United States v. James Russell, AKA Gaith Junior Douglas, AKA Steven Shawn Jones, James Russell, A/K/A Steven Shawn Jones

OPINION OF THE COURT

LEWIS, Circuit Judge.

James Russell was convicted of conspiracy to distribute controlled substances in violation of 21 U.S.C. § 846, and conducting a continuing criminal enterprise (CCE) in violation of 21 U.S.C. § 848. He was sentenced to two concurrent life terms.

Russell’s appeal presents a number of challenges to his convictions, the primary one being that the district court failed to instruct the jury properly on the CCE count. We will discuss each of Russell’s challenges in turn, focusing in more detail on his claim that the CCE instruction deprived him of his Sixth Amendment right to a unanimous jury verdict.

We will conclude that the jury instruction on the CCE count was erroneous and was not harmless error. Accordingly, we will reverse Russell’s conviction under the CCE statute. We will affirm his convictions on all other counts.

*175I.

A. Facts

Russell and four others were charged with conducting a continuing criminal enterprise (Count I), conspiracy to distribute controlled substances (Count II), and money laundering (Count III). The indictment also sought the forfeiture of property and assets obtained with proceeds of drug sales, pursuant to 21 U.S.C. § 853(p). App. at 53. Three of Russell’s co-defendants, Mark Smith, Richard Francis Robinson and Arthur Lester Raymond, pleaded guilty to the conspiracy charge and testified against Russell at trial.

Russell’s trial commenced in June 1995 and lasted approximately six weeks. The testimony outlined a complex and lucrative scheme, organized by Russell, to distribute drugs in Pennsylvania, initially in Philadelphia and later in Williamsport. Essentially, Russell, Robinson, Smith and Raymond pooled their funds to make large purchases of cocaine base and cocaine powder from suppliers in New York. The drugs were repackaged and distributed to sellers in Pennsylvania, and then sold on the street in $10 or $20 bags.

In addition to conducting his own distribution network in Williamsport, Russell also supplied cocaine to other distributors operating networks there. Specifically, Russell developed a business relationship with one David Williams. Russell would supply Williams with cocaine, which Williams would then sell from a location known as the “pink house.” Over time, Williams permitted Russell to sell cocaine directly out of the “pink house.” Russell’s co-conspirators were not permitted to sell drugs out of this location.

B. Weapons Use

Testimony at trial also revealed that between 1990 and 1994, Russell had his girlfriend, Melita Garcia, purchase a number of guns for him. Garcia testified that she purchased the weapons with cash given to her by Russell. Although there was no testimony relating to Russell’s use of the guns during particular drug transactions, the government introduced evidence, over Russell’s objection, pertaining to his arrest in 1991 in Maple Shade, New Jersey. At the time of this arrest, Russell was traveling with Mark Smith from New York where they had purchased cocaine from one of Russell’s sources. When the car was stopped, the police discovered a gun in the trunk, together with 473 grams of cocaine and packaging material. Russell pleaded guilty to the gun charge and was released for time served.

Another witness, Andre Grimes, testified that in another incident relating to the drug operation, Russell used a knife to assault George Felder. Grimes testified that in October 1994, he and Russell assaulted Felder because Felder had stolen approximately $400 to $500 in drug proceeds belonging to Russell. App. at 383-85. Grimes explained that when he and Russell approached Felder about the stolen money, Felder had a knife. App. at 385. Grimes testified that he felt threatened, picked up a bat and started hitting Felder with it. Id. He further testified that when Felder dropped the knife, Russell picked it up and “started slicing him with it.” Id. at 386. On the basis of this testimony, the court assessed a two-level increase to Russell’s base offense level for possessing a dangerous weapon during the course of the offense, pursuant to § 2D1.1(b)(1) of the Sentencing Guidelines.

C.Sentence

To compute Russell’s offense level under the Sentencing Guidelines, the district court held a hearing concerning the quantity of drugs attributable to him. Ultimately, the court concluded that the quantity of drugs for which Russell was responsible could not be discerned from the trial testimony, and that “[t]he best estimate available to the court of a drug quantity for which Russell is responsible is found in the stipulations regarding drug quantity to which Russell’s co-conspirators entered after pleading guilty to conspiring with Russell.” App. at 137. Because Russell’s co-conspirators stipulated that they were responsible for quantities not exceeding 20 kilograms of powder cocaine and 250 grams of cocaine base, the court determined that Russell was responsible for the same amount. Thus, the court assessed *176Russell’s base offense level, under § 2D1.5(a)(l), at 38. With the two-level increase for possession of a firearm and a two-level increase for obstruction of justice, Russell’s resulting offense level was 42. Applied to his criminal history category of II, his resulting imprisonment range under the Sentencing Guidelines was 360 months to life.

