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[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
________________________
No. 10-15894
________________________
D.C. Docket No. 2:07-CR-00395-RDP-RRA-1
UNITED STATES OF AMERICA,
llllllllllllllllllllllllllllllllllllllllPlaintiff - Appellee,
versus
JAMES LERAY MCINTOSH,
llllllllllllllllllllllllllllllllllllllllDefendant - Appellant.
________________________
Appeal from the United States District Court
for the Northern District of Alabama
________________________
(January 7, 2013)
Before DUBINA, Chief Judge, CARNES and GILMAN,* Circuit Judges
* Honorable Ronald Lee Gilman, United States Circuit Judge for the Sixth Circuit, sitting
by designation.
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GILMAN, Circuit Judge:
James Leray McIntosh was sentenced to a term of 120 months of
imprisonment, the mandatory-minimum sentence for his convictions on a drug-
trafficking charge and a weapons charge. Due to a technical error in the original
indictment and a more substantial mistake by the government in its handling of that
error, no indictment was pending against McIntosh at the time of his sentencing.
This has caused McIntosh to challenge the power of the district court to sentence
him at all. He also challenges the length of his sentence due to the enactment of
the Fair Sentencing Act of 2010, Pub. L. 111-220, § 2(a), 124 Stat. 2372 (the
FSA), after he committed his offenses but before his sentencing.
Although we are unaware of any prior case with a substantially similar
factual scenario, we conclude that the district court retained the power to sentence
McIntosh, and that the exercise of that power did not violate any of his
constitutional rights or run afoul of the Federal Rules of Criminal Procedure. The
sentence imposed, however, must be vacated because the court did not apply the
U.S. Sentencing Guidelines as revised by the FSA. We therefore AFFIRM the
district court’s orders denying McIntosh’s motions to terminate the proceedings
and withdraw his guilty plea, but we VACATE the sentence and REMAND the
case for resentencing consistent with this opinion.
I. BACKGROUND
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McIntosh was indicted in September 2007 on one count of possessing five
grams or more of crack cocaine with the intent to distribute the drug and on one
count of carrying a firearm during and in relation to a drug-trafficking offense.
The charges arose from a November 2005 traffic stop during which an officer
discovered cocaine and a firearm in McIntosh’s vehicle. But the indictment
mistakenly alleged that McIntosh committed these offenses in February 2007.
The government discovered this mistake after McIntosh pleaded guilty to the
charged offenses but before his sentencing. To correct the error, the government
obtained a second indictment alleging the proper date of the offenses and then filed
a motion to dismiss the original indictment without prejudice, which the district
court granted. Why the government chose this course of action, as opposed to
simply filing a superseding indictment or recognizing that the error was merely a
technical one not requiring any correction, is a mystery that its counsel could not
explain at oral argument other than to characterize the steps taken as an
“overreaction.” The consequences of the government’s misstep, however, have
engendered the host of constitutional and procedural challenges set forth below.
To begin with, McIntosh entered a conditional guilty plea to the new
indictment, but reserved his right to appeal his conviction on double-jeopardy
grounds. After the court sentenced McIntosh to 120 months of imprisonment, he
timely appealed.
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This court agreed with McIntosh that the second indictment violated the
Double Jeopardy Clause of the Fifth Amendment. United States v. McIntosh, 580
F.3d 1222, 1229 (11th Cir. 2009) [hereinafter McIntosh I]. It found that jeopardy
attached when the district court accepted McIntosh’s original guilty plea and that
the acceptance of such a plea on each count was “itself a conviction.” Id. at 1228
(internal quotation marks omitted). Because the dismissal of the original
indictment, which contained only a technical error regarding the date of the
offenses, “did not vacate the convictions or set aside the guilty plea,” id., “the
Double Jeopardy Clause prohibited a second prosecution of McIntosh for the same
offenses.” Id. at 1229. This court therefore vacated the judgment of conviction
and remanded the case with instructions to dismiss the second indictment. Id.
Once the district court dismissed the second indictment, the government
moved to set a sentencing hearing based on the convictions established by
McIntosh’s guilty plea to the original indictment. The court granted the motion
over McIntosh’s objection. McIntosh then filed a motion to terminate the
proceedings, arguing that the court lacked jurisdiction to proceed to sentencing
absent a pending indictment and that such a sentencing would violate the Double
Jeopardy Clause. The court denied the motion and, after this court dismissed
McIntosh’s interlocutory appeal for lack of jurisdiction, set the case for sentencing
in December 2010.
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McIntosh also objected to his Presentence Report in its entirety, moved to
withdraw his guilty plea, and argued that the FSA’s revised penalty provisions
should be applied to his sentence. His motions were denied and his objections
were overruled. The court then sentenced him to a 120-month term of
imprisonment, the mandatory-minimum sentence provided by the pre-FSA
Guidelines. This timely appeal followed.
