Range, 94 F.3d at 621. In this case, Pless’s exculpatory statements were relevant
to his involvement in acts implicating him in the Count 2 conspiracy, and were
necessary to clarify those portions related by Detective Simmons. The district
court therefore abused its discretion in denying Pless’s motion.
3. Prejudice
All eleven defendants argue that the district court’s evidentiary errors were
not harmless, considered individually or cumulatively, and entitle them to a new
trial. The cumulative error doctrine “provides that an aggregation of non-
reversible errors (i.e., plain errors failing to necessitate reversal and harmless
errors) can yield a denial of the constitutional right to a fair trial, which calls for
reversal.” United States v. Munoz, 150 F.3d 401, 418 (5th Cir. 1998); see also
Labarbera, 581 F.2d at 110; United States v. Necoechea, 986 F.2d 1273, 1282-83
(9th Cir. 1993) (“In reviewing for cumulative error, the court must review all errors
55
preserved for appeal and all plain errors.”).
“The harmlessness of cumulative error is determined by conducting the
same inquiry as for individual error--courts look to see whether the defendant's
substantial rights were affected.” United States v. Rivera, 900 F.2d 1462, 1470
(10th Cir. 1990) (en banc) (citing United States v. Kartman, 417 F.2d 893, 894,
898 (9th Cir. 1969)). However, the cumulative prejudicial effect of many errors
may be greater than the sum of the prejudice caused by each individual error.
United States v. Sepulveda, 15 F.3d 1161, 1195-96 (1st Cir. 1993). The total effect
of the errors on the trial will depend, among other things, on “the nature and
number of the errors committed; their interrelationship, if any, and combined
effect; how the district court dealt with the errors as they arose (including the
efficacy – or lack of efficacy – of any remedial efforts); [] the strength of the
government's case,” and the length of trial. Id. at 1196; Hands, 184 F.3d at 1329
(“We determine whether an error had substantial influence on the outcome by
weighing the record as a whole, examining the facts, the trial context of the error,
and the prejudice created thereby as juxtaposed against the strength of the evidence
of defendant’s guilt.”) (internal quotations marks and citations omitted).
Kotteakos v. United States, 328 U.S. 750, 764 (1946), provides that non-
constitutional error is harmless
56
“if one cannot say, with fair assurance, after pondering all that happened
without stripping the erroneous action from the whole, that the judgment
was not substantially swayed by the error … . The inquiry cannot be merely
whether there was enough to support the result, apart from the phase affected
by the error. It is rather, even so, whether the error itself had substantial
influence. If so, or if one is left in grave doubt, the conviction cannot
stand.”
See also United States v. Frazier, 387 F.3d 1244, 1266 n.20 (11th Cir. 2004) (en
banc) (“Errors do affect a substantial right of a party if they have a ‘substantial
influence’ on the outcome of a case or leave ‘grave doubt’ as to whether they
affected the outcome of a case.”). The same standard is employed to review the
prejudicial effects of a district court’s plain error, be it of constitutional or non-
constitutional dimensions. United States v. Mathenia, 409 F.3d 1289, 1292 (11th
Cir. 2005) (“The non-constitutional harmless error standard is not easy for the
government to meet. It is as difficult for the government to meet that standard as it
is for a defendant to meet the third-prong prejudice standard for plain error
review.”). Moreover, we note in passing that “[a]n error may substantially
influence an outcome and thus warrant reversal even if the evidence, had no error
occurred, would have been sufficient to support the conviction.” Hands, 184 F.3d
at 1329. We also review the record de novo when conducting a harmless error
analysis, unlike our review of sufficiency of the evidence challenges, in which we
view witness credibility in the light most favorable to the government. Id. at 1330
57
n.23. By contrast, as discussed above, under the plain error standard we may not
correct an error unless: (1) there is error; (2) that is plain; and (3) that affects
substantial rights. If these three conditions are met, we may exercise our discretion
to correct the error, if (4) it seriously affects the fairness, integrity, or public
reputation of judicial proceedings. Cotton, 535 U.S. at 631-32 (2002).
Thus, because the defendants did not preserve any of their constitutional
evidentiary claims, we review the aggregate effect of the district court’s
constitutional and non-constitutional errors under the Kotteakos standard for each
defendant.40 If we find the errors’ cumulative effect insufficient to necessitate
reversal, we need not consider each individual error’s impact as to a defendant.
a) Williams
The erroneously admitted evidence implicating Williams consisted of: (1)
Sergeant Singer’s testimony regarding the Gary Coley murder and Williams’
subsequent guilty plea to attempted second degree murder; (2) Officer Polite’s
testimony that Williams had beaten his girlfriend; (3) Detective Capote’s testimony
about the witness identification of Williams and Casado in the Palmetto
Expressway murder; (4) Sergeant Casas’ testimony about Williams’ involvement
in a 1992 shootout at a Miami strip club; (5) testimony that Williams did not have
40
Of course, the defendant still bears the burden of proving the prejudicial effect of all non-
preserved errors. United States v. Rodriguez, 398 F.3d 1291, 1298 (11th Cir. 2005).
58
permission to be on the property where he was found following a 1997 car chase;
(6) Officer Waltham and Detective Richard’s testimony about an armed robbery
Williams committed in 1997; (7) Detective Lewis’ testimony about Williams’
connection to the Amoco double murder and subsequent murder of Corey
Murcherson; (8) Lewis’ testimony that he was told Richard Stit worked as an
“enforcer” for Williams; (9) Detective Borges’ testimony about Williams’
involvement in the Brownlee murder; and (10) Deputy U.S. Marshal Moran’s
testimony about Williams’ appearance on Crimestoppers and America’s Most
Wanted.
Two of these items of evidence were independently corroborated by
admissible evidence. First, Johnny Hankins corroborated Capote’s testimony
concerning the Palmetto Expressway murders, recounting a conversation in which
Williams confided that he and Casado killed several individuals on an expressway.
Second, Lewis’s testimony concerning Stit’s role as “an enforcer” for Williams
was corroborated by Becton, who testified that both he and Stit worked for
Williams in Virginia. This independent testimony mitigates the prejudicial effect
of the inadmissible Lewis and Capote testimony. Cf. United States v. DeLoach,
654 F.2d 763, 771 (D.C. Cir. 1980) (holding that admission of hearsay testimony
was harmless where the jury heard admissible testimony from three other sources
59
to the same effect).
Moreover, the cumulative effect of the district court’s errors was harmless
given the avalanche of admissible, inculpatory evidence admitted against Williams
at trial with respect to every count for which he was indicted. Specifically,
nineteen witnesses41 testified that they personally witnessed or participated in
Williams’ drug sales operation. Becton also testified that he, Stit, and others
transported drugs to Georgia for Williams. Likewise, Hankins said that Marvin
Rogers and Gary Dukes transported drugs to Georgia on Williams’ behalf.
McCrea further told the jury that Williams had “lieutenants” deliver drugs for him,
while both Byrd and Royal testified that Byrd transported drugs for Williams. In
addition to conceding his own involvement, Hankins also testified that
Murcherson, Wilson, and an individual named “Donkey Kong” also worked for
Williams.
Voluminous evidence also implicated Williams in violence committed in
furtherance of the conspiracy, including: (1) testimony from both Becton and
Hankins concerning Williams’ involvement in the Rolex shootout; (2) testimony
from Becton concerning Williams’ role in the “Ankey” murder; and (3) Johnny
41
Michelle Feliciano, Pedro Feliciano, Arial Barrias, Kevin Becton, Nora Byrd, Charles Royal,
Johnny Hankins, Herbert McCrea, Steve McGriff, Wimon Nero, Jesus Wilson, Errol Sawyer,
Robert Raye, Darren Cochran, Prancina Macintosh, Nelson Darby, Zachary Butler, Reggie
White and Sam Jones.
60
Hampton’s testimony that he personally witnessed Williams’ involvement in the
Harris / Betterson murders. Texidor and Wilson also testified that Williams and
Casado planned to murder Robert Sawyer. Police Officers Saud, Rodriguez, and
Walthen explained that they arrested Williams (along with Casado) after firearms
were thrown from the car in which they were travelling. Finally, numerous
witnesses testified that Williams regularly carried firearms.
In this light, even given the district court’s numerous evidentiary mistakes,
we can still say with “fair assurance, after pondering all that happened without
stripping the erroneous action from the whole, that the judgment was not
substantially swayed by the error.” Kotteakos, 328 U.S. at 765. The district
court’s evidentiary errors are thus harmless as to Williams.
b) Casado
The district court erroneously admitted evidence of Casado’s participation
in: (1) the Palmetto Expressway murders; (2) the Jetier murder; (3) the Colors
triple murder; (4) the Everett Cooper murder; (5) and the Amoco murders. The
lower court also incorrectly allowed the jury to hear evidence that Casado did not
have permission to be on the property where he was found following a 1997 car
chase, and erred by failing to give a limiting instruction about the threats that
Williams, Shaw, Leonard Brown, and Baptiste made to Errol Sawyer.
61
The prejudice resulting from these errors is tempered by the fact that
independent admissible testimony corroborated two of the improper pieces of
evidence. First, as discussed above, the testimony linking Capote to the Palmetto
Expressway murders was corroborated by Johnny Hankins. Second, the
inadmissible testimony concerning Casado’s involvement in the Jetier shooting
was confirmed by Officer Sanchez’s testimony that he himself witnessed the
shooting and that Casado had been the shooter.
Though the remaining evidentiary errors remain troubling, there was such a
mountain of admissible evidence implicating Casado in all of the offenses for
which he was convicted that we can fairly say that the evidentiary errors did not
affect his substantial rights. Indeed, six witnesses 42 testified that Casado and
Williams collaborated in selling cocaine. Hankins specifically testified that
whenever Williams and Harper had no cocaine to sell, he bought from Casado.
Similarly, McCrea testified that Williams said he was “taking over everything”
regarding drug sales while Casado served a prison sentence. Numerous witnesses
also testified that Baptiste worked selling drugs for Casado. Sanchez-Carillo
testified that he sold cocaine to Casado; Texidor said that the Cruz brothers sold
cocaine to Casado; and Sam Jones added that Casado distributed drugs to
42
Becton, Hankins, Raye, Pagan, McGriff, and Wilson.
62
Pensacola.
The government’s evidence also linked Casado to the violent activities
committed in furtherance of the charged conspiracy. Brian Wilson testified that
Casado was present at the Colors Murders, while McCullough told the jury that
according to Hawthorne, Hawthorne and Casado were involved in the Amoco
murders. Officer Sanchez stated that he observed that Jetier was shot by
individuals in a car in which Casado was travelling with Baptiste. Similarly,
Texidor stated that Casado said he (Casado) had shot Jetier. As discussed above,
Texidor and Wilson both explained that Casado and Williams planned to murder
Robert Sawyer. Wilson further testified that he had been robbed of drugs by
assailants traveling in Casado’s car. Hankins told the jury that Williams said
Casado had been involved in the Harris / Betterson murders. As noted above,
Officers Sanchez, Rodriguez, Saud, and Walthen also testified that they arrested
Casado after firearms and other items were thrown from the car in which they were
traveling. Finally, numerous witnesses testified that Casado regularly carried
firearms.
In light of this overwhelming admissible evidence, the prejudice resulting
from the district court’s evidentiary errors proves insufficient to necessitate
reversal of Casado’s conviction.
63
c) Harper
The district court erred by admitting evidence of Harper’s involvement in
the Brownlee murder, and by failing to give a limiting instruction about the threats
that Williams, Shaw, Leonard Brown, and Baptiste made to Errol Sawyer.
However, this evidence proves harmless in light of the large volume of admissible
evidence the prosecution amassed against Harper. That evidence included: (1)
Hankins’ testimony that Harper sold cocaine at the Matchbox with Williams; (2)
Becton’s testimony that Harper supplied Williams with cocaine; and (3) testimony
from Texidor and Hall that Harper bought cocaine from Casado. Hall and Nero
also told the jury that they bought cocaine from Harper, while Kerry Smith stated
that Harper sold crack in Atlanta and West Palm Beach. Pagan also testified that
he sold cocaine to Harper. Rose’s testimony that she overheard Nero and Harper
discussing drug deals bolstered this evidence.
Admissible evidence also linked Harper to some of the violent incidents
committed in furtherance of the conspiracy. Hankins told the jury that Harper was
present when Williams fought with a member of the rival Thomas gang, while
Becton said that Harper was present at the Rolex when Williams fought with other
members of the Thomas gang. Hall further testified that Harper often carried
firearms.
64
In sum, when viewed against the quantum of admissible evidence
concerning Harper’s participation in all of the offenses for which he was charged,
we can fairly say that the evidentiary errors remain harmless.
d) Leonard Brown
The only evidentiary error affecting Leonard Brown’s convictions was the
admission of Detective Lewis’ testimony about his involvement in the Amoco
double murder. As an initial matter, this evidence relates only to Counts 2 and 16
of the indictment, as it bears no discernable relationship to the importation
conspiracy count (Count 3). Moreover, the government’s case against Brown
concerning Counts 2 and 16 was highly compelling. Wilson, Errol Sawyer, and
Reggie White all testified that the Brown twins worked for Williams in selling
drugs. White also testified that he observed Williams deliver drugs to the twins at
Gibson’s house, while Sawyer testified that he picked up drugs from the twins at
Gibson’s house. Wilson explained that the Brown twins worked for Gibson in
selling, preparing, and obtaining drugs. Finally, White, McCullough, and McCrea
all stated that they bought drugs from the Brown twins.
As for testimony relating to violence, Wilson testified that just prior to the
Amoco murders, he purchased ski masks for Brown and saw him with weapons.