Russell appeals the conviction and sentence entered by the district court. The district court had jurisdiction under 18 U.S.C. § 3231, and we have jurisdiction under 28 U.S.C. § 1291.

II.

A. The CCE Statute & Specific Unanimity

The CCE statute under which Russell was convicted requires that the government prove the following elements: (1) that the defendant committed a drug-related felony under U.S.C. Title 21, Chapter 13, subchap-ter I or II; (2) that this violation was part of a “continuing series of violations” of the sub-chapter; (3) that the defendant acted as an organizer, supervisor or manager of five or more other persons in committing this series of violations; and (4) that the defendant obtained “substantial income or resources” from such activities. 21 U.S.C. § 848.

At issue here is the second element, which requires proof that “such violation is a part of a continuing series of violations.” Id. With respect to this issue, the trial judge instructed the jury as follows:

The phrase, a continuing series of violations means three or more violations of the federal narcotics laws which are in some way-laws which are in some way related to each other. In order to find that this element has been established, you must unanimously agree that the Defendant, Mr. Russell, participated in at least three or more violations of the federal narcotics laws which are in some way related to each other

App. at 2094. Russell claims that the district court’s instruction failed to advise the jury of the requirement that they unanimously agree as to the identity of the three related drug offenses constituting the criminal enterprise. Appellant’s Br. at 27. At trial the government introduced substantial evidence of Russell’s drug-related activity. But Russell claims that the general unanimity instruction permitted the jury to convict him so long as each juror was convinced that he had committed a series comprised of any three related drug violations, regardless of whether they unanimously agreed as to the identity of each underlying violation. See, e.g., United States v. Edmonds, 80 F.3d 810, 814 (3d Cir.1996) (“For example, six jurors may have felt that violations A, B, and C (but no others) were related, and the other six jurors may have concluded that violations D, E, and F (but no others) were related.”).

While it is true that in most cases a general unanimity instruction is sufficient to support a conviction, see United States v. Beros, 833 F.2d 455, 460 (3d Cir.1987), a specific unanimity instruction is required "where the complexity of the case, or other factors, creates the potential that the jury will be confused." Id.; of United States v. Ryan, 828 F.2d 1010, 1020 (3d Cir.), rev'd on other grounds, United States v. Wells, - U.S. -, 117 S.Ct. 921, 137 L.Ed.2d 107 (1997) (“[I]n any case where a count will be submitted to the jury on alternative theories, prudence counsels the trial court to give an augmented unanimity instruction if the defendant requests such a charge. Unanimity is an indispensable element of a federal jury trial.”) (internal citation omitted). The purpose of a specific unanimity instruction is to ensure that the jurors are “in substantial agreement as to just what a defendant did as a step preliminary to determining whether the defendant is guilty of the crime charged.” Beros, 833 F.2d at 460 (quoting United States v. Gipson, 553 F.2d 453, 457-58 (5th Cir.1977)).

In Edmonds we had to decide whether jury instructions relating to a charge under the CCE statute must direct the jury to agree unanimously on which of the alleged violations constitute the continuing series required by the statute. We held that a general unanimity instruction was insufficient to support a conviction under the CCE statute, concluding that the statute “requires unanimous agreement as to the identity of each of *177the three related offenses comprising the continuing series.”1 Edmonds, 80 F.3d at 822 (emphasis added). Our decision in Ed-monds was rooted in the principle that a federal defendant in a criminal trial has a constitutional right to a unanimous jury verdict. Id. at 823 (“[T]he district court’s failure to give ... [the] proposed specific unanimity instruction was error ... implicating] Edmonds’s Sixth Amendment right to a unanimous verdict in a federal criminal trial.”); see also, Andres v. United States, 333 U.S. 740, 748, 68 S.Ct. 880, 884, 92 L.Ed. 1055 (1948) (“Unanimity in jury verdicts is required where the Sixth and Seventh Amendments apply.”); Beros, 833 F.2d at 461 (“[J]ust as the sixth amendment requires jury unanimity in federal criminal cases on each delineated offense that it finds a defendant culpable, it must also require unanimity regarding the specific act or acts which constitutes that offense.”) (internal citation omitted).