II. ANALYSIS
A. Standards of review
We review de novo questions concerning alleged violations of the Double
Jeopardy Clause, McIntosh I, 580 F.3d at 1226, a district court’s subject-matter
jurisdiction, Mesa Valderrama v. United States, 417 F.3d 1189, 1194 (11th Cir.
2005), the sufficiency of an indictment, United States v. McGarity, 669 F.3d 1218,
1232 (11th Cir. 2012), and the legal interpretation of sentencing statutes, United
States v. Burge, 407 F.3d 1183, 1186 (11th Cir. 2005). The district court’s denial
of a motion to withdraw a guilty plea, on the other hand, is reviewed under the
abuse-of-discretion standard. United States v. Medlock, 12 F.3d 185, 187 (11th
Cir. 1994).
B. Sentencing McIntosh based on his guilty plea to the original indictment
did not violate the Double Jeopardy Clause
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The Double Jeopardy Clause of the Fifth Amendment provides that “[n]o
person shall . . . be subject for the same offence to be twice put in jeopardy of life
or limb.” U.S. Const. amend. V. “Based on the fundamental notion that serial
prosecutions by the government are abusive,” McIntosh I, 580 F.3d at 1227, the
Clause “protects against a second prosecution for the same offense” and “protects
against multiple punishments for the same offense,” North Carolina v. Pearce,
395 U.S. 711, 717 (1969). McIntosh argues that proceeding to sentence him based
on his guilty plea to the original indictment, after that indictment was dismissed,
constitutes a second prosecution for the same offense in violation of the Double
Jeopardy Clause.
As this court noted in McIntosh I, jeopardy attached once the district court
unconditionally accepted McIntosh’s guilty plea to the original indictment. 580
F.3d at 1227-28. But McIntosh contends that the subsequent dismissal of the
original indictment terminated the case, making any further proceedings in the case
a second, and thereby unconstitutional, prosecution for the same offense. His
argument, however, is directly at odds with this court’s conclusion from
McIntosh I that the dismissal of the original indictment did not withdraw
McIntosh’s guilty plea or vacate his conviction. The court noted that McIntosh’s
“conviction still exists and awaits a sentence,” id. at 1228, and reiterated in the
summary of the holding that his “initial conviction was never vacated,” id. at 1229.
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In short, dismissing the original indictment did not terminate the case as McIntosh
asserts.
McIntosh’s double-jeopardy argument ultimately depends on the proposition
that the dismissal of the original indictment, after his conviction but before his
sentencing, terminated the case. But he cites no authority to support such a
proposition. To the contrary, his sentencing was the natural progression of a single,
continuous course of jeopardy. Because the original prosecution did not end, the
sentencing that proceeded from that original prosecution cannot be characterized as
a second prosecution. See Schiro v. Farley, 510 U.S. 222, 230 (1994) (refusing “to
treat the sentencing phase of a single prosecution as a successive prosecution for
purposes of the Double Jeopardy Clause”). That the government
unconstitutionally placed McIntosh in double jeopardy through the prosecution of
a second indictment does not transform the first and only sentencing on the original
indictment into a double-jeopardy problem. The sentencing was neither a second
prosecution of, nor a second punishment for, the same offense. See Pearce, 395
U.S. at 717. As such, proceeding to sentencing after McIntosh’s conviction did not
violate the Double Jeopardy Clause.
C. The district court retained jurisdiction despite the dismissed indictment
McIntosh next argues “that an indictment is a jurisdictional predicate and
prerequisite” for prosecuting a criminal case. He cites precedent from the Supreme
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Court and lower courts that speak to the necessity of a valid indictment as a
prerequisite to a federal court’s exercise of jurisdiction. See, e.g., Ex parte Bain,
121 U.S. 1, 13 (1887) (holding that a court has no jurisdiction over an offense not
properly presented by an indictment), overruled by United States v. Cotton, 535
U.S. 625 (2002); Ex parte Wilson, 114 U.S. 417, 429 (1885) (holding that the
district court exceeded its jurisdiction by holding a defendant to answer for a crime
and sentencing him without an indictment); United States v. Moore, 37 F.3d 169,
173 (5th Cir. 1994) (“[T]he lack of an indictment in a federal felony case is a
defect going to the jurisdiction of the court.”) (internal quotation marks omitted).
Relying on these cases, McIntosh contends that the district court lacked
jurisdiction to sentence him in the absence of an indictment.