Johnny Hampton also told the jury that he saw Brown commit one of the Harris /
65
Betterson murders. Testimony from several witnesses also indicated that Brown
often carried firearms.
In light of this considerable amount of admissible evidence adduced in
support of Brown’s conviction, we cannot say that the district court’s error affected
his substantial rights.
e) Malcolm Shaw
As none of the erroneously admitted evidence implicated Malcolm Shaw,
there is no question that the evidentiary errors did not affect his substantial rights.
f) Baker
The district court committed two errors that affected Baker: (1) it admitted
Detective Gross’ hearsay statements that detailed his participation in a 1997 drug
rip-off staged by MDPD Internal Affairs; and (2) it failed to give a limiting
instruction about the threats that Williams, Shaw, Leonard Brown, and Baptiste
made to Errol Sawyer. However, these errors prove harmless when weighed
against the admissible evidence supporting Baker’s conviction. Specifically, Raye
and Macintosh both testified that Williams arranged for Baker to perform heists of
drug money, while McCrea and Kenneth Lurry testified that Shaw made similar
arrangements with Baker. Wilson also testified that he had been subject to one of
Baker’s “rip-offs”; Raye’s testimony revealed that Baker’s Wilson “rip-off” had
66
been arranged by Williams. McCrea and Wilson also said that they had seen Baker
with Shaw, Williams, and others in the group on a number of occasions. In light of
this evidence, we are persuaded that the district court’s errors were harmless as to
Baker.
g) Baptiste
The district court erroneously admitted evidence of Baptiste’s involvement
in the Jetier murder and the Colors triple murder. However, these errors, too, were
harmless given the abundant amounts of admissible trial evidence incriminating
Baptiste. Specifically, Texidor testified that Casado supplied cocaine to customers
that Baptiste had lined up. Pagan and Hall also admitted having bought drugs from
Baptiste, who acted on Casado’s behalf when Casado was unavailable.
Conversely, Sanchez-Carillo testified that he sold drugs to Baptiste when Casado
was incarcerated. Additional witnesses indicated that Baptiste worked for Casado
in counting money, delivering drugs, and acting as a watch-man. According to
testimony from Becton and Williams, Baptiste also interacted frequently and
closely with the other conspirators.
There was also evidence of Baptiste’s involvement in the violent incidents
described at trial. As discussed above, Officer Sanchez testified that he observed
that Jetier was shot by individuals riding in a car occupied by Baptiste and Casado.
67
Texidor corroborated that testimony. Brian Gibson also stated that Baptiste was
present at the Colors murders.
This admissible testimony against Baptiste thus outweighs any prejudice
resulting from the district court’s evidentiary errors.
h) Pless
The district court committed four evidentiary errors that affected Pless: (1)
admitting Detective Simmons’ testimony concerning Cedrick Brantley’s statement
that Pless recruited him to murder Johnny Belliard; (2) admitting Detective
Mallot’s testimony implicating Pless in the Everett Cooper murder; (3) failing to
give a limiting instruction about the threats that Williams, Shaw, Leonard Brown,
and Baptiste made to Errol Sawyer; and (4) refusing to allow admission of Pless’s
exculpatory post-arrest statements.
However, two pieces of this erroneously-admitted evidence were
independently corroborated by admissible evidence. Specifically, Detective
Simmons’ testimony regarding Cedrick Brantley’s statement was corroborated by
testimony from both Pagan and Brantley himself. Likewise, Detective Mallot’s
testimony linking Pless to the Cooper murder was corroborated by Pagan and by
Simmons’ testimony regarding Anthony Brantley’s statements.43
43
As discussed above, Simmons’ testimony regarding Anthony Brantley’s statements was invited
by Pless.
68
Moreover, the record contains a considerable volume of admissible
incriminating evidence relating to Pless. Specifically, Detective Simmons testified
that Pless told him he bought drugs from Pagan and sold drugs both in Miami and
Jacksonville. Pagan too testified extensively concerning Pless’s involvement in the
charged conduct, explaining that: (1) Pless and Johnson were close and sold crack
together at Silver Blue Lakes; (2) Pagan and Casado sold cocaine to Pless; (3)
Pless sold drugs in Georgia and Jacksonville; (4) Pless had traveled with Anthony
Brantley and Pagan to investigate a distributor’s loss of Pless’s drugs; and (5) Pless
told Pagan that he had murdered Everett Cooper, a Boobie Boys’ rival. In
addition, Cedrick Brantley testified that Pless paid him to kill Johnny Belliard and
that Pless often carried firearms. Becton also explained to the jury that Pless was
close to Baptiste and Casado. Similarly, the government introduced evidence of
Pless’s rap CD, which contained references to Casado, Pagan, Anthony Brantley,
Johnson and Baptiste.
Furthermore, DEA analyst Jeanette Davis described wire transfers that Pless
had made from Georgia (where some of the group’s distribution took place) to
Casado, Baptiste, Johnson, and Anthony Brantley in Miami. Finally, Officer
Quintero testified that he stopped Pless on October 12, 1993 and found four grams
69
of crack cocaine and $575 in small bills on Pless’s person.44
In determining harmlessness, we must consider the incentive that Pagan and
other government witnesses had to provide testimony that would secure reduced
sentences or other favorable treatment. See Hands, 184 F.3d at 1329. However,
this does not affect the highly incriminating testimony provided by Agent Davis or
Officer Quintero, nor does it impact the particularly damning testimony from
Detective Simmons concerning Pless’s own statements against his penal interest.
In light of this testimony, and considering the record as a whole, we are persuaded
that the district court’s evidentiary errors were harmless as to Pless.
i) Johnson
The erroneously admitted evidence implicating Johnson consisted of
Detective Simmons’ testimony that Anthony Brantley told him that Johnson was
one of the shooters in the Colors murders. As Johnson did not object to admission
of that evidence at trial, he must prove that the error affected his substantial rights
and that if uncorrected the error would seriously affect the integrity or reputation of
judicial proceedings. Cotton, 535 U.S. at 631-32. He can do so because the
44
Some testimony adduced at trial indicated that Pless and Johnson were involved in the murder
of Roosevelt Davis. While the government argues that this murder was committed in retaliation
for Davis’s theft of money and drugs from Pless’s home, some testimony indicated that the
murder was carried out to avenge Davis’s assault of Pless’s wife. Even if we accept the
government’s claim that Pless was responding to the theft, there is no evidence linking the theft
or the items stolen to the Boobie Boys’ operations. As such, we cannot weigh evidence of the
Davis murder in favor of Pless’s conviction on the drug conspiracy count.
70
testimony regarding the Colors murders was the primary evidence linking Johnson
to both the firearms conspiracy and the drug conspiracy. The remaining admissible
testimony concerning Johnson’s involvement is limited to: (1) Pagan’s testimony
that Pless and Johnson were close and that they sold crack together; and (2) Emery
Moon’s and Credrick Brantley’s testimony that Johnson regularly carried firearms.
This testimony fails to establish a link between Johnson and any conspirator other
than Pless. In any event, the government’s relatively thin evidence of Johnson’s
participation was clearly outweighed by the very prejudicial effect of hearsay
evidence implicating Johnson in the murders of two adults and a young child at the
Colors apartments. This error thus requires that Johnson’s convictions on Counts 2
and 16 be reversed.
j) Gibson
The district court made two evidentiary errors that affected Gibson: (1)
Jeffrey Gibson’s testimony concerning Gibson’s 1974 manslaughter conviction 45;
45
On cross-examination, the government asked Jeffrey Gibson about his knowledge of Gibson’s
past convictions. Jeffrey Gibson responded that Gibson had told him about her manslaughter
conviction. The defense objected and moved for a mistrial. The district court then gave the jury
a curative instruction in which it directed them to disregard the reference to the prior conviction.
On appeal, the government properly concedes that the admission was error, as the conviction
dates from 1974. See Fed. R. Evid. 609(b). However, we must nonetheless determine whether
the impermissible reference to Gibson’s prior conviction was harmless in light of the district
court’s curative instruction and the other admissible evidence adduced in support of Gibson’s
conviction. See United States v. LeQuire, 943 F.2d 1554, 1571-72 (11th Cir. 1991) (holding
harmless an inadmissible comment, as prejudicial effect was removed by district court’s curative
instruction).
71
and (2) the failure to give a limiting instruction about the threats that Williams,
Shaw, Leonard Brown, and Baptiste made to Errol Sawyer.
The record indicates that these errors prove insufficiently prejudicial to
warrant reversal of Gibson’s conviction. The government’s case against Gibson
included testimony from McCullough, Hankins, and Kenneth Johnson that Gibson
sold cocaine. Johnson also admitted that he sold cocaine for Gibson on a number
of occasions. Errol Sawyer stated that Gibson’s sons (the Brown twins) sold drugs
for her, and McCullough stated that the twins prepared crack in Gibson’s home
while she was present. As discussed above, witnesses also testified as to drug
deliveries made to and from Gibson’s home. Kenneth Johnson, Errol Sawyer, and
Reggie White also testified to Gibson’s involvement in drug sales in the 1980s.
White added that he had seen firearms in plain view at Gibson’s house while
Gibson was present, while Hankins and Theodie Brown said that Gibson often
carried firearms. The jury was also made aware that Gibson is Williams’ aunt.
While Gibson argues that the erroneous admission of her prior conviction
prevented her from convincing the jury that she was uninvolved in the violent acts
committed by her co-defendants, the government produced admissible testimony
which itself significantly undermined any attempt by Gibson to present a non-
violent image to the jury. Specifically, as noted above, two witnesses testified that
72
Gibson often carried firearms; a third indicated that he saw assault rifles in plain
view in Gibson’s home while Gibson was present. This more recent evidence did
at least as much damage to Gibson’s effort to present a non-violent image to the
jury as did the erroneous admission of her 1974 manslaughter conviction.
Moreover, the fact that the jury acquitted Gibson on the charges in Count 17
suggests that the evidentiary error did not so prejudice the jury as to prevent it from
independently weighing the evidence as to each charge against her. In this light,
we find the district court’s evidentiary errors harmless as to Gibson.
k) Hawthorne
The erroneously admitted evidence against Hawthorne was Detective Lewis’
highly inflammatory and wholly inadmissible testimony about Hawthorne’s
participation in the Amoco double murders. Although this testimony was
corroborated by Roger McCullough, Hawthorne’s half-brother, it was called into
question by testimony from Karen Mills-Francis that Corey “Fish Grease”
Murcherson, and not Hawthorne, had admitted to being the second gunman. This
alternate theory was supported by evidence that Murcherson looked very similar to
Hawthorne, and had been subsequently murdered for his involvement in the
shooting. The Lewis testimony was vital, however, because he was the only one
able to relate the Amoco shooting to the overall purposes of the conspiracy,
73
thereby making its admissibility all the more unfairly prejudicial.
That aside, admissible testimony establishing Hawthorne’s participation as a
conspirator in the specific drug and firearm conspiracies charged is very weak.
Sawyer and White both testified that Hawthorne had acted as a customer, watch-
man, and sales agent for Sawyer. Becton stated that he saw Hawthorne purchase
what appeared to be drugs from Casado and Baptiste. Trial testimony established
that Hawthorne fraternized with the Brown twins and other associates of Williams.
Officer Robin Starks testified that Hawthorne had been arrested for cocaine
possession and that she once witnessed Hawthorne give a cocaine-like substance to
another individual. Officer David Williams said that he once observed firearms
tossed from a car in which Hawthorne was traveling.46
The record is notably devoid of evidence directly indicating that Hawthorne
used firearms in relation to the charged drug crimes. Furthermore, much of the
testimony linking Hawthorne to his alleged co-conspirators was elicited from
incarcerated witnesses who may have had a motive to provide incriminating
testimony in return for a possible sentence reduction.47 The remaining admissible
46
While the government’s initial brief claims that Hawthorne was the “Moose” who robbed
Jesus Wilson of 40 kilograms of cocaine at the Port of Miami in early 1998, uncontroverted trial
testimony established that Hawthorne was not.
47
“When we assess the strength of the government's case for purposes of harmless error analysis
…we may take into account factors – such as incentives to lie – that would have affected the
jury’s assessment of a witness’s testimony.” Hands, 184 F.3d at 1331.
74
evidence indicating that Hawthorne associated with several of the conspirators and
had been implicated in isolated drug deals proves insufficient to render the
extremely prejudicial inadmissible evidence of participation in the Amoco murders
harmless. Particularly in light of credible evidence that Murcherson (and not
Hawthorne) was the second shooter in the Amoco murders, the highly prejudicial
nature of Lewis’ inadmissible testimony suggesting that Hawthorne was the
shooter casts grave doubt on Hawthorne’s convictions for Counts 2 and 16, which
must be reversed.
B. Sufficiency of the Evidence
Six defendants (Baker, Baptiste, Pless, Williams, Casado, and Hawthorne)
argue that the evidence at trial was insufficient to support their convictions.48 We
review the sufficiency of evidence supporting a conviction de novo to determine
whether there was substantial evidence, viewed in the light most favorable to the
government, to support the jury’s guilty verdict. Glasser v. United States, 315 U.S.
60, 80 (1942); United States v. Toler, 144 F.3d 1423, 1426-27 (11th Cir. 1998);
United States v. Malatesta, 590 F.2d 1379, 1382 (5th Cir. 1979) (en banc).49 The
48
We decline to reach Hawthorne’s sufficiency of the evidence claims as he is entitled to a new
trial on other grounds.