The jury instruction at issue in this case is constitutionally deficient in the same manner as was the instruction in Edmonds. In Ed-monds, the trial court instructed the jury as follows:

The government has to prove [ ] that such violation was part of a continuing series of related violations of the federal narcotics laws. A continuing series of violations requires proof beyond a reasonable doubt that three or more violations of the laws occurred and that they, those three or more, were related to each other.

80 F.3d at 813. Although Russell's jury was instructed that they must “unanimously agree” that he “participated in at least three or more violations of the federal narcotics laws,” App. at 2094, this charge still amounted to a general, not a specific, unanimity instruction. The jury should have been instructed that unanimous agreement was required not only to find the existence of a continuing series, but in determining the composition of that series. Our holding in Edmonds was clear: “[t]he CCE statute requires unanimous agreement as to the identity of each of the three related offenses comprising the continuing series.” Edmonds, 80 F.3d at 822 (emphasis added); see also Gipson, 553 F.2d at 456-57 (“The unanimity rule ... requires jurors to be in substantial agreement as to just what a defendant did as a step preliminary to determining whether the defendant is guilty of the crime charged.”)

To be sure, the government introduced compelling evidence that Russell had, in fact, engaged in a large number of drug-related transactions, any number of which could have been the basis for an individual juror’s determination that he had participated in a continuing series of violations under the CCE statute. But the instruction given by the district judge permitted the jurors to convict on the CCE count even if different jurors determined that Russell had committed different acts. Although the jurors may, in fact, have unanimously agreed on a particular set of predicate acts, we cannot speculate as to the content of the jury’s deliberations. See United States v. Beros, 833 F.2d 455, 461 (3d Cir.1987) (“ ‘[W]e are not free to hypothesize whether the jury indeed agreed to and was clear on the’ transaction or theory by which it found [the defendant] guilty.”) (quoting United States v. Echeverry, 698 F.2d 375, modified, 719 F.2d 974 (9th Cir.1983) (en banc)). Thus, because the jurors may well have agreed that a continuing series of violations had occurred, yet disagreed as to the identity of the three related offenses comprising the series, we conclude that the district court’s failure to give a specific unanimity charge violated Russell’s Sixth Amendment right to a unanimous verdict.2

*178B. Standard of Review

1. Preservation of Issue for Appeal

Though we have concluded that the charge on the CCE continuing series element was error, we must nevertheless determine whether it constituted reversible error. The government argues, and the dissent agrees, that Russell failed to preserve this issue for appeal, and thus the standard of review is plain error. For the following reasons, we believe that the issue was properly preserved, and therefore review for harmless error.

Rule 80 of the Federal Rules of Criminal Procedure provides that:

No party may assign as error any portion of the charge or omission therefrom unless that party objects thereto before the jury retires to consider its verdict, stating distinctly the matter to which the party objects and the grounds of the objection.

The purpose of this provision is to provide the district court an opportunity to correct potential problems in jury instructions before the jury begins its deliberations. See United States v. Logan, 717 F.2d 84, 91 (3d Cir.1983) (“Rule 30 has the manifest purpose of avoiding whenever possible the necessity of a time-consuming new trial by providing the trial judge with an opportunity to correct any mistakes in the charge before the jury begins to deliberate.”) (internal citation omitted).

The trial record in this case discloses the following sequence of events with respect to the charge. First, the judge gave a CCE instruction which did not require specific unanimity with respect to the continuing series of offenses. App. at 2091-99. Next, the judge stated that the he would meet with counsel to “find out any objections or exceptions to the charge,” and dismissed the jury for lunch. App. at 2141. During the ensuing conference, the prosecutor and defense counsel engaged in a discussion concerning the applicability of the Edmonds case. Russell’s counsel argued that a special verdict was required by Edmonds. The government argued that the instruction as given was consistent with Edmonds. App. at 2145. The court then stated that it would consider the issue during the lunch break, App. at 2145, but the issue was not revisited.