Contrary to McIntosh’s position, a defective indictment does not deprive a
court of jurisdiction. Cotton, 535 U.S. at 631 (“Insofar as it held that a defective
indictment deprives a court of jurisdiction, [Ex parte] Bain is overruled.”). The
indictment at issue in Cotton, a drug-conspiracy case, was defective because it
failed to allege the quantity of drugs required for the enhanced statutory penalties
that the district court ultimately imposed (an error recognized in Apprendi v. New
Jersey, 530 U.S. 466 (2000)). Cotton, 535 U.S. at 628, 632. Although the Cotton
defendants failed to raise this argument in the district court, the United States Court
of Appeals for the Fourth Circuit nonetheless vacated their sentences because it
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held that the district court was “without jurisdiction to impose a sentence for an
offense not charged in the indictment.” Id. at 629 (ellipsis, emphasis, and internal
quotation marks omitted).
The Supreme Court reversed, noting that Bain’s analysis of indictment
defects in terms of jurisdiction was based on an “elastic concept of jurisdiction
[that] is not what the term ‘jurisdiction’ means today.” Id. at 630. Jurisdiction as it
is understood today—meaning “the courts’ statutory or constitutional power to
adjudicate the case”—cannot be waived, but a criminal defendant may waive his or
her right to an indictment under Rule 7(b) of the Federal Rules of Criminal
Procedure. Id. (internal quotation marks omitted) (emphasis in original). Because
the Apprendi defect in the Cotton indictment did not implicate jurisdiction, the
Supreme Court held that the defendants’ sentences, which the government
conceded were the result of plain error, could be vacated only if the error “affected
substantial rights” and “the fairness, integrity, or public reputation of judicial
proceedings.” See id. at 632-33 (brackets and internal quotation marks omitted).
McIntosh attempts to distinguish Cotton on two grounds: (1) unlike the
Cotton defendants, he first raised his defective-indictment argument in the district
court; and (2) the Cotton defendants challenged an indictment with an Apprendi
error, whereas he challenges the complete lack of an indictment at the time of his
sentencing. We believe that McIntosh’s first distinction is irrelevant to the
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Supreme Court’s determination that indictment defects do not implicate a court’s
jurisdiction. The nonjurisdictional nature of the indictment’s defect, in other
words, would not change regardless of whether the Cotton defendants had first
raised their Apprendi argument in the district court. All that would change would
be the standard of review on appeal. See McCoy v. United States, 266 F.3d 1245,
1249 (11th Cir. 2001) (noting that the standard of review to be applied to
Apprendi-based arguments depends on the timing of the objection).
The second distinction presents a more complicated issue because this court
has explained that “indictment errors are not all the same” and should not be
treated categorically. See id. at 1253. Some indictments are defective because
they charge no federal crime at all, such as the indictment that charged conspiracies
“to attempt” to import and to possess marijuana with the intent to distribute the
drug in United States v. Meacham, 626 F.2d 503, 507 (5th Cir. 1980), offenses not
set forth in the United States Code. In contrast, an indictment with an Apprendi
defect “still charges a complete federal offense.” Id.
The former defect deprived the district court of jurisdiction—not because the
indictment was defective, but because Congress’s grant of jurisdiction to the
district courts in criminal cases extends only to “offenses against the laws of the
United States.” See 18 U.S.C. § 3231. If an indictment fails to charge such an
offense, then a court has no basis for exercising jurisdiction. See United States v.
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Peter, 310 F.3d 709, 713-14 (11th Cir. 2002) (explaining that Cotton did not upset
the rule of Meacham that an indictment’s failure to describe conduct proscribed by
a federal statute is a jurisdictional defect); contra United States v. Vaughn, 694
F.3d 1141, 1147-49 (10th Cir. 2012) (rejecting Peter’s analysis and relying on
Cotton to hold that the failure to state an offense in an indictment is not a
jurisdictional defect).
The force of McIntosh’s jurisdictional challenge turns on whether the district
court’s action in sentencing him without a pending indictment is akin to the defect
at issue in Meacham, where the indictment never stated a federal offense. If the
two situations were to be deemed sufficiently similar, then the district court was
without jurisdiction to sentence McIntosh. But the difference between the present
case and a Meacham-style defect is both clear and material: McIntosh was charged
and convicted on an indictment that he concedes was valid. In Meacham, as in
Peter, the defendants pleaded guilty to indictments alleging conduct that did not
constitute federal criminal offenses. Because the conduct alleged in both cases
“was outside the sweep of the charging statute,” Peter, 310 F.3d at 714,
jurisdiction was never properly established. But McIntosh, like the Cotton
defendants, pleaded guilty to an indictment that alleged an established offense
against the United States, thereby properly invoking the district court’s jurisdiction
under 18 U.S.C. § 3231.
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McIntosh overlooks this key distinction in arguing that an indictment must
be present in a case through sentencing for the district court to maintain
jurisdiction. His argument, however, cannot be squared with this court’s
understanding of Cotton as explained in Peter. See 310 F.3d at 713-14 (noting that
Cotton rejected the view that all indictment defects are jurisdictional). The holding
of Cotton makes clear that jurisdiction is not inherently tied to indictments. See
535 U.S. at 631. Rather, jurisdiction depends on stating “offenses against the laws
of the United States.” 18 U.S.C. § 3231.