49
This Circuit has at times applied a more lenient “slight evidence” standard of review for
sufficiency of the evidence challenges, such as in United States v. Calderon, 127 F.3d 1314,
1326 (11th Cir. 1997) (“[O]nce the government establishes the existence of the underlying
conspiracy, [] it only needs to come forward with slight evidence to connect a particular
75
evidence at trial is sufficient to support a guilty verdict so long as a reasonable trier
of fact, choosing among reasonable interpretations of the evidence, could find guilt
beyond a reasonable doubt. Toler, 144 F.3d at 1428. In other words, a guilty
verdict will not be disturbed on appeal unless no reasonable trier of fact could have
found guilt beyond a reasonable doubt on the evidence before it. Id.
1. Baker
Baker’s challenge to the sufficiency of the evidence supporting his
conviction for the Count 2 conspiracy is meritless in light of the overwhelming
evidence of his guilt produced at trial. To support a conspiracy conviction under
21 U.S.C. § 846, the government must prove, beyond a reasonable doubt: (1) an
agreement between the defendant and one or more persons, (2) the object of which
is an offense under Title 21 of the United States Code. See Toler, 144 F.3d at 1426
(11th Cir. 1998); United States v. Parrado, 911 F.2d 1567, 1570 (11th Cir. 1990)
(“To support a conspiracy conviction under 21 U.S.C. § 846, the government must
prove that there is an agreement by two or more persons to violate the [federal]
defendant to the conspiracy.” (quoting United States v. Harris, 20 F.3d 445, 452 (11th Cir.
1994)). Such a standard is inconsistent with Glasser’s and Malatesta’s requirement that the
government provide “substantial evidence” of a defendant’s guilt at trial. Malatesta, 590 F.2d at
1381-82 (“The ‘slight evidence’ rule as used and applied on appeal in conspiracy cases since
1969 should not have been allowed to worm its way into the jurisprudence of the Fifth Circuit. It
is accordingly banished as to all appeals hereafter to be decided by this Court.” (citing Glasser,
315 U.S. at 80)); see also United States v. Clavis, 977 F.2d 538, 539 (11th Cir. 1992)
(withdrawing opinion decided using “slight evidence” standard).
76
narcotics laws.”).50 When a charged conspiracy centers around a central organizer
or organizers (a so-called “hub-and-spoke” conspiracy), the Government must
establish that a given defendant was party to that central conspiracy, rather than to
a separate and uncharged conspiracy with one of the organizers. See, e.g.,
Kotteakos, 328 U.S. at 755 (1946). However, the defendant need not participate in
all the activities forming the larger conspiracy, so long as he is aware of the general
scope and purpose of the conspiratorial agreement. Toler, 144 F.3d at 1427-28
(“[N]otwithstanding that there may be a large number of co-conspirators, a
defendant’s guilt can be established if his or her contact extends to only a few or
even one of the co-conspirators so long as the agreement, with its concomitant
knowledge of the general scope and purpose of the conspiracy and the defendant's
intent to participate in achieving its illegal ends, is proven beyond a reasonable
doubt.”). Thus,
50
We note that some of our caselaw has analyzed sufficiency of the evidence challenges to
conspiracy convictions under 21 U.S.C. § 846 using a three-prong “shorthand” test that asks
whether the government has adequately proven: “(1) an agreement existed among two or more
persons; (2) that the defendant knew of the general purpose of the agreement; and (3) that the
defendant knowingly and voluntarily participated in the agreement.” United States v. High, 117
F.3d 464, 468 (11th Cir.1997). This shorthand, we have noted, is “somewhat redundant and
incomplete” – redundant because the existence of an agreement necessarily implies that the
defendant knew of the agreement’s objective and voluntarily assented (i.e. “agreed”) to
participate in it, and incomplete because it does not mention that the object of the agreement
must be illegal, in this case a violation of an offense under Title 21 of the United States Code.
Toler, 144 F.3d at 1425-26 & n.3. Thus, we opt for the more accurate two-prong test elaborated
in Toler and Parrado.
77
“[i]t is often possible, especially with drug conspiracies, to divide a single
conspiracy into sub-agreements. This does not, however, mean that more
than one conspiracy exists. The key is to determine whether the different
sub-groups are acting in furtherance of one overarching plan.
Calderon, 127 F.3d at 1329 (internal quotation marks omitted).
In this case, there is ample evidence for the jury to have found that Baker
agreed with his other co-defendants to possess with intent to distribute and to
distribute cocaine and cocaine base. The government’s case included evidence that
Williams, Harper, and Shaw paid Baker, then an MDPD officer, thousands of
dollars to steal drugs and money from their customers by pulling them over in his
squad car and searching their vehicles. The evidence also showed that such “rip-
offs” were intended to recover money spent on drugs and thus increase the
conspirators’ revenue. Moreover, although Baker’s involvement with the
conspiracy was limited to these “rip-offs,” testimony from government witnesses
established that Baker was well-acquainted with Williams, Shaw, and Harper. A
reasonable jury could therefore have inferred that Baker knew of the scope and
object of the larger Count 2 conspiracy, and joined that conspiracy, even though
his participation in that scheme was limited. See Toler, 144 F.3d at 1428-30.
2. Baptiste
Baptiste also contends that the evidence at trial was insufficient to support
his conviction for the Count 2 conspiracy. The volume of incriminatory evidence
78
at trial belies his argument. As discussed above, multiple witnesses testified to
Baptiste’s involvement in sales of large volumes of narcotics, his close business
relationship and friendship with Casado, and his frequent association with
Williams and Harper. Viewing this evidence in the light most favorable to the
government, it would be impossible to conclude that Baptiste did not agree to
violate federal drug laws with at least one other co-conspirator, and that he did not
know of the scope and object of the larger conspiracy.
3. Pless
Pless argues that the evidence was insufficient to convict him of Count 15 of
the indictment, which charged distribution of fifty grams or more of cocaine base,
in violation of 21 U.S.C. § 841(a)(1). A conviction under § 841 requires the
government to prove that the defendant possessed a controlled substance
knowingly and willfully and that he did so with the intent to distribute it. United
States v. Anderson, 289 F.3d 1321, 1325 (11th Cir. 2002). Pless argues that such
evidence was lacking, as the evidence showed that: (1) the substance was cocaine
base (rather than powder cocaine); and (2) the substance weighed less than fifty
grams. Pless also asserts that the government failed to establish that he was
involved in distributing cocaine.
Pless’s first two arguments are foreclosed by Circuit precedent, which makes
79
clear that because the specific amount and type of drugs are not elements of the
offense, the government’s failure to prove the amount or type charged in the
indictment does not merit reversal. See United States v. Rutherford, 175 F.3d 899,
906 (11th Cir. 1999); United States v. Adams, 1 F.3d 1566, 1582-83 (11th Cir.
1993). Moreover, the record contains sufficient evidence from which the jury
could reasonably conclude that Pless engaged in cocaine distribution. Specifically:
(1) Pagan testified that Pless supplied drugs to a customer in Jacksonville; (2)
Detective Simmons testified that Anthony Brantley told him that he (Brantley)
continued to sell drugs for Pless after the Colors murders; and (3) Simmons told
the jury that Brantley had been arrested in 1997 in possession of cocaine that he
obtained from Pless.51 When this evidence is viewed in the government’s favor, it
provides sufficient evidence of Pless’s involvement in distribution to support
Pless’s conviction on Count 15.
4. Williams
Williams argues that the evidence was insufficient to convict him on the
CCE charge alleging violations of 21 U.S.C. §§ 848(a) and (b)(2)(A) in Count 1 of
the indictment. To support a jury verdict under 21 U.S.C. §§ 848(a) and
51
Pless argues that the government is not entitled to rely on Detective Simmons’ testimony
concerning statements made by Anthony Brantley because such testimony is inadmissible
hearsay. However, as discussed above, Pless’s counsel invited this error during cross-
examination of Simmons.
80
(b)(2)(A) 52 the Government must show:
(1) a felony violation of the federal narcotics laws involving at least
300 times the quantity of a substance described in 21 U.S.C. §
841(b)(1)(B);
(2) as part of a continuing series of violations;
(3) in concert with five or more persons;
(4) for whom the defendant is the principal administrator, organizer,
or leader of the enterprise or is one of several such principal
administrators, organizers, or leaders; and
(5) from which he derives substantial income or resources.
In finding Williams guilty on the CCE count, the jury returned a special
52
The CCE statute imposes a mandatory minimum prison term of at least 20 years upon a person
who engages in a “continuing criminal enterprise.” 21 U.S.C. § 848(a) (2005). It imposes a life
sentence on “[a]ny person who engages in a continuing criminal enterprise” if
(1) such person is the principal administrator, organizer, or leader of
the enterprise or is one of several such principal administrators,
organizers, or leaders; and
(2) (A) the violation referred to in subsection (c)(1) of this section
involved at least 300 times the quantity of a substance described in
subsection 841(b)(1)(B) of this title.
Id. § 848(b).
Subsection (c) of that same statute provides:
[A] person is engaged in a continuing criminal enterprise if--
(1) he violates any provision of [the federal drug laws, i.e.,] this subchapter or
subchapter II of this chapter the punishment for which is a felony, and
(2) such violation is a part of a continuing series of violations of [the federal drug
laws, i.e.,] this subchapter or subchapter II of this chapter--
(A) which are undertaken by such person in concert with five or more other persons
with respect to whom such person occupies a position of organizer [or supervisor or
manager] and
(B) from which such person obtains substantial income or resources.
Id. § 848(c).
81
verdict finding that the three separate “violations” constituting Williams’
“continuing series” included (1) “drug trafficking to Georgia”; (2) “Matchbox
apartments drug sale”; and (3) “Port of Miami incident.” Williams claims that the
evidence did not demonstrate that he supervised, organized or managed anyone
who sold drugs at the Matchbox complex. This argument clearly fails. Testimony
from multiple witnesses demonstrated Williams’ supervisory role in the Matchbox
sales. One witness, Kevin Becton, even testified that Williams drew up a blueprint
for the operation of a drug trafficking organization while in prison. Thus, we find
the evidence sufficient to support Williams’ conviction on Count I.
5. Casado
Casado also challenges his CCE conviction on the basis that there was
insufficient evidence that he supervised, organized or managed drug sales at the
Matchbox complex, one of the three predicate acts the jury found on its special
verdict form. There is, in fact, no evidence indicating that Casado was an
immediate “principal administrator, organizer, or leader” of any drug sales at the
Matchbox complex — but there is plentiful evidence that Williams was.
Moreover, at that time Casado and Williams were clearly joint “principal
administrators, organizers, or leaders” of a larger continuing criminal enterprise of
which the Matchbox sales were a reasonably foreseeable part. That is enough to
82
attribute responsibility for being a principal organizer of the Matchbox drug sales
to Casado for the purposes of the CCE statute. Co-conspirators are liable for the
reasonably foreseeable acts of another co-conspirator taken in the course of and in
furtherance of the unlawful agreement, regardless of whether they had actual
knowledge of those acts, so long as they played more than a minor role in the
conspiracy or had actual knowledge of at least some of the circumstances and
events culminating in the reasonably foreseeable event. See, e.g., United States v.
Gallo, 195 F.3d 1278, 1282 (11th Cir. 1999) (sentencing context); United States v.
Broadwell, 870 F.2d 594, 603-04 (11th Cir. 1989); United States v. Alvarez-
Valenzuela, 231 F.3d 1198, 1203 (9th Cir. 2000). Because a continuing criminal
enterprise requires the leader(s) to act “in concert” with others, it is a type of
conspiracy. Therefore, we have held that a leader of a continuing criminal
enterprise is liable for the reasonably foreseeable acts of those he administrates,
organizes, or leads. United States v. Michel, 588 F.2d 986, 999 (5th Cir. 1979)
(“[The Pinkerton vicarious-liability rationale] should be no less strictly applied to
hold the organizer or supervisor of a criminal enterprise responsible for the acts of
his co-conspirators done in furtherance of the operation he manages. … [W]e hold
Pinkerton and its progeny equally applicable to defendants charged with either
conspiracy to violate the drug laws or a section 848 continuing criminal
83
enterprise.”). Similarly, if one leader of a CCE acts jointly with another leader, as
contemplated by 21 U.S.C. § 848(b)(1), each is vicariously responsible for all
reasonably foreseeable acts committed in furtherance of the CCE by the other. By
1993-94, Williams and Casado were jointly orchestrating a drug operation of
sufficient scope that Williams’ organization of Matchbox sales at that time can
reasonably be considered in furtherance of the CCE, and are thus attributable to
Casado.
C. Severance
Nine defendants (Baker, Baptiste, Leonard Brown, Hawthorne, Gibson,
Harper, Casado, Johnson, and Shaw)53 challenge the district court’s denial of their
motions to sever their trials from those of their co-defendants. According to these
defendants, the introduction of evidence concerning the various murders and other
gang violence, in which these defendants claim they were not involved, had a
“spillover effect” that prejudiced the jury against all of the defendants – not merely
those responsible for the violence.
Federal Rule of Criminal Procedure 8(b) provides that
The indictment or information may charge 2 or more defendants if
they are alleged to have participated in the same act or transaction, or
in the same series of acts or transactions, constituting an offense or
offenses. The defendants may be charged in one or more counts
53
We note that we have reversed the convictions of Johnson and Hawthorne on other grounds.
84
together or separately. All defendants need not be charged in each
count.
Fed. R. Crim. P. 8(b).
Rule 14(a) provides that
If the joinder of offenses or defendants in an indictment, an
information, or a consolidation for trial appears to prejudice a
defendant or the government, the court may order separate trials of
counts, sever the defendants' trials, or provide any other relief that
justice requires.
Fed. R. Crim. P. 14(a).
In practice, the general rule is that defendants who are jointly indicted
should be tried together, particularly in conspiracy cases. United States v. Pedrick,
181 F.3d 1264, 1272 (11th Cir. 1999); United States v. Alvarez, 755 F.2d 830, 857
(11th Cir. 1985). Severance may be granted at the discretion of the district court if
the court determines that prejudice will result from the joinder. Id. A district
court’s denial of a motion for severance is reversible only for abuse of discretion,
and we have explicitly noted that appellate courts are generally reluctant to second
guess a district court’s decision on severance. Id.