Although Russell’s counsel did not explicitly state that he was objecting to the CCE instruction,3 the colloquy between the court and counsel regarding the Edmonds ease, and the context in which this conversation took place (an on-the-record conference to discuss objections and exceptions to the charge), lead us to conclude that the trial judge had sufficient notice of a possible error in the CCE jury instruction. As we noted earlier, the crux of Rule 30 is that the district court be given notice of potential errors in the jury instructions, not that a party be “required to adhere to any formalities of language and style to preserve his objection on the record.” United States v. O’Neill, 116 F.3d 245, 247 (7th Cir.1997) (internal citations omitted).4 Russell’s trial counsel alert*179ed the court to his belief that the charge as given did not comply with our decision in Edmonds, and the judge’s statement that he would review the issue suggests that the court understood this as an objection (or at the very least, a point of disagreement with the charge as given).

Certainly, an objection must be specific enough not only to put the judge on notice that there is in fact an objection, but to serve notice as to the underlying basis for the objection. United States v. Sandini, 803 F.2d 123 (3d Cir.1986). For example, in Sandini we determined that the substance of a colloquy between the judge and defense counsel was insufficient to have put the trial judge on notice that an objection was based on Rule 404(b) of the Federal Rules of Evidence, because defense counsel simply repeated three times that the information was “irrelevant.” 803 F.2d at 126. Here, however, the trial court was put on notice that Russell believed that the instruction was incorrect because it lacked the requisite specificity, and that the basis for this belief was our decision in Edmonds.5

Finally, the context in which the colloquy between the court and the attorneys took place provides an additional basis for concluding that a proper objection was made. The judge convened this on-the-record meeting specifically to “find out any objections or exceptions to the charge.” App. at 2141. This is, of course, a common practice in both criminal and civil trials and serves as an invitation to counsel to suggest corrections or amendments to the charge, or to state or reiterate objections. Defense counsel took this opportunity to engage the court and prosecutor in an extended debate about whether or not the jury instruction at issue was consistent with Edmonds. We believe the court must have understood that Russell’s counsel was stating an objection to the charge as given; thus, this issue was properly preserved for our review.6

*1802. Proposed Alternative Instruction

In addition to posing his objection, Russell’s counsel proposed an alternative jury instruction, one which required specific unanimity as to the series of offenses under the CCE count. In our view, this constitutes an additional ground for applying a harmless error standard in this case.7

The failure to give the defendant’s proposed jury instruction formed the primary basis for our decision in Edmonds. While our holding was certainly premised upon our discussion as to whether the court’s charge was sufficient to assure jury unanimity, our primary focus was whether “the court’s failure to give [the defendant’s] proposed specific unanimity instruction” constituted error. Edmonds, 80 F.3d at 823.

Although it is unclear that proposing an alternative jury instruction is itself sufficient to preserve the issue for appeal, at least two of our cases have indicated that the plain error standard will be applied when there has been no specific objection to the charge as given and no alternative jury instruction has been submitted. See, e.g., Beros, 833 F.2d at 458 (“review under the more deferential ‘plain error’ standard is appropriate in cases where no objection to jury instructions is made, or where no alternative jury instructions are proposed”) (internal citations omitted); United States v. DeCarlo, 458 F.2d 358, 370 (3d Cir.1972) (plain error analysis is applied “[i]n the absence of an alternative request or specific objection” to the charge). Other circuits have employed this analysis as well. See, e.g., United States v. Payseno, 782 F.2d 832, 834 (9th Cir.1986) (Where defendant “did not request a specific unanimity instruction and failed to object to the court’s instructions as given” appellate court will review for plain error.); United States v. Donathan, 65 F.3d 537, 540 (6th Cir.1995) (“Since defendant neither requested nor submitted [an alternative] instruction, and did not object to the instructions given by the trial judge, the jury instructions are reviewable only for plain error.”). However, at least two circuits have indicated that proposing an alternative jury instruction, without more, is insufficient to preserve the issue. See United States v. Tannenbaum, 934 F.2d 8, 14 (2d Cir.1991) (“[Requested instructions do not substitute for specific objections to the court’s instructions.”) (quoting United States v. Graziano, 710 F.2d 691, 696 n. 8 (11th Cir.1983)).

Because we hold that the colloquy between the district judge and trial counsel was tantamount to an objection and therefore sufficient to preserve this issue for our review, we need not determine here whether or not proposing an alternative instruction would be sufficient in and of itself to avoid a plain error standard of review. However, under the facts of this case, where defense counsel not only proposed an alternative jury instruction but engaged the court and prosecutor in a colloquy regarding an alleged error in the charge, the issue was sufficiently preserved and harmless error analysis is appropriate.

3. Plain Error

We have concluded that the appropriate standard of review in this case is harmless error. The government took the position at oral argument that the appropriate standard is plain error. The dissent agrees. Ultimately, however, we believe the jury charge constituted reversible error even under the more deferential plain error standard.