An indictment’s relationship to jurisdiction is thus based on whether it
alleges conduct constituting a federal offense, not on some intrinsic value of an
indictment as such. This understanding of jurisdiction explains why a defendant
can waive an indictment and consent to proceed by information; i.e., the court
maintains jurisdiction so long as the information alleges a federal offense. See
Fed. R. Crim. P. 7(b).
With jurisdiction freed from any necessary tie to an indictment, we look in
the present case for whether something other than the original indictment alleged
or established an offense against the United States prior to the original indictment
being dismissed. This was clearly the situation here because McIntosh’s
conviction occurred before the dismissal of the indictment. If an
indictment—which is a grand jury’s finding of probable cause that the alleged
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criminal offense actually took place—is sufficient to state a federal offense and
thereby invoke a court’s jurisdiction, then all the more so must a conviction that
conclusively establishes such an offense. McIntosh’s conviction, moreover, was
based on a guilty plea to a valid indictment that alleged a federal offense, and the
conviction remained in effect despite the dismissal of the indictment. McIntosh I,
580 F.3d at 1228. The district court thus retained jurisdiction over the case
through sentencing.
D. The Fifth Amendment does not require that an indictment be in
existence at the time of sentencing
Having determined that the district court had jurisdiction to sentence
McIntosh, we next turn to the question of whether that sentencing violated his
constitutional rights under the Fifth Amendment’s Grand Jury Clause. That clause
provides that “[n]o person shall be held to answer for a capital, or otherwise
infamous crime, unless on a presentment or indictment of a Grand Jury.” U.S.
Const. amend. V. McIntosh argues that the district court’s sentencing order was
contrary to the Clause’s plain language because it “held [him] to answer” for a
felony—an “infamous crime”—without an outstanding indictment. See Fed. R.
Crim. P. 7(a) advisory committee’s note (“An infamous crime has been defined as
a crime punishable by . . . imprisonment in a penitentiary.”). But we are
unpersuaded by his contention that the act of sentencing following a valid
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conviction constitutes being “held to answer” for purposes of the Clause’s
indictment requirement.
Although McIntosh does not spell out his argument in much detail, its basic
premise is that the Grand Jury Clause uses the phrase “answer for” in the sense of
“to suffer the consequences of.” This is admittedly one definition of the term
“answer for” found in the Oxford English Dictionary
(http://www.oed.com/view/Entry/8146 (last visited Dec. 21, 2012)). Accepting
this definition would produce a plausible interpretation of the Grand Jury Clause;
i.e., that a person cannot be held to suffer the consequences of committing a felony
without an indictment. Certainly a sentencing would qualify as a point at which a
person is held to suffer such consequences.
But this is neither the only nor even the most plausible definition of “answer
for” within the context of the Grand Jury Clause. “Answer” also means “to speak
in reply or opposition to a charge,” id., a meaning recognized at the time of the
Fifth Amendment’s adoption and ratification. See Thomas Sheridan, A Complete
Dictionary of the English Language (6th ed. 1796) (defining “answer” as “[t]hat
which is said in return; confutation”); 1 Samuel Johnson, A Dictionary of the
English Language (5th ed. 1773) (“A confutation of a charge.”).
This latter sense of the phrase “answer for” is reflected in the Federal Rules
of Criminal Procedure’s requirements that an indictment is a necessary (unless
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waived) prerequisite to the prosecution of cases and must be filed prior to an
arraignment, the point at which a defendant is asked to reply to a charge by way of
a plea. See Fed. R. Crim. P. 7(a) (requiring prosecution by indictment); id.
advisory committee’s note (explaining that Rule 7(a) “gives effect to the [Grand
Jury Clause]”); Fed. R. Crim. P. 10(a) (requiring that a defendant have a copy of
the indictment or information before asking him or her to plead). Simply put, the
Grand Jury Clause requires that an indictment be in place before a person can be
held to reply to a charge. See Ex parte Wilson, 114 U.S. 417, 426 (1885) (holding
that the Grand Jury Clause mandates that a person “shall not be put upon his trial”
without the benefit of an indictment).
The remaining question is whether the Grand Jury Clause embraces both
meanings of “answer for,” such that an indictment must be in place both when a
defendant pleads to a charge and when he or she “suffers the consequences of” that
charge. In the absence of any clear indication from the text alone regarding this
issue, we turn to the underlying purposes of the right to an indictment.
This court has identified three unique functions served by an indictment:
(1) to ensure that the defendant has adequate notice of the charges against him or
her as the Sixth Amendment requires; (2) to “preserve[] the defendant’s right to be
accused by his fellow citizens” upon a finding of probable cause; and (3) to protect
the defendant against double jeopardy. See United States v. Fern, 155 F.3d 1318,
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1324-25 (11th Cir. 1998); United States v. Johnson, 713 F.2d 633, 643 (11th Cir.