In deciding a severance motion, a district court must balance the right of the
defendant to a fair trial against the public’s interest in efficient and economic
administration of justice. Alvarez, 755 F.2d at 857. Severance is granted only
when the defendant can demonstrate that a joint trial will result in “specific and
85
compelling prejudice” to the conduct of his or her defense, id., resulting in
“fundamental unfairness.” United States v. Knowles, 66 F.3d 1146, 1159 (11th
Cir. 1995). It is not enough for a defendant appealing a denial of severance to
show that acquittal would have been more likely had the defendant been tried
separately, since some degree of bias is inherent in any joint trial. Alvarez, 755
F.2d at 857. Moreover, a defendant does not suffer “compelling prejudice simply
because much of the evidence at trial is applicable only to his codefendants,” id.,
even when the disparity is “enormous.” United States v. Schlei, 122 F.3d 944, 984
(11th Cir. 1997).
In order to mitigate any “spillover effect” on co-defendants, a court should
ordinarily give cautionary instructions to the jury, advising that certain evidence is
to be considered relevant only as to certain defendants or certain charges.
Severance is justified as a remedy only if the prejudice flowing from a joint trial is
clearly beyond the curative powers of such instructions. Alvarez, 755 F.2d at 857.
An appellate court reviewing the denial of severance must decide whether the jury
could follow the district court’s cautionary instructions and determine the guilt or
innocence of each defendant solely on the basis of that defendant’s conduct (i.e.
without cumulating the guilt of all the defendants and imputing it to each of them).
Id. at 858.
86
In evaluating a jury’s ability to sift through the evidence presented and to
make individualized interpretations of guilt, an appellate court may consider
whether the jury issued a “split” verdict, finding guilt as to some defendants or
charges but not as to others. Split verdicts weigh against a finding of undue
“spillover.” United States v. Cassano, 132 F.3d 646, 651-52 (11th Cir. 1998)
Schlei, 122 F.3d at 984; United States v. Jacoby, 955 F.2d 1527, 1542 (11th Cir.
1992).
As detailed above, the trial in this case included a great deal of testimony
and other evidence related to the violent actions of various conspirators in
connection with the drug distribution operation. Witnesses testified to at least 23
separate shootings perpetrated by members of Williams’ organization, most of
them resulting in deaths. Approximately 10 of those incidents stemmed from a
conflict between Williams’ group and the Thomas gang. Other testimony
described several of the witnesses as “always armed” or as possessing firearms in
their residences. Photos of the body of one of the victims (Bennie Brownlee) and a
video of one of the co-conspirators (Lenard Brown) “shooting people” were shown
to the jury. Furthermore, weapons, ammunition, and other equipment used in the
co-conspirators’ violent activities was displayed before the jury, along with a
particularly vivid demonstration of an ammunition clip being inserted into a gun.
87
Finally, Errol Sawyer testified that Baptiste, Brown, Shaw and Williams threatened
violence against Sawyer in the holding area during the trial.
The alleged “spillover effect” of the evidence of violence is insufficient to
justify reversal of the district court’s severance motion. First, contrary to the
assertions of several of the Defendants, most of the witness testimony concerned
the distribution of drugs rather than shootings or possession of weapons. The
violent activities, moreover, were primarily aimed at the protection of the
distribution enterprise and its members from rival organizations. Thus, the
evidence of violence was plainly relevant to the charge that the Defendants were
involved in a broad conspiracy.
Second, most of the Defendants challenging the denial of severance were
implicated to some extent in the violent activities. Shaw was allegedly involved in
the threats against the witness Sawyer. Baptiste was involved in the 1991 incident
involving the firing of shots from one vehicle to another and the capture of semi-
automatic firearms (described at trial by Officer Sanchez), the 1995 incident
involving the murder of three people at the Colors Apartments (described by Brian
Gibson), and the threats against witness Sawyer. Leonard Brown was allegedly
involved in the same threats against Sawyer and a prior effort to kill him, the Corey
Murcherson murder, and a 1998 incident in which police recovered firearms
88
thrown from the vehicle in which he was traveling. Other witness testimony
indicated that Brown was frequently armed. Testimony at trial indicated that
Casado was involved in the Palmetto expressway murders. Harper was present for
several violent incidents, including the shooting of Williams at the Rolex.
Hawthorne was involved in the 1998 incident involving the throwing of firearms
from a vehicle (noted above). The only defendants not involved in the alleged
violence were Gibson, Johnson and Baker. As to Gibson, testimony from two
defendants (Roger McCollough and Theodie Brown) indicated that Gibson carried
weapons regularly and kept (or was aware of the presence of) other weapons at her
house. Likewise, testimony from Emery Moon and Cedrick Brantley indicated that
Johnson regularly carried firearms.
In Alvarez, two federal agents were shot – one of them fatally – in the course
of a sting operation conducted against a group of drug dealers. In the ensuing trial,
several defendants were charged with murder in addition to conspiracy to distribute
drugs. The weapons used in the incident were introduced into evidence, as was
testimony regarding the shooting, although photos of the agent’s body were
suppressed. Although two of the co-defendants moved for a separate trial, arguing
that they were not accused of involvement in the shooting and would suffer
incurable prejudice from a joint trial with the accused murderer, the court elected
89
instead to give a curative instruction prior to the introduction of the evidence
concerning the murder, and again at the close of the evidence. We held that the
court’s instruction was sufficient to mitigate any spillover effect, and affirmed the
district court’s denial of severance. Alvarez, 755 F.2d at 858. Although the
evidence of violence in this case was considerably more extensive than that
presented in Alvarez, the defendants in Alvarez were not involved in any alleged
violent acts. That the prejudice inflicted upon the Alvarez defendants was
insufficiently “compelling” to mandate severance suggests that the Rule 14
challenges of the Defendants – many of whom were implicated in violent activity –
must similarly fail.
Third, the judicial economy considerations weighing in favor of a joint trial
are significant. This case involved 15 indicted co-conspirators, a 17-count
indictment, and a 7-week trial with 94 witnesses and substantial physical evidence.
The bulk of the evidence was relevant to demonstrating the existence and scope of
the conspiracy itself. In order to completely shield each defendant from the
potentially prejudicial effect of evidence of violence in which such defendant was
not directly involved, the court would have had to order separate trials for each of
the defendants, and many of the witnesses would have had to testify in multiple
proceedings. The need to avoid such wasteful expenditure of judicial resources is
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the basis for the default rule that co-conspirators should be tried together. See
United States v. Pepe, 747 F.2d 632, 651 (11th Cir. 1984) (stating that judicial
economy weighed “heavily” against severance in a case involving six defendants, a
seven-count indictment, and a five-week trial).
Thus, the potential “spillover effect” of the witness testimony and other
evidence concerning the various co-defendants’ violent activities did not amount to
“compelling prejudice” sufficient to render the district court’s denial of severance
an abuse of discretion. This is particularly clear as to those defendants who were
implicated to some extent in the violence. Baker has a somewhat stronger
argument, since it was not alleged that he participated in any of the shootings or
possessed any of the recovered weapons. Nevertheless, given the relevance of the
evidence to the broader conspiracy charge, the jury’s split decision, the need to
promote judicial economy, and our decision in Alvarez, Baker’s “spillover” claim
must fail as well.
Baker asserts another basis for reversing the district court’s denial of his
severance motion, arguing that the court’s refusal to sever his trial prevented Baker
from obtaining exculpatory testimony from Malcolm Shaw. According to Baker,
Shaw was willing to testify that he never asked Baker to “rip off” drugs or money
from other persons, and that while in Shaw’s presence, Baker had never observed
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any drugs inside the residence of Prancina McIntosh, Baker’s ex-girlfriend and
Shaw’s cousin. Baker produced a sworn affidavit from Malcolm Shaw in support
of this claim. In the affidavit, Shaw stated that he intended to exercise his Fifth
Amendment right and refrain from testifying in his own trial, but would be willing
to testify for Baker in a separate trial. Baker argues that Shaw’s testimony would
have refuted testimony from McIntosh stating that Shaw had told her that Baker
had committed the “rip-offs,” and that while inside McIntosh’s residence, Baker
had observed drugs belonging to Shaw.
A defendant arguing for severance on the ground that it will permit the
exculpatory testimony of a co-defendant must show: (1) a bona fide need for the
testimony; (2) the substance of the desired testimony; (3) the exculpatory nature
and effect of the desired testimony; and (4) that the co-defendant would have
testified at a separate trial. United States v. Cobb, 185 F.3d 1193, 1197-98 (11th
Cir. 1999).
Even if the defendant establishes all four of the above elements, the court, in
deciding whether to grant severance, must still: (1) examine the significance of the
testimony in relation to the defendant’s theory of the case; (2) assess the extent of
prejudice caused by the absence of the testimony; (3) consider judicial
administration and economy; and (4) give weight to the timeliness of the motion.
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Id. Shaw’s affidavit is insufficient to require reversal of the district court’s denial
of severance, for four reasons.
First, the motion was untimely. Federal Rule of Criminal Procedure
12(b)(3)(D) requires that Rule 14 severance motions be made prior to trial.
Although we allow some leeway for defendants whose severance motions are
based on grounds not known before trial, see United States v. Hewes, 729 F.2d
1302, 1320 (11th Cir. 1984), and Baker reasonably argues that he did not know in
advance what testimony McIntosh would give at trial (and thus what Shaw’s
affidavit might usefully contain), Cobb requires that we weigh untimeliness as a
factor. Here, Baker’s motion was not filed until February 16, 2000 – nine days
after the trial began. Nothing prevented Baker from obtaining from his co-
defendants, before the trial, agreements to testify on his behalf in a separate trial,
even if the precise content of such testimony could not be conclusively specified.
Second, the Shaw affidavit was conclusory and self-serving. We have held
that when an affidavit in support of a severance motion proffers testimony that
“consist[s] of bare exculpatory denials, devoid of any specific exonerative facts . . .
[and] in no way contrary to [the co-defendant’s] own interests,” a district court is
justified in refusing to grant severance on the basis of the affidavit. United States
v. Novaton, 271 F.3d 968, 990 (11th Cir. 2001) (quoting Pepe, 747 F.2d at 651).
93
“Therefore, statements concerning the testimony that would become available by
severing trials must be specific and exonerative, rather than conclusory or self-
serving, in order to justify severance.” Novaton, 271 F.3d at 990. The affidavit
submitted in Novaton stated simply that the affiant and the defendant did not
engage in the alleged conspiracy; we held that this statement was insufficient to
require severance. Id. In Pepe, we affirmed a district court’s refusal to sever a trial
based on an affidavit in which the affiants promised to testify that the affiants had
not been involved in any illegal loan sharking, that the defendant was not
associated with any such activity, and that the affiants had never asked the
defendant to attend a meeting concerning such activity. Pepe, 747 F.2d at 650.
Similarly, in United States v. DeSimone, 660 F.2d 532 (5th Cir. Unit B Nov.
1981), we affirmed a district court’s refusal to sever a case based on an affidavit
stating that the affiant had not conspired with his co-defendants, and that neither he
nor they had possessed marijuana as charged in the indictment. Id. at 540. In all
three cases, we noted that the proffered testimony consisted of bare denials, and
tended to exculpate the affiant, thus promoting his/her self-interest.
Shaw’s affidavit, on which Baker based his renewed severance motion,
states Shaw’s willingness to testify that Baker did not “commit[] crimes involving
drugs and or money rip-offs at [Shaw’s] request,” nor “observe[] drugs in my
94
presence.” These statements, like those in Novaton, Pepe, and DeSimone, are
simply general denials of the government’s allegations against Baker, and serve
Shaw’s interest by denying his culpability.
Third, the absence of Shaw’s testimony was insufficiently prejudicial. A
number of other witnesses testified to Baker’s involvement in the conspiracy.
Ronald Raye testified that Baker had pulled over a car in which Raye and Jesus
Wilson were traveling, and had stolen money (the proceeds of a drug sale) from the
trunk. According to Raye, he and Williams had arranged for Baker to stop the car
as part of a fake “bust,” and to steal the money so that Raye and Williams could
collect Wilson’s share. Wilson corroborated the account of the fake “bust” (though
not of the advance planning), and added that Baker regularly socialized with
Williams and that Baker was known as a “dirty cop.” Kenneth Lurry testified that
Malcolm Shaw had advised him that Baker could help him “rip off” certain drug
suppliers by arranging a fake bust and taking the suppliers’ money. Herbert
McCrea similarly testified regarding two instances in which he, Malcolm Shaw,
and Baker planned similar fake busts to “rip off” money from drug suppliers. Even
if Shaw’s proffered testimony were admitted, it is dubious that it would have been
enough to overcome the conflicting and incriminating testimony from these
multiple government witnesses.
95
Fourth, as discussed above, considerations of judicial economy weigh
against holding a separate trial for Baker. Thus, we conclude that the district court
did not abuse its discretion in denying Baker’s motion to sever.
D. Shackling
A week prior to trial, the United States Marshal’s office for the Southern
District of Florida recommended additional security measures for trial. In addition
to calling for the presence of many additional security officers in the courtroom
and an additional magnetometer (metal detector) directly outside the courtroom
doors, the Marshal’s office recommended shackling all of the defendants except
Baker (a police officer who was out on bond), and Johnson (a paraplegic confined
to a wheelchair).