For there to be plain error, there must be an “error” that is “plain” and that “affects substantial rights.” United States v. Retos, 25 F.3d 1220, 1228 (3d Cir.1994) (quoting United States v. Olano, 507 U.S. 725, 113 S.Ct. 1770, 123 L.Ed.2d 508 (1993)). A deviation from a legal rule is “error.” Id. at 733, 113 S.Ct. at 1777. A “plain” error is one which is “clear” or “obvious.” Id. at 734, 113 S.Ct. at 1777-78. In this case the court *181erred when it “deviated from the legal rule” that jurors must be instructed as to the requirement of specific unanimity to find a continuing series under the CCE statute. Furthermore, the error was plain in that it was “clear” and “obvious” from even a cursory reading of our decision in Edmonds that a finding of specific unanimity was required to sustain a CCE conviction. Edmonds, 80 F.3d at 822; see also United States v. Stansfield, 101 F.3d 909, 920 (3d Cir.1996) (omission of essential element of offense from jury instructions “usually will be obvious error,” therefore satisfying the requirements that there be “error” and that the error be “plain”).

Having determined that the error was plain, we must now examine whether the error “affected substantial rights,” thus constituting reversible error under plain error review. See Retos, 25 F.3d at 1228. We have no hesitation in concluding that the error did affect a substantial right of Mr. Russell — his constitutional right to a unanimous jury verdict on each element of the CCE charge. The Supreme Court has held that due process requires “proof beyond a reasonable doubt of every fact necessary to constitute the crime with which [the defendant] is charged.” United States v. Xavier, 2 F.3d 1281, 1287 (3d Cir.1993) (quoting In re Winship, 397 U.S. 358, 364, 90 S.Ct. 1068, 1073, 25 L.Ed.2d 368 (1970)). See Government of Virgin Islands v. Brown, 685 F.2d 834 (3d Cir.1982) (“The omission of an essential element of an offense in the charge to the jury ordinarily constitutes plain error.”) Furthermore, at least one other circuit has found plain error under circumstances similar to those presented here. See United States v. Payseno, 782 F.2d 832, 836-37 (9th Cir.1986) (after trial court gave a general unanimity instruction, the reviewing court found that there was a genuine possibility that the jurors were not unanimous as to which of the charged offenses supported the verdict, and held that the failure to give a specific unanimity instruction therefore constituted plain error).

C. Harmless Error Analysis

Under harmless error review, if we find a constitutional error, we may affirm the district court “only if the error is harmless beyond a reasonable doubt.” United States v. Molina-Guevara, 96 F.3d 698, 703 (3d Cir.1996) (citing Chapman v. California, 386 U.S. 18, 24, 87 S.Ct. 824, 828, 17 L.Ed.2d 705 (1967)). Under the facts of this case, we cannot conclude that the error in the charge to the jury was harmless beyond a reasonable doubt, and therefore must reverse.

The government introduced a vast array of evidence regarding Russell’s drug-related activity, and the jury determined that Russell was engaged in a continuing series of violations, as we discussed above. However, it is impossible to conclude beyond a reasonable doubt that the jury reached unanimous agreement as to which specific violations occurred. Therefore, we must conclude that Russell was deprived of his Sixth Amendment right to a unanimous jury verdict. See, e.g., Beros, 833 F.2d at 463 (“Because there is a significant possibility that this error may have resulted in a non-unanimous verdict in violation of the Sixth Amendment, the district court’s instructions were not harmless beyond a reasonable doubt.”). Despite the enormous volume of evidence introduced against Russell, “we cannot affirm a non-unanimous verdict simply because the evi-' dence is so overwhelming that the jury surely would have been unanimous had it been properly instructed on unanimity.” Edmonds, 80 F.3d at 824.

In Edmonds we ultimately determined that the failure of the court to provide a specific unanimity instruction was harmless error. But the facts which formed the basis for that conclusion are not present in this case. In Edmonds, the defendant was convicted of every violation alleged to constitute the continuing series for the CCE charge. Edmonds, 80 F.3d at 812-13. We did not have to speculate whether the jurors reached agreement as to the identity of each of the three offenses constituting the series, because we had a jury verdict which demonstrated that each juror believed the defendant to be guilty of all of the violations constituting the series.