1983). McIntosh has not suggested any other functions that are served by an
indictment.
He has also failed to show how any of these three functions are relevant at
the sentencing phase of a criminal case. Indeed, McIntosh received all of the
benefits of his original indictment—notice, a probable-cause finding by a grand
jury, and protection from double jeopardy—prior to his sentencing. Once a valid
conviction is obtained, the indictment as a stand-alone instrument no longer serves
any of these functions.
A conviction, in fact, meets or exceeds each of the identified indictment
functions: (1) it notifies the defendant of the nature of the charge for which he was
accused (and convicted); (2) it signifies a legal conclusion, reached either by plea
or by a jury’s finding of guilt beyond a reasonable doubt, that the defendant
committed the offense; and (3) it precludes a second prosecution or punishment for
the same offense. The indictment no longer has a specific role in a case’s post-
conviction phase. In sum, interpreting the phrase “answer for” to include the
sentencing phase of a criminal case is incongruous with the purposes of an
indictment because those purposes are necessarily fulfilled at the point of a valid
conviction.
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We also note that our interpreting the phrase “answer for” in the Grand Jury
Clause as focusing on the guilt-determination phase of a criminal prosecution
rather than on the sentencing phase is consistent with the language used by the
three states that included grand-jury clauses in their proposed amendments to the
United States Constitution in 1788. See 4 Wayne R. LaFave et al., Criminal
Procedure § 15.1(b) (3d ed. 2000) (describing the proposed grand-jury clauses of
Massachusetts, New Hampshire, and New York). The Massachusetts and New
Hampshire proposals would have mandated that no person be tried for a crime
without first being indicted by a grand jury. Id. (citing 2 Bernard Schwartz, The
Bill of Rights: A Documentary History, 677, 761 (1971)). New York’s proposal
provided that an “[i]ndictment by a [g]rand [j]ury ought to be observed as a
necessary preliminary to the trial.” Schwartz, supra, at 912.
The language ultimately adopted in the Fifth Amendment closely tracked the
North Carolina Declaration of Rights, see LaFave et al., supra, at § 15.1(b), which
similarly required an indictment before a “freeman shall be put to answer any
criminal charge.” Schwartz, supra, at 287. Blackstone’s commentaries also used
the “put to answer” phrasing to describe the requirement of an indictment before an
arraignment. LaFave et al., supra, at § 15.1(b). None of these sources, all of
which were contemporary to the adoption of the Fifth Amendment, suggests that
the language of the Grand Jury Clause would extend the requirement of an
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indictment to the sentencing phase of a criminal proceeding. Cf. District of
Columbia v. Heller, 554 U.S. 570, 634-35 (2008) (noting that “[c]onstitutional
rights are enshrined with the scope they were understood to have when the people
adopted them”).
In sum, the phrase “answer for” in the Grand Jury Clause, as properly
understood in the context of the Clause’s purposes, does not support the
interpretation that McIntosh advocates. We therefore conclude that the district
court’s sentencing did not violate McIntosh’s constitutional rights under the Fifth
Amendment.
E. The sentencing did not violate either Rule 7(a) or Rule 12(b)(3)(B) of the
Federal Rules of Criminal Procedure
1. Rule 7(a)
McIntosh next contends that his being sentenced without an indictment
violated Rule 7(a) of the Federal Rules of Criminal Procedure, which requires that
capital and felony offenses be “prosecuted by an indictment.” The Rule, however,
simply gives effect to the Fifth Amendment’s Grand Jury Clause. Fed. R. Crim. P.
7(a) advisory committee’s note. So to the extent that McIntosh argues that his
sentencing violated Rule 7(a) in exactly the same manner that it allegedly violated
the Grand Jury Clause, the argument is foreclosed by the analysis in Part II.D.
above.
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McIntosh also argues, however, that the government was “prosecuting” him
without an indictment at the sentencing phase of his case. But he offers no
authority to support the proposition that Rule 7(a)’s use of the term “prosecuted”
extends any greater protection to federal defendants than that provided by the
Grand Jury Clause. Given the Rule’s intended purpose of giving effect to that
Clause, we decline to expand the scope of its indictment requirement based solely
on the questionable assertion that the term “prosecuted” extends to the
government’s post-conviction motion to proceed to sentencing. We therefore
conclude that the district court’s sentencing order did not violate Rule 7(a).
2. Rule 12(b)(3)(B)
McIntosh also filed a motion to terminate the proceedings in his case under
Rule 12(b)(3)(B) of the Federal Rules of Criminal Procedure, which concerns
motions alleging defects in indictments. The rule provides in relevant part as
follows:
(3) Motions That Must Be Made Before Trial. The following must be
raised before trial:
....