The remaining nine defendants would be bound by leg irons. Each shackled
defendant would have his or her own separate set of irons; they would not be
shackled to one another. To prevent the jury from discovering that the defendants
had been shackled, the Marshal’s office recommended placing an opaque bunting
or drape around the defense counsel table to prevent the jury from seeing the
shackles once the defendants were seated. Moreover, the Marshals actually draped
an opaque bunting around government counsel’s table and along the railing to
make sure the bunting was not focused on any one side of the courtroom. The
96
defendants would also be brought in and out of the courtroom while the jury was
not present, so that they would always be seated behind the bunting while the
jurors were in the jury box. Finally, the Marshal’s office recommended that the leg
irons be padded with styrofoam for the defendants’ comfort and to prevent them
from making noise when the defendants moved.
The defendants objected to the shackling recommendation, and the district
court ordered an evidentiary hearing to determine whether the leg irons were an
appropriate measure. Three witnesses called by the government testified at the
hearing: (1) James Tassone, the Marshal for the Southern District of Florida; (2)
Sergeant Anthony Monheim of the Miami Police Department; and (3) Christina
Fernandez, Supervisor of Court Security for the Marshal’s Office and Tassone’s
supervisor. The defendants cross-examined each of them but called no witnesses
of their own, although given the opportunity. Tassone testified that his office
viewed the case as a “high threat trial,” because of the “sheer number” of
defendants, their “extensive” criminal history, the existence of unindicted co-
conspirators who were still fugitives, and the fact that the indictment charged the
defendants with violent crimes and firearms offenses, some involving weapons that
had not been recovered. Another factor supporting the shackling of these
defendants, Tassone added, was a recent, unrelated multi-defendant trial in which
97
unshackled defendants caused two violent courtroom disturbances, as well as
altercations while being transported to trial and while in holding cells at the federal
detention center. The shackling in this case, he stated, was “precautionary.”
However, on cross-examination Tassone admitted that he had not
determined, on an individual basis, that each of the nine shackled defendants was
dangerous enough to require leg irons, which he described as a “minor
inconvenience.” He did, however, testify that while he did not make individual
assessments of each defendant, his staff in the Marshal’s Office did, researching
the histories of each of the defendants, and also considering the history of the
group as a whole. He told the court his office viewed the defendants “on a total
basis.” Tassone conceded knowing little about the individual defendants himself,
including facts that would be highly relevant to his office’s shackling
recommendation.
For instance, Tassone did not know that both Williams and Casado had
already been tried together for other crimes in the Southern District of Florida and
had not to anyone’s knowledge caused a disturbance, although he “believe[d]” that
his staff “would have taken [this information] into consideration.” He admitted
that he was not personally aware that Leonard Brown had stood trial in state court
on first-degree murder charges (that were alleged in the indictment as an overt act
98
in furtherance of the Count 2 conspiracy) approximately one year prior without
incident. He did not know that Gibson was a 47-year old woman whose only
record of violent criminal activity was a 26-year old manslaughter conviction
related to a domestic incident. Nor did Tassone know that his office had
recommended that Baker and Johnson not be shackled. In fact, Tassone stated that
he “[didn’t] know any of the defendants individually” and “probably” didn’t even
know their names. Nonetheless, Tassone defended his office’s “group assessment”
of the need to shackle nine of eleven defendants on the basis that “it really
wouldn’t be practical to not shackle some [defendants] and shackle others” — even
though his office had not recommended shackling Baker or Johnson based on their
individual characteristics.
Sergeant Monheim, a homicide investigator who had been investigating the
defendants since February of 1998, testified about the danger he felt the defendants
posed at trial. He stated that the “overall picture” of the defendants was “an
organization involved in narcotics trafficking,” with numerous attendant acts of
violence “including drive-by shootings, shootings of innocent persons and 15
murders that . . . [were] charged in the indictment.” 54 He added that most of the
54
The third superseding indictment alleged that six of the shackled defendants had committed at
least one homicide in furtherance of the conspiracy: Pless (five), Williams (two), Casado (four),
Baptiste (one), Brown (two), and Hawthorne (one).
99
murders were committed with assault weapons such as AK 47 assault rifles.
Sergeant Monheim added that Baptiste and other unnamed individuals had
threatened prospective witnesses, that Baptiste had been disruptive during a
medical examination, and that he believed that unindicted co-conspirators who had
access to assault weapons were still at large. Specifically, Monheim testified that
many death threats were made to witnesses, including “threats of harm to
families.”
Sergeant Monheim then detailed the criminal histories of eight of the nine
defendants to be shackled — everyone except Leonard Brown. He stated that
100
Williams,55 Casado,56 Baptiste,57 Harper,58 Pless,59 and Hawthorne60 — all of whom
had been accused of participating in homicides in furtherance of the Count 2
conspiracy — had an extensive history of involvement with violent criminal
activity. Gibson and Shaw, neither of whom were accused of any violent activities
in the government’s indictment, had comparatively less extensive criminal
backgrounds for shackling purposes. Gibson’s criminal history consisted of a 26-
55
Aside from the violent activities Williams had been accused of in the indictment, he had been
convicted of attempted second-degree murder (albeit thirteen years before the hearing), battery
on a police officer, possession of cocaine, and several firearms charges, including a charge of
felon in possession of a firearm and use of a firearm in the commission of a felony.
56
Casado was convicted of attempted first degree murder, use of a firearm by a convicted felon,
battery on a police officer, aggravated assault, escape, and other federal firearms offenses. He
also had adjudication withheld with respect to charges of possession of cocaine, aggravated
assault, burglary, grand theft, and resisting arrest.
57
Baptiste had been convicted of attempted first-degree murder, carrying a concealed firearm,
possession of a firearm by a convicted felon, and probation violations.
58
Harper’s criminal record contained a conviction for use of a firearm in the commission of a
felony, and a 14-year-old juvenile conviction for aggravated battery. However, he had also been
arrested for aggravated assault, battery on a police officer, resisting arrest, and disorderly
conduct, and had charges outstanding for cocaine trafficking. A motion filed by the government
before the shackling hearing also stated that Harper had been arrested for possession of cocaine,
possession of marijuana, escape, disorderly conduct, grand theft, and battery.
59
Pless had been convicted of obstruction of justice, possession of marijuana, and providing
false information to police. He had been charged with carrying a concealed firearm, cocaine
possession (four times), and resisting arrest with violence, for which adjudication had been
withheld, and had been arrested for obstruction of justice, battery, possession of cocaine, and
carrying a concealed firearm.
60
Hawthorne had been convicted of possession of cocaine (thrice), possession of marijuana,
petty theft, obstruction of justice, battery on a police officer, resisting [arrest] with violence,
resisting [arrest] without violence (twice), threatening a public servant, possession of a firearm
by a convicted felon, sale and possession of marijuana (twice), sale of cocaine, and trespass.
101
year-old manslaughter conviction (arising out of killing her husband in 1974), an
arrest for possession of cocaine, and untried charges of aggravated assault and
assault and battery. Similarly, Shaw’s criminal history listed a manslaughter
conviction over ten years old, a conviction for possession of marijuana, and a
charge of cocaine possession on which adjudication was withheld.
Finally, Christina Fernandez reiterated much of what Tassone had said
regarding the Marshal’s recommendation, based not on her personal knowledge but
on her staff’s assessment, stating that it was made: (1) looking at each of the
defendants’ criminal histories and the criminal history taken “as a whole”; (2) the
number of defendants on trial; and (3) recent, unrelated trials in the Southern
District in which unshackled defendants had caused disruptions in court. She
acknowledged that her office had decided, on an individual basis, that Baker and
Johnson did not need shackles because the former was out on bond and the latter
was a paraplegic. She also stated on cross-examination that it would be a “safe
assumption” that if Gibson were tried alone, the Marshal’s office would not
recommend that she be shackled.
Prior to hearing the first witness in this matter, the district court
acknowledged that it had to make individualized findings as to each defendant, as
well as examining the totality of the circumstances. Moreover, the district judge
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expressly recognized that the decision whether to shackle was ultimately his
independent determination to make. The district court also expressly recognized
that shackling is a restraint that should rarely be used. After taking arguments
from each of the defense lawyers, the district court found that in this case,
shackling was “the appropriate, least restrictive[,] and necessary security measure
to be employed” at trial. It did so on the basis of the number of defendants to be
tried (eleven, ten of whom were held without bond), the “extensive” violent
criminal histories of “a number of” the shackled defendants (including “homicides,
attempted homicides, shootings and threats, which . . . gives rise to additional
security concerns”), and the disruptions caused by unshackled defendants at prior,
unrelated trials in the Southern District.
The district court disagreed with defense counsel’s argument that the jury
might be able to see the shackles through a gap between the bunting and the floor,
determining that the bunting would effectively prevent the jury from seeing the leg
irons from the jury box. It further stated that there was little chance that the
bunting would look out of place in the courtroom, and thus suggest to the jury that
it was concealing something of importance, because: (1) the bunting’s color
matched the courtroom’s carpeting; and (2) the bunting was placed around the
government counsel’s table, too, as well as on the railing that separated both
103
counsel tables from the courtroom gallery. The court concluded that the bunting
was as “unobtrusive” as possible given the circumstances and would not arouse the
jury’s curiosity as it was not “focused on any one side of the room”.
A review of the pertinent case law, including the Supreme Court’s most
recent foray into this area in Deck v. Missouri, 125 S. Ct. 2007 (2005), yields these
important principles: First, the decision to use shackles to restrain a defendant at
trial should rarely be employed as a security device. United States v. Mayes, 158
F.3d 1215, 1225 (11th Cir. 1998). The Supreme Court has observed that “no
person should be tried while shackled . . . except as a last resort.” Illinois v. Allen,
397 U.S. 337, 344 (1970). Second, the act of shackling a defendant implicates a
defendant’s right to a fair trial. Among the important interests implicated by
shackling are the presumption that a defendant is innocent until proven guilty,
Deck, 125 S. Ct. at 2013, the right of the accused to secure a meaningful defense,
id., and the need to maintain a judicial process that is not an affront to the dignity
and decorum of the proceeding itself. Id.; Mayes, 158 F.3d at 1225.
Third, if a judge intends to shackle a defendant, he must make a case specific
and individualized assessment of each defendant in that particular trial. Deck, 125
S. Ct. at 2015. That assessment may include consideration of, among other things,
the criminal history and background of each of the defendants, including whether
104
the defendant has a history of violent acts; the number of defendants being tried
together; the nature of the charges pending against the defendants, including
whether the charged offenses include violent criminal conduct; any past history of
conduct by a defendant that may have disrupted a criminal proceeding; and other
circumstances, such as threatening behavior against witnesses or court personnel,
that may reasonably bear upon the safety of the courtroom and its occupants or
upon the danger of escape. As the Supreme Court observed in Deck,
[t]here will be cases, of course, where these perils of shackling are
unavoidable. We do not underestimate the need to restrain dangerous
defendants to prevent courtroom attacks, or the need to give trial
courts latitude in making individualized security determinations. We
are mindful of the tragedy that can result if judges are not able to
protect themselves and their courtrooms. But given their prejudicial
effect, due process does not permit the use of visible restraints if the
trial court has not taken account of the circumstances of the particular
case.
Deck, 125 S. Ct. at 2014 (citation omitted). As such, in making the calculus
whether to shackle, the district court may not bolster its determination on the basis
of other, unrelated cases. See Deck, 125 S. Ct. at 2009 (holding that the use of
visible shackles is prohibited unless “that use is justified by an essential state
interest - - such as the interest in courtroom security - - specific to the defendant on
trial”) (emphasis added). Rather, Deck has made clear that the district court must
identify particular security concerns, related to the defendants on trial, that justify
105
shackling. Id. at 2014-15.
Finally, we review the district court’s shackling determination for abuse of
discretion. United States v. Durham, 287 F.3d 1297, 1303-04 (11th Cir. 2002).
Thus, “we must affirm unless we find that the district court has made a clear error
of judgment, or has applied the wrong legal standard.” United States v. Frazier,
387 F.3d 1244, 1259 (11th Cir. 2004) (en banc).
Having laid out these principles, we turn to the shackling determination
made in this case. As noted already, of the eleven named defendants standing trial,
nine were shackled (Baptiste, Harper, Pless, Williams, Gibson, Leonard Brown,
Casado, Hawthorne, and Shaw), and two were not (Baker, who was out on bond
and was a police officer, and Johnson, a wheelchair-bound paraplegic who was in
custody).
The district court found that shackling was the least restrictive and necessary
security measure to be employed based upon: (1) the fact that the restraints would
not be visible to the jury and the covering bunting was adorned uniformly
throughout the courtroom; (2) the large number of violent defendants to be tried;
(3) the fact that “a number of defendants present extensive criminal histories . . .
involving homicides, attempted homicides, shootings and threats”; and (4)
disruptions caused by defendants at an unrelated trial that was apparently
106
conducted earlier in the Southern District of Florida. The district judge stated that
he tried to provide an individualized determination “by listening to each one of [the
defendants] individually.”
We have said that the first two reasons may weigh in favor of shackling.
See United States v. Battle, 173 F.3d 1343, 1346-47 (11th Cir. 1999) (non-visible
restraints); Mayes, 158 F.3d at 1225-26 (large number of defendants being tried
together). Moreover, the violent criminal histories of particular defendants may
also support a decision to shackle.61
It was, however, improper for the district court to shackle the defendants
based upon what happened in other, unrelated trials involving different defendants
and different charges. Deck, 125 S. Ct. at 2015. A “once bitten, twice shy”
rationale is not an appropriate consideration in the shackling context. Deck, 125 S.
Ct. at 2015 (Again, “any [shackling] determination must be case specific; that is to
say, it should reflect particular concerns, say special security needs or escape risks,
related to the defendant on trial.”) (emphasis added). The district court must thus
connect its security concerns to the particular defendants and the case on trial.