Russell, on the other hand, was not charged separately with all of the underlying *182offenses which, according to the government, constituted the continuing series for the CCE count.8 Although he was convicted of conspiracy to distribute controlled substances, and the government has urged that this is the “functional equivalent” of a finding of unanimity on the continuing criminal enterprise charge, Appellee’s Br. at 34-35, we cannot agree. The jury returned a unanimous verdict on the conspiracy charge, but we can only conclude from this that the jury agreed that Russell was guilty of that one predicate offense.

The CCE statute requires that the defendant participate in a “continuing series” of violations of the federal drug laws. 21 U.S.C. § 848. We have held that a “continuing series” consists of three or more separate violations. Echeverri, 854 F.2d at 643. A jury finding that the defendant was guilty of a single predicate act cannot be the “functional equivalent” of a jury finding that the defendant participated in a continuing series of three violations. It is on this basis that we hold that the district court’s failure to instruct the jury as to the requirement of specific unanimity for the continuing series element did not amount to harmless error.

D. Conclusion

In summary, we hold that the jury instruction at issue was erroneous because it failed to apprise the jury of their responsibility to unanimously agree on the identity of the three predicate violations constituting the continuing series required for a CCE conviction. Furthermore, the failure to give a proper unanimity instruction constitutes reversible error under either a harmless error or plain error standard of review. Accordingly, we will reverse the defendant’s conviction under 21 U.S.C. § 848, the CCE statute.

III.

Russell has raised a number of other challenges to his conviction, none of which has merit. We will discuss each of them in turn.

A. Alleged, Evidence of Multiple Conspiracies

Russell contends that his rights were prejudiced by the admission of evidence of multiple conspiracies at variance with the single conspiracy alleged in the indictment. Specifically, Russell maintains that evidence relating to his activity at the “pink house” and drug activity in Philadelphia illustrate the existence of two other conspiracies separate from the Williamsport conspiracy charged in the indictment. Russell argues that he has been prejudiced because this evidence permitted the jury “to consider offenses unrelated to the Williamsport conspiracy when determining [his] guilt on the conspiracy count.” See Appellant’s Br. at 30-38. We disagree. Russell has not been prejudiced because the evidence offered by the government supports the finding of a single conspiracy encompassing the drug activities in Williamsport, Philadelphia and the “pink house.”

To determine whether a series of events constitutes a single conspiracy or separate, unrelated conspiracies, a three-step inquiry is required: (1) determining whether there was a common goal among the conspirators; (2) examining the nature of the scheme and determining whether the agreement sought to bring about a continuous result which could not be sustained without the continued cooperation of the conspirators; and (3) examining the extent to which the participants overlapped in various dealings. United States v. Kelly, 892 F.2d 255, 259 (3d Cir.1989). Clearly, the common goal of this conspiracy was to make money selling cocaine. After applying the Kelly factors, it seems obvious that virtually all activities the coconspirators engaged in to make money selling cocaine could be encompassed within this single conspiracy. A conspiracy charge often casts a wide net, and drug distribution activities conducted in different locations can certainly be encompassed within a single conspiracy. Nor are we concerned that only Russell, not his co-conspirators, sold drugs *183out of the “pink house.” Co-conspirators do not have to know all of the details, goals or even the identity of other co-conspirators, to support the finding of a single conspiracy. Id. at 260. We therefore affirm the jury’s verdict on the conspiracy count.

B. Admission of Evidence Relating to Ma-ple Shade Arrest and Handgun Purchases

Russell challenges the admission of evidence relating to his arrest in 1991 in Maple Shade, New Jersey. He also challenges the evidence introduced pertaining to several handgun purchases made on his behalf by Melita Garcia, his girlfriend. Russell maintains that the events surrounding the arrest were not relevant to the issues to be decided by the jury because they occurred in April 1991, one year prior to the beginning of the conspiracy alleged in the indictment. He challenges the evidence of handgun purchases on the basis that: (1) there was no evidence presented that he actually possessed the guns; and (2) three purchases occurred prior to the April 1992 date cited in the indictment as the beginning of the conspiracy.