(B) a motion alleging a defect in the indictment or information—but
at any time while the case is pending, the court may hear a claim that
the indictment or information fails to invoke the court’s jurisdiction or
to state an offense; . . . .
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Rule 12(b)(3) requires most motions that allege a defect in an indictment to
be made before trial. But the Rule allows motions alleging the failure to invoke the
court’s jurisdiction or to state an offense to be brought at any time while the case is
pending. The nature of the alleged defect therefore determines whether the
challenge must be brought prior to trial.
Because McIntosh filed his Rule 12(b)(3)(B) motion after he was convicted,
he must show that his indictment either failed to invoke the court’s jurisdiction or
failed to state a federal offense. He argues, quite simply, that a dismissed
indictment fails in both respects. But this argument rests on the faulty premise that
Rule 12(b)(3)(B) requires that an indictment be in place at all times while the case
is pending.
McIntosh conflates the time at which a defendant may challenge these two
types of indictment defects—that is, any time while the case is pending—with the
time at which a valid indictment must be in place. We find this reading of the Rule
to be inconsistent with the longstanding and, to our knowledge, uncontroverted
understanding of an indictment’s functions, all of which were fulfilled well before
McIntosh’s sentencing.
Although a Rule 12(b)(3)(B) claim regarding the lack of jurisdiction or the
failure to state an offense may be brought at any time during the case, the defect in
the indictment must have existed prior to the conviction because, as explained in
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Part II.D. above, indictments serve no function after a valid judgment of conviction
is entered. An indictment defect that exists only after a conviction is, at most, a
technical defect because it has no bearing on the substantive fairness of the
conviction or the process by which it was obtained.
A stark difference therefore exists between the type of defects that Rule
12(b)(3)(B) allows to be challenged at any time and the technical defect alleged by
McIntosh. An indictment that fails to invoke a court’s jurisdiction or to state an
offense (and we have serious doubts after Cotton that an indictment can fail to
invoke jurisdiction other than by failing to state an offense) necessarily undermines
the validity of a conviction. The defendants in United States v. Meacham, 626
F.2d 503 (5th Cir. 1980), for example, pleaded guilty to an indictment that alleged
conduct that was not a federal offense. Rule 12(b)(3)(B) would allow them to
challenge their indictments after their guilty pleas because the failure to state an
offense invalidated their convictions. One simply cannot be convicted by pleading
guilty to conduct that is not a crime. United States v. Peter, 310 F.3d 709, 712-13
(11th Cir. 2002) (holding that the failure to state an offense is an error so
fundamental that it cannot be waived by a guilty plea and warrants a writ of error
coram nobis).
In contrast, there is no dispute that the original indictment against McIntosh
stated an offense and that his conviction was valid. Furthermore, this court has
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already held that the post-conviction dismissal of the indictment against him did
not affect his conviction. McIntosh I, 580 F.3d at 1228. So McIntosh is seeking to
use a procedural rule to create a substantive right that we have concluded does not
exist—the right to a pending indictment at the sentencing phase of a case. We
decline to read Rule 12(b)(3)(B) as creating such a right.
E. Sentencing in the absence of a pending indictment did not implicate the
proper separation of powers
McIntosh next contends that the district court’s proceeding to sentence him
in the absence of a pending indictment had “the practical import and effect of . . .
alter[ing] the separation of powers doctrine.” He argues that the court effectively
usurped the executive branch’s power to decide whether to abandon a prosecution.
We certainly recognize that “courts are not to interfere with the free exercise of the
discretionary powers of the attorneys of the United States in their control over
criminal prosecutions.” United States v. Cox, 342 F.2d 167, 171 (5th Cir. 1965).
But we fail to see how granting the government’s motion to set McIntosh’s case for
sentencing interfered with that discretionary executive power.
Once again, McIntosh’s argument rests on a flawed premise: that the district
court proceeded to sentencing after the government had “unequivocally
abandoned” the prosecution. To the contrary, the government’s motion to dismiss
the original indictment without prejudice did not end the case because the court did
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not vacate the conviction or set aside the guilty plea. See McIntosh I, 580 F.3d at
1228. Nor did the government otherwise signal an abandonment of the
prosecution; it sought only to correct a technical error in the indictment. And at no
point did the government suggest that it wished to abandon McIntosh’s
prosecution. By moving to set McIntosh’s case for sentencing, the government
obviously intended just the opposite.
McIntosh also suggests a number of hypothetical scenarios that are meant to
demonstrate the parade of horribles that would allegedly follow if we allow district
courts to proceed to sentencing after the government has dismissed the relevant
indictment. For example, McIntosh posits that a prosecutor who makes a post-
conviction discovery that the key witness in a case gave perjured testimony could
move to dismiss the indictment, but the district court could unjustly proceed to
sentence the defendant even after granting the prosecutor’s motion. Of course, in
this example (like in each hypothetical that McIntosh suggests) the position of the
prosecutor, unlike the government’s position in the present case, is that the case
should be terminated. The obvious response to these scenarios is that the
government retains the power to unequivocally terminate cases post-conviction by
moving to vacate the convictions, in addition to dismissing the relevant indictment.