Despite our concerns that the district court erroneously referenced other
61
Similarly, that the district court "gave defense counsel the opportunity to respond to its
concerns and the proposed actions, and to raise alternative proposals," as the court did here, is
also a factor in determining whether the court abused its discretion. Mayes, 158 F.3d at 1225
(internal quotation marks omitted).
107
unrelated trials, and did not make express defendant-by-defendant findings, we
cannot say that this entitles Williams, Casado, Baptiste, Harper, Pless, or Brown to
a new trial. Their individual criminal histories, including many violent crimes, the
violent crimes for which they were in fact indicted, the sheer number of defendants
on trial, the fact that each of the defendants had a full opportunity to respond to the
court’s concerns and raise alternative proposals, and the lack of any record
evidence that the jury could see the shackles, convinces us that the district court
did not abuse its discretion in shackling them.
Arguably, Shaw presents a closer case. The indictment did not allege that he
was directly involved in any violent criminal activity; and while his criminal
history did include one violent act – a manslaughter conviction – that act occurred
more than a decade earlier. However, the combination of the sheer number of
defendants, the fact that the defense had a full opportunity to respond to the court’s
concerns and raise alternative proposals, and the lack of any record evidence that
the jury could see the shackles, again convinces us that the district court did not
abuse its discretion in shackling him.
We have more reservations about the district court’s decision to shackle
Gibson. The indictment did not allege that Gibson was directly involved in any
violent criminal activity. And although she engaged in a violent act in the past,
108
that history was limited to a twenty-six year-old manslaughter conviction arising
out of a domestic dispute. Indeed, the district court decided to shackle Gibson after
hearing evidence from the U.S. Marshal’s office — which it appeared to credit —
that the Marshal would not have recommended that Gibson be shackled if she had
been tried separately. Nor did the district court in any way suggest that if she were
not shackled, while the others were, this would present a serious risk or danger to
the court or its occupants. Moreover, as we have noted already, the district court
did not make any express, individualized assessment of Gibson’s dangerousness or
risk, and erroneously referenced other unrelated trials.
Nonetheless, even assuming arguendo that the district court’s decision to
shackle Gibson was an abuse of discretion, when considered in combination with
the other evidentiary errors already outlined, the prejudice was not sufficiently
great to merit reversal of Gibson’s conviction. Unlike Deck, the shackles used
here were not visible to the jury, and thus did not undermine the presumption of
innocence in the jurors’ minds such that they were “inherently prejudicial.” Deck,
125 S. Ct. at 2015. Nor is there any indication on this record that Gibson was ever
impeded from consulting fully with counsel. Rather, as discussed above, the
substantial admissible evidence adduced in support of Gibson’s conviction,
combined with the jurors’ return of a not-guilty verdict on Count 17, demonstrates
109
that on the facts and circumstances of this case, any such error would be harmless
beyond a reasonable doubt. We recognize the seemingly increased threats to our
courtrooms, and the discretion reposed in the district courts, but we nonetheless
remind the district courts that they are required to make case specific and
individualized findings when imposing these kinds of serious and onerous
restraints.62
E. Denial of Williams’ and Casado’s Continuance Motions
On June 11, 1999, Georgia-based attorney J. Malik Frederick filed a motion
for admission to the Southern District of Florida pro hac vice to represent
Williams, with Miami attorney Neil Nameroff acting as local counsel. Frederick’s
and Nameroff’s appearances were entered on the same day. On June 17, 1999,
Frederick was arrested in Georgia on money laundering charges; he was released
on bond on June 25.
On September 1 and 8, 1999, respectively, the Government returned second
and third superseding indictments. On September 30, 1999, Frederick entered a
permanent appearance as Williams’ lead counsel. On October 14, 1999, Clayton
R. Kaiser filed an appearance as local counsel, replacing Nameroff. The district
court set trial to begin on February 7, 2000.
62
We do not address the effect of shackling on Hawthorne because he is entitled to a new trial on
other grounds.
110
On November 11, 1999, James Benjamin was appointed to represent
Casado.
On December 6, 1999, the Government moved to revoke Frederick’s bond in
his money laundering case, claiming that he had violated the conditions of the
bond. On December 17, 1999, a U.S. Magistrate revoked the bond, and on
December 22, Frederick was arrested; he remained incarcerated throughout
Williams’ trial.
On December 30, 1999, Frederick (through an associate) filed a motion to
continue Williams’ trial at least one month. At a January 7, 2000 hearing on the
motion, Williams stated that he had not been involved in the appointment with
Kaiser, had no relationship with Kaiser, and wished to appoint a different lead
counsel; Kaiser indicated that he had done nothing up to that point other than
monitoring events locally and forwarding discovery to Frederick’s office in
Georgia. The court denied the motion, noting the difficulty of blocking out the
length of time on its calendar necessary to try the case, the fact that there was one
month left before trial, as well as the fact that Kaiser was responsible as local
counsel “for all purposes”. The court added that Williams was free to select an
alternate lead counsel.
On February 1, 2000, Kaiser moved to be appointed to represent Williams;
111
the motion was granted on February 3. On the same day that Kaiser was
appointed, the district court held a status conference, at which Kaiser again
requested a continuance. An associate of Frederick’s, who was still assisting
Williams in the case, stated to the court that no work of substance had been done
on the case since the January 7 hearing, and that Williams and Kaiser had never
met in that period. Another attorney, Peter Heller, appeared at the hearing and
stated that he would agree to appear as lead counsel if a continuance were granted.
The district court denied the renewed motion. Benjamin (Casado’s attorney) also
requested a continuance, stating that he too was unprepared for trial.
On February 7, 2000, the first day of trial, Kaiser renewed his continuance
motion. Kaiser indicated that in the month since he was elevated to lead counsel,
he had been unable to adequately prepare for the trial, noting that he had been
forced to rearrange his work on other matters and had not yet received all of the
case files from Frederick’s office in Georgia. The court denied the renewed
motion, and the case proceeded to trial.
Following direct examination of the Government’s third witness, Detective
Capote, Casado’s counsel stated that he was unprepared to cross-examine, and
again requested a continuance or recess. The court denied the request.
Both Williams and Casado challenge the district court’s denial of their
112
various continuance motions. We review a district court’s denial of a trial
continuance for abuse of discretion. Quiet Tech. DC-8, Inc. v. Hurel-Dubois UK
Ltd., 326 F.3d 1333, 1340 (11th Cir. 2003).
The Sixth Amendment right to counsel guarantees a defendant “both a fair
opportunity to be represented by counsel of his own choice and a sufficient time
within which to prepare a defense.” Gandy v. Alabama, 569 F.2d 1318, 1321 (5th
Cir. 1978). While the denial of a continuance request can in some cases amount to
a violation of this due process right to counsel, id. at 1322, the right to counsel of
choice is not as absolute as the right to the assistance of counsel. Id. at 1323
(citing, inter alia, United States v. Gray, 565 F.2d 881, 887 (5th Cir. 1978)). As
such, the Supreme Court has made it clear that not every denial of a request for a
continuance is a denial of due process:
The matter of continuance is traditionally within the discretion
of the trial judge, and it is not every denial of a request for more
time that violates due process even if the party fails to offer
evidence or is compelled to defend without counsel.
Contrariwise, a myopic insistence upon expeditiousness in the
face of a justifiable request for delay can render the right to
defend with counsel an empty formality. There are no
mechanical tests for deciding when a denial of a continuance is
so arbitrary as to violate due process. The answer must be
found in the circumstances present in every case, particularly in
the reasons presented to the trial judge at the time the request is
denied.
Ungar v. Sarafite, 376 U.S. 575, 589-91 (1964).
113
The proper exercise of the trial court’s discretion thus requires a delicate
balance between the defendant’s right to adequate representation by counsel of his
choice and the general interest in the prompt and efficient administration of justice.
Gandy, 569 F.2d at 1323 (citing United States v. Uptain, 531 F.2d 1281, 1291 (5th
Cir. 1976)). Defendants are only guaranteed a fair or reasonable opportunity to
select the attorney of their choice. United States v. Bowe, 221 F.3d 1183, 1190
(11th Cir. 2000) (citing Gandy, 569 F.2d at 1323-24)).
When deciding whether a denial of a continuance impinged on the
defendant’s “fair and reasonable opportunity” to choose counsel, reviewing courts
should consider a number of factors, including: (1) the length of the delay; (2)
whether the counsel who becomes unavailable for trial has associates prepared to
try the case; (3) whether other continuances have been requested and granted; (4)
the inconvenience to all involved in the trial; (5) whether the requested continuance
is for a legitimate reason; and (6) any unique factors. Bowe, 221 F.2d at 1190. It
is of no relevance that substitute counsel has not been shown to have performed
incompetently or ineptly. The claimed deprivation is an arbitrary encroachment on
the right to counsel of choice, not a claim of ineffective assistance rendered in the
performance by the substitute counsel. Gandy, 569 F.2d at 1326.
We have previously found that a trial court’s denial of a continuance motion
114
violated a defendant’s Sixth Amendment right to counsel. In Gandy, the defendant
was charged with carnal knowledge of a minor, indicted and served with a copy of
the indictment on May 21, 1970, and arraigned in the presence of retained counsel
on December 2, 1970. At a hearing on February 22, 1971, from which the counsel
was absent, the court set the trial for the next day. At the beginning of the 2-day
trial, the defendant’s counsel advised the court that on the following day he would
be engaged in a civil trial at another court, and would be unable to represent the
defendant. The counsel sought a continuance until the conclusion of the civil trial,
but his request was denied. Thereafter, the counsel arranged for his law partner,
who was present but had no familiarity with the case, to assist in the case; the
original counsel would take the lead on the first day, and his partner would take
over the case on the second day. Pursuant to arrangement, the trial took place as
scheduled, and the defendant was convicted. Id. at 1320.
In holding that the denial of the continuance motion violated the defendant’s
right to counsel, we noted that: (1) the requested continuance was of a fairly short
duration; (2) the replacement counsel was “completely unprepared and unfamiliar
with the case”; (3) other continuances had been requested by and granted to both
sides; (4) losing the services of retained counsel outweighed any inconvenience to
the court or other parties; (5) the requested delay did not appear to be a defense
115
strategy or dilatory tactic; and (6) the trial court was fully aware of the planned
abandonment and all the other factors when the request was denied. Id. at 1324.
In United States v. Verderame, 51 F.3d 249 (11th Cir. 1995), we found a
right to counsel violation based purely on the fact that the defendant’s counsel was
given insufficient time to prepare. In that case, the defendant was charged with
conspiracy to possess with intent to distribute marijuana and cocaine. He was
arraigned on May 4, 1993, and the trial date set for June 3. He retained counsel on
May 7, and filed a continuance motion on May 13. The motion was denied on
May 26; successive continuance motions were also denied, the last on June 3. The
trial began on June 7, and the defendant was ultimately convicted. Id. at 250-51.
We found that the 34 days the defendant had between arraignment and trial was
insufficient time for the defendant’s counsel to prepare his case, given that: (1) the
government had spent years investigating the case; (2) the property forfeiture
aspect of the case grew to encompass additional property during that pre-trial
period; (3) the cocaine conspiracy charge was dropped four days before trial,
shifting the focus to the marijuana charge; and (4) the government could not
provide adequate pre-trial disclosure of its documents to the defense within that
time. Id. at 252. Thus, we held that in denying the continuance motion, the court
had abused its discretion and violated the defendant’s right to counsel. Id.
116
In other cases, we have held that the trial court did not err in denying a
defendant’s motion to continue in order to seek replacement counsel. In Bowe, for
example, the defendant was charged with conspiracy to import cocaine. With
slightly over two and a half months to go before the trial, his lead counsel was
arrested, and later entered a drug rehabilitation program. The defendant’s other
counsel requested a continuance until the lead counsel completed rehabilitation,
and at a September 14 status conference explained that the defendant wanted to
ensure that the lead counsel participated in his defense. The court denied the
motion, the case went to trial on November 1, and the defendant was convicted.
Bowe, 221 F.3d at 1188.
In that case, we held that the denial of continuance did not violate the
defendant’s right to counsel. As support for the holding, we noted that: (1) the
requested continuance was “lengthy and open-ended”; (2) the defendant still had
two other defense attorneys who had been working on the case for six months prior
to the trial;63 (3) the defendant had two and a half months after the lead counsel
became unavailable, and nearly one month after the denial of the continuance
motion, to find additional counsel for his defense team; (4) the defendant had been
63
We further observed that although the remaining counsel represented that they had no trial
experience, the defendant could have retained a replacement trial counsel. Bowe, 221 F.2d at
1191, n.8.
117
arraigned more than a year before trial; and (5) the court dismissed twelve of the
thirteen counts in the indictment, thereby easing the defense’s trial burden. Id. at
1190-91.
In United States v. Barrentine, 591 F.2d 1069 (5th Cir. 1979), the defendants
were charged with conspiracy to transport gambling paraphernalia and to conduct
an illegal gambling business. They were indicted, along with 16 other defendants,
on September 27, 1977, informed of the indictment two days later, and retained
counsel two days after that. They were arraigned on October 7, and on October 12
were notified that the trial was set for October 31. Once the trial date was
announced, defendants and their counsel realized that counsel had a conflict with
another case, and on October 14 they moved for a continuance. The motion was
denied on October 18 and the trial began as scheduled (lasting 10 days). At the
trial’s opening, the original counsel’s law partner appeared, announced that
original counsel would not be available for the trial, and proceeded to represent the
two defendants himself. The defendants, as well as their 16 co-defendants, were
convicted.
We held that the denial of the continuance motion did not violate the
defendants’ rights to counsel, observing that (1) the defendants knew of the
likelihood they would be prosecuted some 4 ½ months before the trial; (2) the trial
118
involved 47 government witnesses and 18 defendants, and would thus be difficult
to reschedule; (3) the other 16 defendants were ready to go to trial on the arranged
date; (4) the replacement counsel was as experienced as the original counsel, and
appeared reasonably familiar with the case; (5) the attorneys for the other
defendants were prepared and vigorously attacked the government’s case; and (6)
the defendants had time after the denial of their motion to arrange for an acceptable
replacement counsel, but failed to do so. Moreover, we stated that “[t]he record
supports the inference that [defendants and their attorney] made a calculated
attempt to force a continuance notwithstanding their knowledge of the trial judge’s
strongly voiced contrary ruling.” Id. at 1074-75.
Finally, in United States v. Davis, 967 F.2d 516 (11th Cir. 1992), the
defendant, a state legislator, was accused of taking bribes in violation of the Hobbs
Act, 18 U.S.C. § 1951. She was indicted on October 6, 1989, and trial began two
months later on December 4, after the district court denied the defendant’s
continuance motion. Although we noted that the case involved “extensive
discovery,” including 40-50 hours of audiotapes, 750 wiretapped telephone
conversations, 30 witnesses and 300 subpoenaed documents, we also observed that
the tapes and transcripts were available for most of the pretrial period, and that the
court had a valid interest in trying the case before the next state legislative session,
119
in order to allow other state legislators to testify. Id. at 518. Finding that the two
month period was adequate time for the defense to prepare, we affirmed the
conviction.
Under this case law, Casado’s challenge must fail. On the one hand, the
instant case involved a great deal of witness testimony and other evidence. The
alleged conspiracy covered an eight year period, and involved multiple alleged acts
in furtherance. Over one hundred witnesses testified at trial; many of them directly
incriminated Casado. On the other hand, most of the witnesses had criminal
records that were readily available to the defense for use in cross-examination.
Moreover, the court’s concern over the difficulty of finding adequate space in its
calendar for such a lengthy trial, and of coordinating the schedules of the co-
defendants’ counsels and the many witnesses, was legitimate:
The calendar control of modern criminal court dockets,
especially in metropolitan communities, is a sophisticated
operation constantly buffeted by conflicting forces. The
accused’s rights . . . are constantly in . . . conflict with the
prosecution’s legitimate demands for some stability in the
scheduling of cases. The availability of prosecution witnesses
is often critically dependent on the predictability of the trial list.
...[D]elays and postponement only increase the reluctance of
witnesses to appear in court, especially in criminal matters . . . .
To permit a continuance to accommodate one defendant may in
itself prejudice the rights of another defendant whose trial is
delayed because of the continuance.
Gandy, 569 F.2d at 1325 n.9. Further, Casado was indicted nearly a year before
120
trial, and his counsel was appointed three months before trial. There is no
indication that Casado’s counsel was impeded in his attempts to access evidence or
otherwise prepare.
Though Williams has a somewhat stronger claim, he still cannot prevail.
First, the unavailability of his counsel – Mr. Frederick – appears to be bona fide
and not attributable to any stratagem of delay. Second, Williams was the primary
defendant at trial, cast as the ringleader of the conspiracy. More testimony (from at
least thirty witnesses) and other evidence implicated him than any other defendant.
Third, Kaiser only had one month’s notice that he was being elevated to lead
counsel – less time than Casado’s lead counsel, or the counsel in Gandy,
Verderame, Barrentine, and Davis, had.
On the other hand, as early as June 17 (when Frederick was arrested),
Williams had notice that there was a possibility his lead counsel would have
difficulty in preparing and trying his case. The government sought to have
Frederick’s bond revoked on December 6, and the bond was revoked on December
17. Thus, Williams could have begun shopping for a new lead counsel some time
prior to January 2000 – perhaps as much as 6 ½ months earlier. Kaiser appeared as
local counsel on October 14 – over 3 ½ months before the trial began. Although he
states that his participation was extremely limited prior to January, he at least had
121
an earlier opportunity to prepare for the possibility that Frederick’s own criminal
prosecution would interfere with Frederick’s ability to conduct the defense.
Further, like the defendant in Bowe, Williams gave no indication as to how much
time he would need to prepare the case. Finally, the trial’s length, and number of
parties and witnesses, made rescheduling particularly difficult.
While the inconvenience that a continuance would have caused the court and
the other parties alone would not likely justify a decision to force Williams to go to
trial with brand-new, undesired counsel who had no opportunity to prepare, other
factors plainly support the district court’s decision to deny Williams’ continuance.
Indeed, Williams is not as blameless as the defendants in Gandy and Verderame.
In failing to make arrangements for a backup counsel between the time of
Frederick’s initial arrest and the denial of his continuance motion on January 7,
Williams took a gamble somewhat akin to that of the defendants in Barrentine.
With over six months of notice that such a problem was substantially likely to
occur, with the admitted means to obtain alternate counsel, and with a local
counsel retained over three months before trial, Williams prejudiced himself by
waiting until the eleventh (or at least the tenth) hour to seek a solution. The district
court did not abuse its discretion in denying his motion for continuance.
F. Improper Closing Arguments by the Prosecution
122
Seven defendants (Williams, Casado, Gibson, Shaw, Baptiste, Harper, and
Johnson) allege that the prosecutor made improper closing arguments that violated
their due process rights and entitle them to a new trial. Specifically, they claim
that the prosecutor improperly: (1) bolstered witness testimony; (2) commented on
their right to remain silent; (3) asked the jury to act as the “conscience of the
community” by returning guilty verdicts; and (4) asked the jury to convict the
defendants based on their bad character.
Whether prosecutorial statements, which were objected to at trial, violated
due process is a mixed question of law and fact that we review de novo. See
United States v. Eyster, 948 F.2d 1196, 1206 (11th Cir.1991). We will reverse a
defendant’s conviction based on a prosecutor’s statements when they are: (1)
improper; and (2) prejudice the defendant. Id. at 1206. Improper statements
prejudice the defendant when there is “a reasonable probability that, but for the
prosecutor's offending remarks, the outcome of the ... [proceeding] would have
been different. [A] reasonable probability is a probability sufficient to undermine
confidence in the outcome.” Id. (internal quotation marks and citation omitted).
Thus, we examine whether any of the prosecutor’s statements were improper, and
then review their prejudicial effect in the aggregate. Having done so on this
record, we find that the challenged statements, when read in context, are merely
123
permissible discussions of the evidence presented at trial, the prosecutor’s
credibility arguments, and the prosecutor’s arguments that the evidence has shown
the defendants’ guilt. See United States v. Adams, 799 F.2d 665, 670 (11th Cir.
1986); United States v. Eley, 723 F.2d 1522, 1526 (11th Cir. 1984).
G. Sentencing
Seven defendants (Harper, Williams, Casado, Baptiste, Shaw, Hawthorne,
and Pless) also challenge their sentences on appeal.64
1. Harper
The jury convicted Harper of violating 21 U.S.C. §§ 841(a)(1) and 846 as
alleged in Count 2 of the indictment. Section 2D1.1 of the U.S. Sentencing
Guidelines governs the punishment for violations of § 846. However, that
guideline provides that “[i]f a victim was killed under circumstances that would
constitute murder under 18 U.S.C. § 1111 65 had such killing taken place within the
64
We do not reach the sentencing arguments made by Hawthorne because he is entitled to a new
trial on other grounds.
65
At the time of sentencing, 18 U.S.C. § 1111 defined murder as:
[T]he unlawful killing of a human being with malice aforethought. Every murder
perpetrated by poison, lying in wait, or any other kind of willful, deliberate,
malicious, and premeditated killing; or committed in the perpetration of, or attempt
to perpetrate, any arson, escape, murder, kidnaping, treason, espionage, sabotage,
aggravated sexual abuse or sexual abuse, burglary, or robbery; or perpetrated from
a premeditated design unlawfully and maliciously to effect the death of any human
being other than him who is killed, is murder in the first degree.
Any other murder is murder in the second degree.
124
territorial or maritime jurisdiction of the United States,” the district court must
instead sentence the defendant under § 2A1.1, the guideline applicable for federal
first-degree murder convictions. U.S.S.G. § 2D1.1(d)(1) (2000). Section 2A1.1, in
turn, set the defendant’s base offense level at 43, which mandated a life sentence.
U.S.S.G. § 2A1.1 (2000).
The district court based its decision to sentence Harper under § 2A1.1 on
testimony from Johnny Hankins, an associate of Williams, Harper, and other co-
defendants, who testified at trial that Williams told him Harper had driven the
getaway car for the 1994 Benny Brownlee murder.66 Harper objected to receiving
an enhanced sentence for murder based on hearsay testimony by one witness, but
the district court found Hankins’ testimony credible and denied the objection.
18 U.S.C. § 1111(a) (2000).
66
Hankins’ testimony stated:
Q: Did Boobie [Williams] tell you who shot and killed Benny?
A: Yes he did.
Q: What did he tell you?
A: Him and Marvin Rogers kill Benny.
Q: Who is Marvin Rogers?
A: Marvin Rogers also perished this present time.
Q: He’s deceased?
A: Yes.
Q: Is he also one of the individuals that you identified who was driving the vehicle?
A: Chico.
Q: Who is Chico?
A: Mike Harper.
Q: Who told you that?
A: Boobie told me, Mike also related that information to me.
125
We review the district court’s application of the sentencing guidelines de
novo and its findings of fact for clear error. United States v. Grant, 397 F.3d 1330,
1332 (11th Cir. 2005).67
The district court did not err in sentencing Harper under §§ 2D1.1(d)(1) and
2A1.1 based on Hankins’ testimony, regardless of whether it was hearsay. A
sentencing court may consider any information, (including hearsay), regardless of
its admissibility at trial, in determining whether factors exist that would enhance a
defendant's sentence, provided that the evidence has sufficient indicia of reliability,
the court makes explicit findings of fact as to credibility, and the defendant has an
opportunity to rebut the evidence. United States v. Zlatogur, 271 F.3d 1025, 1031
(11th Cir. 2001); see also Williams v. Oklahoma, 358 U.S. 576, 584 (1959)
(“[O]nce the guilt of the accused has been properly established, the sentencing
judge, in determining the kind and extent of punishment to be imposed, is not
restricted to evidence derived from the examination and cross-examination of
witnesses in open court .”); Williams v. New York, 337 U.S. 241, 246-51 (1949)
(“[M]odern concepts individualizing punishment have made it all the more
necessary that a sentencing judge not be denied an opportunity to obtain pertinent
67
“Although Booker established a ‘reasonableness’ standard for the sentence finally imposed on
a defendant,” Booker does not alter the standards we use to review a district court’s application
of the U.S. Sentencing Guidelines. United States v. Crawford, 407 F.3d 1174, 1178 (11th Cir.
2005).
126
information by a requirement of rigid adherence to restrictive rules of evidence
properly applicable to the trial.”). The sentencing guidelines make the same point.
U.S.S.G. § 6A1.3(a) (2004) (“In resolving any dispute concerning a factor
important to the sentencing determination, the court may consider relevant
information without regard to its admissibility under the rules of evidence
applicable at trial, provided that the information has sufficient indicia of reliability
to support its probable accuracy.”).68
68
The recent Supreme Court decisions in United States v. Booker and Crawford v. Washington
do not affect our rule that the district court may base sentencing determinations on reliable
hearsay. Booker held that when a district court sentences a defendant under mandatory
sentencing guidelines, any fact (other than a prior conviction) which is necessary to support a
sentence exceeding the maximum authorized by the facts established by a plea of guilty or a jury
verdict must be admitted by the defendant or proven to a jury beyond a reasonable doubt.
Booker, 125 S. Ct. at 756. The Booker Court then struck down as unconstitutional the portions
of the Guidelines that made them mandatory and provided for standards of review on appeal, id.
at 764, and retained the remaining, advisory, guidelines while instructing appellate courts to
review sentences for “reasonableness.” Id. at 765-67. Notably, the Booker Court did not strike
down 18 U.S.C. § 3661, which provides that, “[n]o limitation shall be placed on the information
concerning the background, character, and conduct of a person convicted of an offense which a
court of the United States may receive and consider for the purpose of imposing an appropriate
sentence.” In fact, Justice Scalia’s dissent in Booker indicates that the majority’s holding did not
alter a sentencing court’s ability to rely upon hearsay to make sentencing determinations.
Booker, 125 S. Ct. at 789-90 (Scalia, J., dissenting in part) (“Inexplicably, however, the
[majority] opinion concludes that the manner of achieving uniform sentences was more
important to Congress than actually achieving uniformity--that Congress was so attached to
having judges determine ‘real conduct’ on the basis of bureaucratically prepared, hearsay-riddled
presentence reports that it would rather lose the binding nature of the Guidelines than adhere to
the old-fashioned process of having juries find the facts that expose a defendant to increased
prison time.”)
Nor does Crawford, absent a more definitive decision from the Supreme Court, alter the
rule that may base sentencing determinations on reliable hearsay. Crawford, as stated above,
holds that the Confrontation Clause forbids the introduction of testimonial hearsay at trial unless
(1) the declarant is unavailable, and (2) and the defendant has had a prior opportunity to cross-
examine the declarant. Crawford, 541 U.S. at 68. However, Crawford does not address the use
of hearsay, testimonial or otherwise, at sentencing, and we will not extend its holding to the
127
The district court thus did not err in applying § 2A1.1 to Harper’s conduct
based on Hankins’ testimony, nor did it clearly err in determining that Harper in
fact drove the getaway car. There is no indication that Hankins’ statement lacked
sufficient indicia of reliability to support its probable accuracy.