Nothing in our ruling encroaches upon the executive’s power to exercise its
discretion to end prosecutions.
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F. The district court did not abuse its discretion in denying McIntosh’s
motion to withdraw his guilty plea
We next turn to McIntosh’s motion to withdraw his guilty plea, which he
filed prior to sentencing. A defendant is allowed to withdraw a plea if he “can
show a fair and just reason for requesting the withdrawal.” Fed. R. Crim. P. 11(d).
The failure of an indictment to charge an offense is a fair and just reason to permit
such a withdrawal. United States v. Bell, 22 F.3d 274, 276 (11th Cir. 1994). But
we have already concluded that the post-conviction dismissal of McIntosh’s
original indictment is not the equivalent of a defective indictment that never stated
an offense. The key distinction is that McIntosh had the benefit of a valid
indictment when he entered his guilty plea, and the subsequent dismissal of that
indictment provides no cause to allow the withdrawal of his plea. We thus
conclude that the district court did not abuse its discretion in denying McIntosh’s
motion.
G. The district court had the power to sentence McIntosh based on his
conviction
McIntosh next argues that, to the degree that the district court had any
authority to proceed to sentencing, the indictment circumscribed the scope of the
sentence that could be imposed. And since no indictment was pending at the time
McIntosh was sentenced, the court allegedly had no power to impose any
substantive sentence. This argument is no more than a restatement of the
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jurisdictional argument that we have already rejected. Furthermore, sentences are
based on convictions, not indictments, because only the former establishes that a
defendant “has been found guilty of an offense” and thus “shall be sentenced.” See
18 U.S.C. § 3551.
To be sure, an indictment must allege the essential elements of a crime,
including any fact (other than the fact of a prior conviction) that could increase the
penalty for a crime beyond the prescribed statutory maximum. Apprendi v. New
Jersey, 530 U.S. 466, 490 (2000). But this rule does not translate into a
requirement that a court’s sentence must be based on an indictment pending at the
time of sentencing rather than on a conviction. The connection between an
indictment and a sentence is solely through the conviction; i.e., a court imposes a
sentence based on the conviction, and the conviction reflects the allegations of the
indictment. In the present case, the court sentenced McIntosh based on his
conviction, which in turn was based on a valid indictment that stated two separate
federal offenses. The district court was well within its power in imposing the
sentence that it did.
H. McIntosh should have been sentenced with the benefit of the Fair
Sentencing Act
Finally, McIntosh protests the length of his sentence. His sentence of 120
months of incarceration reflected the statutory mandatory minimums for his
offenses as they existed prior to the Fair Sentencing Act of 2010, Pub. L. No. 111-
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220, § 2(a), 124 Stat. 2372 (the FSA). The FSA raised the relevant threshold
possession amounts for crack cocaine, such that the approximately 20 grams of
crack cocaine that McIntosh possessed with the intent to distribute would now not
trigger a mandatory minimum sentence. Compare 21 U.S.C. § 841 (2009)
(providing a five-gram threshold for triggering a five-year mandatory minimum
sentence), with 21 U.S.C. § 841 (2011) (providing a 28-gram threshold for the
same five-year mandatory minimum sentence).
Because McIntosh committed his offenses before the FSA’s effective date
on August 3, 2010, the district court determined that the pre-FSA version of § 841
applied, even though the sentencing took place after the FSA’s effective date. This
was initially the government’s position on appeal as well. But the government
abandoned that position in a July 27, 2011 letter to this court, explaining that the
Attorney General had recently announced a change in the Department of Justice’s
position on this sentencing issue. Consistent with this court’s opinion in United
States v. Rojas, 645 F.3d 1234 (11th Cir. 2011), the Attorney General determined
that the FSA’s revised penalties apply to defendants sentenced after the FSA’s
effective date, even if their offenses occurred prior to that date. See also Dorsey v.
United States, 132 S. Ct. 2321, 2335 (2012) (holding that the FSA’s more lenient
penalties “apply to the post-Act sentencing of pre-Act offenders”).
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We therefore agree with both McIntosh and the government that McIntosh
should be resentenced in accordance with the FSA’s revised penalty provisions.
The case will be remanded for this purpose.
III. CONCLUSION
For all of the reasons set forth above, we AFFIRM the district court’s orders
denying McIntosh’s motions to terminate the proceedings and withdraw his guilty
plea, but we VACATE the sentence and REMAND the case for resentencing
consistent with this opinion.
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CARNES, Circuit Judge, concurring:
I concur in the Court’s decision that in light of Dorsey v. United States, 132
S.Ct. 2321, 2335 (2012), McIntosh is entitled to be resentenced under the Fair
Sentencing Act of 2010, Pub. L. No. 111-220, 124 Stat. 2372, and I join that part
of its opinion.