Next, Harper argues that the district court erred when it found him
responsible for cocaine base in excess of 50 grams because (1) the evidence before
the court was insufficient to make such a finding; and (2) that determination should
have been made by a jury, consistent with Apprendi v. New Jersey, 530 U.S. 466,
(2000), and Ring v. Arizona, 536 U.S. 584 (2002), and thus by extension, Blakely
v. Washington, 542 U.S. 296 (2004), and Booker. We need not reach either
argument because any error would necessarily be harmless. The district court
properly sentenced Harper under U.S.S.G. §§ 2D1.1(d)(1) and 2A1.1, which
mandates a life sentence regardless of the quantity of drugs involved.69 See United
sentencing context to overrule Zlatogur without further guidance. See Garrett v. Univ. of Ala. at
Birmingham Bd. of Trs., 344 F.3d 1288, 1291 n.6 (11th Cir. 2003) (“While an intervening
decision of the Supreme Court can overrule the decision of a prior panel of our court, the
Supreme Court decision must be clearly on point.”); Fla. League of Prof’l Lobbyists, Inc. v.
Meggs, 87 F.3d 457, 462 (11th Cir. 1996) (“We are not at liberty to disregard binding case law
that is so closely on point and has been only weakened, rather than directly overruled, by the
Supreme Court.”). Thus, our holding in Zlatogur that a sentencing court may base sentencing
determinations on reliable hearsay is still good law. See United States v. Martinez, 413 F.3d
239, 243 (2d Cir. 2005); United States v. Chau, 426 F.3d 1318, 1323 (11th Cir. 2005); United
States v. Dazey, 403 F.3d 1147, 1177 n.7 (10th Cir. 2005).
69
To the extent that Harper makes his Apprendi/Booker argument with respect to the district
court’s findings about his involvement in the Brownlee murder, he is not entitled to relief.
Harper raised his Apprendi/Booker argument for the first time on appeal, so we review it for
128
States v. Padro Burgos, 239 F.3d 72, 76-77 (1st Cir. 2001).
2. Williams
Williams makes the same three challenges to his life sentence raised by
Harper. As in Harper’s case, Williams was sentenced to life in prison pursuant to
U.S.S.G. §§ 2D1.1(d)(1) and 2A1.1, and as in Harper’s case, we find no error with
the district court’s application of these guidelines based on evidence that Williams
had participated in several murders connected to the Count 2 conspiracy.
Moreover, any error with respect to the district court’s determination of drug
quantity is harmless given Williams’ life sentence under § 2A1.1. See Padro
Burgos, 239 F.3d at 76-77.70
3. Pless
Pless also argues that the district court erred in sentencing him pursuant to
U.S.S.G. §§ 2D1.1(d)(1) and 2A1.1, claiming that there was insufficient evidence
connecting him to any of the homicides committed in furtherance of the Count 2
conspiracy. In particular, Pless argues that the Roosevelt Davis homicide cannot
plain error only. United States v. Rodriguez, 398 F.3d 1291, 1298 (11th Cir. 2005). To satisfy
the third prong of plain-error review in the Booker context, the defendants must prove that “there
is a reasonable probability of a different result if the guidelines had been applied in an advisory
instead of binding fashion by the sentencing judge in this case.” Id. at 1301. This Harper cannot
do; there is nothing in the record that would indicate that the sentencing judge would have
imposed a lesser sentence on Harper had the Guidelines been only advisory. Id.
70
And as in Harper’s case, Williams cannot meet the third prong of the plain-error test with
respect to his Booker-related claim, which was raised for the first time on appeal.
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support the § 2A1.1 sentence, as that homicide was unrelated to the Count 2
conspiracy. However, the district court relied on testimony from Pagan and
Texidor to reach the contrary conclusion. As the district court’s conclusion
satisfies the preponderance of the evidence standard, we find no reversible error.
See Padro Burgos, 239 F.3d at 77.71
4. Casado
Casado disputes the district court’s findings with respect to drug quantity on
the basis that the evidence was insufficient to support the findings. This argument
fails for the same reasons that Harper’s identical drug quantity argument failed —
Casado was sentenced to life in prison under U.S.S.G. §§ 2D1.1(d)(1) and 2A1.1.
Casado does not challenge the application of § 2A1.1, and thus any error in
determinating the quantity of drugs for which he was responsible would be
harmless. See Padro Burgos, 239 F.3d at 76-77.
Casado also filed a motion pursuant to Eleventh Circuit Rule 27-1(c)(16)
adopting Harper’s Apprendi/Ring argument with respect to the district court’s drug
quantity findings. We granted Casado’s subsequent motion for leave to file a
supplemental brief addressing Blakely, limited to discussing Blakely’s relevance to
71
While Pless raised a claim based on Blakely for the first time in his reply brief, his failure to
raise the issue in his initial brief renders the issue abandoned. See United States v. Levy, 416
F.3d 1273, 1276 (11th Cir. 2005).
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the issue adopted. In his supplemental brief, Casado argues that the district court
violated the Sixth Amendment by enhancing his sentence based on its findings that
he was responsible for the distribution of over 150 kg of cocaine and 1.5 kg of
cocaine base and that he had played a leadership role in the drug distribution
scheme, facts which were not found by the jury beyond a reasonable doubt.
The challenge to the leadership role finding is barred because Casado did not
raise the Sixth Amendment issue in his initial brief and the matter of the firearms
finding (unlike that of the drug amount) was not permitted by our grant of
Casado’s motion to file a supplemental brief (since it was not raised in Harper’s
brief and thus not adopted in Casado’s initial brief). United States v. Dockery, 401
F.3d 1261, 1262 (2005). As to the drug amount finding, Casado’s challenge is
subject to plain error review, since he never raised a Sixth Amendment/Apprendi-
type objection at the sentencing hearing. Under a plain-error standard of review,
Casado’s challenge fails, since the district court gave no indication that it would
have granted a lesser sentence under a non-mandatory guidelines regime, and thus
Casado cannot establish that any Blakely/Booker error affected his “substantial
rights.” See Rodriguez, 398 F.3d at 1298-1301. Moreover, Casado’s CCE
conviction itself mandated a life sentence, regardless of the additional enhancing
factors, so any error would have been harmless.
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5. Baptiste
Baptiste was convicted of the conspiracy charge alleged in Count 2, and was
sentenced to 360 months’ imprisonment. On appeal, he raises three challenges to
his sentence. He first argues that the district court erred by classifying him as a
career offender pursuant to U.S.S.G. § 4B1.1,72 based on two prior convictions: (1)
a conviction for attempted first-degree murder based on his participation in the
March 12, 1991 Jetier homicide; and (2) a conviction for carrying a concealed
firearm on July 28, 1991. Baptiste contends that these two convictions cannot
form the basis for the career offender enhancement because they were for conduct
that occurred during the course of the drug conspiracy and thus did not constitute
“prior sentences” for purposes of U.S.S.G. §§ 1B1.3, 4B1.1 and 4A1.2(a)(1).
Application of the career offender provision does two things. First, it sets
the defendant’s base offense level according to a table based on the maximum
punishment set by the statute under which the defendant was convicted, if that
offense level is higher than the base offense level the defendant would receive
without the career offender enhancement. U.S.S.G. § 4B1.1 (2000). Here,
72
Section 4B1.1 (2000) of the Sentencing Guidelines provides that:
A defendant is a career offender if (1) the defendant was at least eighteen years old
at the time the defendant committed the instant offense of conviction, (2) the instant
offense of conviction is a felony that is either a crime of violence or a controlled
substance offense, and (3) the defendant has at least two prior felony convictions of
either a crime of violence or a controlled substance offense.
132
however, Baptiste’s base offense level was already higher without the career
offender enhancement than it would have been under the table in § 4B1.1, so
application of the enhancement had no effect on his base offense level.
Second, the enhancement also automatically places the defendant in the
highest criminal history category, Level VI. Id. However, Baptiste’s criminal
record was so extensive that even ignoring the two convictions at issue and the
career offender provision, his criminal history category would still be Category VI.
Thus, any error classifying Baptiste as a career offender would be harmless.
Next, Baptiste argues that the court erred in holding him accountable for
over 150 kg of cocaine and 1.5 kg of cocaine base. Specifically, Baptiste argues
that the evidence adduced at trial only indicated his responsibility for between 50
and 100 kg of cocaine, and no cocaine base, which would correspond to a base
offense level of 36 instead of 38 (and a total offense level of 38 instead of 40).
According to Baptiste, the court improperly held him responsible for Casado’s
independent distribution of cocaine and cocaine base.
According to the Sentencing Guidelines, a defendant’s base offense level
shall be determined in part on the basis of:
[I]n the case of a jointly undertaken criminal activity (a criminal plan,
scheme, endeavor, or enterprise undertaken by the defendant in
concert with others, whether or not charged as a conspiracy), all
reasonably foreseeable acts and omissions of others in furtherance of
133
the jointly undertaken criminal activity, that occurred during the
commission of the offense of conviction, in preparation for that
offense, or in the course of attempting to avoid detection or
responsibility for that offense[.]
U.S.S.G. § 1B1.3(a)(1)(B) (2000).
Application Note Two to § 1B1.3 clarifies a two-pronged test for co-
conspirator liability, under which such liability extends to the conduct of others
that was both: (1) in furtherance of the jointly undertaken criminal activity; and (2)
reasonably foreseeable in connection with that criminal activity. U.S.S.G. § 1B1.3,
cmt. n. 2 (2000). The note further explains that to determine the defendant's
accountability for the conduct of others under subsection (a)(1)(B), the court must
first determine the scope of the criminal activity the particular defendant agreed to
jointly undertake (i.e., the scope of the specific conduct and objectives embraced
by the defendant's agreement). Id.; United States v. Hunter, 323 F.3d 1314, 1319
(11th Cir. 2003).
In this case, it is clear that Baptiste, who was often described as inseparable
from Casado, agreed to join the wider drug conspiracy organized by Casado and
Williams. Indeed, the government established that Baptiste was present for many
of Casado’s sales and acted as Casado’s sales agent while Casado was incarcerated.
Thus, the court did not err in holding Baptiste accountable for Casado’s sales,
which were made in furtherance of the conspiracy that Baptiste agreed to join, and
134
which were reasonably foreseeable as part of that conspiracy.
Finally, Baptiste contends that his sentence violates Blakely and Booker. In
his initial brief, Baptiste adopted by reference (under Fed. R. App. P. 28(i))
Michael Harper’s Apprendi/Ring argument, addressing the district court’s drug
quantity findings. On September 2, 2004, we granted Baptiste’s motion for leave
to file a supplemental brief addressing Blakely, although we limited the scope of
the brief to discussing Blakely’s relevance to the issue adopted. In his
supplemental brief, Baptiste argued that the district court violated the Sixth
Amendment/Blakely principle by enhancing his sentence based on its findings that
he was responsible for the distribution of over 150 kg of cocaine and 1.5 kg of
cocaine base and that he possessed a firearm during the course of the drug
conspiracy – facts not found by the jury beyond a reasonable doubt.
Like Casado’s Blakely challenge to the district court’s leadership-role
finding, Baptiste’s challenge to the firearms finding is barred under our decision in
Dockery, because he did not raise the Sixth Amendment issue in his initial brief
and the matter of the firearms finding (unlike that of the drug amount) was not
permitted by our grant of Baptiste’s motion to file a supplemental brief (since it
was not raised in Harper’s brief and thus not adopted in Baptiste’s initial brief). As
to the drug amount finding, Baptiste concedes that his challenge is subject to plain
135
error review, since he never raised a Sixth Amendment/Apprendi-type objection at
the sentencing hearing. Under a plain-error standard of review, Baptiste’s
challenge fails, since the district court gave no indication that it would have
granted a lesser sentence under a non-mandatory guidelines regime. Thus Baptiste
cannot establish that any Blakely/Booker error affected his “substantial rights.”
See Rodriguez, 398 F.3d at 1298-1301.
6. Malcolm Shaw
Like Baptiste, Malcolm Shaw was convicted of the conspiracy charge
alleged in Count 2, and was sentenced to 360 months’ imprisonment. On appeal,
Shaw adopts Baptiste’s argument as to “relevant conduct at sentencing,”
presumably referring to the court’s finding that he was responsible for over 150 kg
of cocaine, resulting in a base offense level of 38 pursuant to U.S.S.G. §
2D1.1(c)(1). This finding was not erroneous, however, because the district court
was entitled to credit Herbert McCrea’s trial testimony that he had obtained
“hundreds of kilos” of cocaine from Shaw between 1994 and 1996.
H. Conclusion 73
73
We summarily reject the following arguments as meritless:
1. Arguments made by Gibson, Casado, Williams, and Baptiste that the district court
improperly allowed the government to go beyond the scope of cross-examination on
redirect;
2. Arguments made by Casado and Baptiste that the district court erred by refusing to allow
Casado to call Officers Walthen and Mendez as witnesses to impeach Officer Mendez’s
136
Because we find that the district court’s evidentiary errors denied Johnson
and Hawthorne a fair trial, we REVERSE their convictions. But because we find
the district court’s errors harmless with respect to Williams, Casado, Harper,
Leonard Brown, Malcolm Shaw, Baker, Baptiste, Pless and Gibson, we AFFIRM
their convictions and sentences, and REMAND the case to the district court for
proceedings consistent with this opinion.
AFFIRMED in part, REVERSED in part, and REMANDED.
prior testimony for the government; and
3. Gibson’s argument that the district court erroneously denied a mistrial after the
prosecution improperly impeached defense witness Jeffrey Gibson, Gibson’s husband, by
eliciting that defendant Gibson had been convicted of manslaughter in 1974, 26 years
prior to trial, even though the district court sustained the defense’s objection, struck this
testimony, and told the jury to disregard it.
4. Arguments made by Williams that the admission of his jailhouse letters constituted error
under Rules 401, 403, and 404(b).
137