I also concur in the decision that McIntosh’s conviction is due to be
affirmed, although I arrive at that destination by a different route than the one the
Court takes. In the first appeal of this case, we concluded that the district court
erred when it denied McIntosh’s motion to dismiss the second indictment on
Double Jeopardy grounds. United States v. McIntosh, 580 F.3d 1222 (11th Cir.
2009). A necessary and explicitly stated premise of that conclusion was that even
though the indictment had been dismissed, the first conviction had not been
vacated and dismissed; it still existed. Id. at 1228. We explained that “McIntosh
has not yet been sentenced based on his plea of guilt in the first case, but his
conviction still exists and awaits a sentence.” Id. That is the reason we gave for
our decision that McIntosh’s conviction for the same crime under the second
indictment violated the Double Jeopardy Clause. See id. at 1229 (“McIntosh’s
initial conviction was never vacated, and the Double Jeopardy Clause prohibited a
second prosecution of McIntosh for the same offenses.”)
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Our holding in the first appeal that McIntosh remained convicted under, and
still could be sentenced based on, the first indictment is inconsistent with all of
McIntosh’s contentions in this appeal. This appeal of the judgment that the district
court entered on remand arises from the district court doing exactly what we
instructed it to do: sentence McIntosh based on the first indictment even though
that indictment had been dismissed. Because our opinion in the first appeal was
published, we are bound by the prior panel precedent rule to follow the holdings of
that decision. See Schiavo ex rel. Schindler v. Schiavo, 403 F.3d 1289, 1292 (11th
Cir. 2005) (“Because our previous decision was published, the prior panel
precedent rule also applies to any holdings reached in the earlier appeal.”).
We are also bound by the law of the case doctrine to follow our holdings in
the first appeal. See Norelus v. Denny's, Inc., 628 F.3d 1270, 1288 (11th Cir.
2010); Burger King Corp. v. Pilgrim's Pride Corp., 15 F.3d 166, 169 (11th Cir.
1994) (“As we have repeatedly recognized, findings of fact and conclusions of law
by an appellate court are generally binding in all subsequent proceedings in the
same case in the trial or on a later appeal.”) (internal quotation marks omitted); id.
(“[B]inding precedent makes clear that the law of the case encompasses all things
decided by necessary implication as well as those decided explicitly.”) (internal
quotation marks and emphasis omitted); AIG Baker Sterling Heights, LLC v.
American Multi-Cinema, Inc., 579 F.3d 1268, 1270–71 (11th Cir. 2009) (same).
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“The exceptions to the law of the case doctrine are (1) the presentation of new
evidence, or (2) an intervening change in controlling law, or (3) that the appellate
decision is clearly erroneous and would result in manifest injustice if
implemented.” United States v. Williams, 563 F.3d 1239, 1242 (11th Cir. 2009).
None of those exceptions applies here. No evidence was presented on remand.
There has been no change in controlling law. Our decision in the first appeal was
not clearly erroneous, as the discussion of the Double Jeopardy issue in the Court’s
opinion in this appeal (which is not grounded in the prior precedent rule or the law
of the case doctrine) demonstrates. And McIntosh was sentenced for drug and
firearm crimes that he admits he committed. There is no injustice in that, manifest
or otherwise.1
1 An interesting legal issue would arise if the clear error and manifest injustice exception
to the law of the case doctrine were applicable in this case. If that exception applied, it might
clash with the prior precedent rule, which has no exception for clear error. See Smith v. GTE
Corp., 236 F.3d 1292, 1303 (11th Cir. 2001) (“The idea of an exception to the prior panel
precedent rule where a subsequent panel is convinced the prior one reached the wrong
result—for whatever reason—is also inconsistent with a number of decisions in which panels of
this Court have obediently followed prior panel precedents they were convinced were wrong.”);
Cohen v. Office Depot, Inc., 204 F.3d 1069, 1076 (11th Cir.2000) (“Even if we thought Lindsey
wrong, the prior panel precedent rule is not dependent upon a subsequent panel’s appraisal of the
initial decision’s correctness. Nor is the operation of the rule dependent upon the skill of the
attorneys or wisdom of the judges involved with the prior decision—upon what was argued or
considered. Unless and until the holding of a prior decision is overruled by the Supreme Court
or by the en banc court, that holding is the law of this Circuit regardless of what might have
happened had other arguments been made to the panel that decided the issue first.”). Would the
clear error and manifest injustice exception to the law of the case doctrine trump the prior panel
precedent rule, or does that exception extend no further than the law of the case doctrine of
which it is a part, leaving the prior precedent master of all to which its terms apply? As
fascinating as that question is, we need not answer it in this case because no exception to the law
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of the case doctrine does apply.
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