The events relating to the Maple Shade arrest were relevant at trial to show a common scheme or plan in relation to the conspiracy alleged in the indictment. The evidence at trial established that Russell and Smith were arrested in Maple Shade on their way from New York where they had purchased cocaine from one of Russell’s sources. App. at 1272. This same source was later used by Russell to purchase drugs for his Williamsport operation. From these events, a jury could reasonably infer a common scheme or plan similar to that operated by Russell in Williamsport and in which Smith participated. The evidence was probative to establish an association between Smith and Russell, to establish how the drug operation functioned (i.e., drugs supplied from New York), and to establish a common purpose. See, e.g., United States v. Montoya-Ortiz, 7 F.3d 1171, 1177-78 (5th Cir.1993) (jury could consider prior conduct to determine that conduct charged was not “coincidence, accident, or mistake, but was instead a part of [a scheme] in furtherance of’ a particular goal or purpose); United States v. Fitzherbert, 13 F.3d 340, 343 (10th Cir.1993) (evidence of prior marijuana operation admissible to establish “knowledge, intent, and the presence of a common scheme or plan.”).

Russell’s challenge to the admission of evidence relating to his gun purchases is equally unpersuasive. Russell contends that the evidence was not relevant because there was no evidence presented relating to his use or possession of the guns. In our view, the jurors could have reasonably concluded that he possessed the guns which were, after all, purchased for him. Furthermore, it has long been recognized that firearms are relevant evidence in the prosecution of drug-related offenses, because guns are tools of the drug trade. United States v. Muniz, 60 F.3d 65, 71 (2d Cir.1995); see also United States v. Adams, 759 F.2d 1099, 1109 (3d Cir.1985) (gun possession probative as to scale of conspiracy and type of protection conspirators believed was necessary to protect their operation). Finally, Russell contends that because three of the gun purchases occurred prior to the date cited in the indictment as the beginning of the conspiracy, these purchases cannot be relevant. We disagree. The jury reasonably could have concluded that gun purchases completed pri- or to the beginning of the drug conspiracy were made with the anticipation that he would need “protection” to establish his drug operation.

For the foregoing reasons, we conclude that the district court’s admission of evidence regarding the defendant’s Maple Shade arrest and gun purchases was not an abuse of discretion.

C. Two-Level Increase in Offense Level for Weapons Possession

The district court imposed a two-level increase in Russell’s offense level for possessing a dangerous weapon pursuant to § 2Dl.l(b)(l) of the Sentencing Guidelines. The facts which formed the basis for this increase were RusseU’s possession of the knife used to assault George Felder in October 1994, and Russell’s possession of two guns, purchased by Mehta Garcia. Russell *184maintains that he used the knife in self-defense and argues that this is not the type of possession contemplated by the Sentencing Guidelines to warrant a two-level increase. We find this argument unpersuasive.

The Sentencing Guidelines provide that the two-level adjustment should be applied “if the weapon was present, unless it is clearly improbable that the weapon was connected with the offense.” U.S.S.G. § 2D1.1, comment, (n.3). The testimony relating to the knife assault unequivocally established that the confrontation between Russell and Felder involved a dispute about proceeds generated from drug activity. Under such circumstances, we cannot conclude that it was “improbable” that the knife was connected with the offense.

Inasmuch as we believe that the district court’s imposition of the two-level increase on this basis was proper, we need not determine whether an adjustment would have been appropriate under a gun possession theory.

D. Use of Stipulations To Establish Drug Quantity

To sentence a defendant on a drug-related charge, the district court must determine the quantity of drugs for which the defendant was responsible. After reviewing the record from Russell’s trial, however, the district court concluded that the quantity of drugs for which Russell was responsible could not be discerned from the trial testimony. In order to ascertain a quantity that could be attributed to Russell’s drug conspiracy and continuing criminal enterprise, the court relied on stipulations agreed to between the government and Russell’s co-conspirators, stating that they “form[ed] a highly rehable basis for an estimate of the drugs attributable to Russell.” App. at 134. The district court sentenced Russell based on the same quantity of drugs his co-conspirators stipulated to, 20 kilograms of powder cocaine and 250 grams of cocaine base. Russell objects to the district court’s method, urging that it is an unreliable measure of the amount of drugs for which he was accountable.

We are unpersuaded by Russell’s argument. First, Russell was the organizer of the conspiracy. We believe that the quantity of drugs for which his co-conspirators have taken responsibility provides a rehable basis for estimating the quantity of drugs attributable to him. Second, even if the estimate was unreliable, it was overgenerous to Russell. The evidence at trial showed that because of his operation at the “pink house,” Russell actually participated in a greater number of drug transactions than did his coconspirators.

For the foregoing reasons, we affirm the sentence imposed by the district court for Russell’s conspiracy conviction. We will reverse Russell’s conviction and vacate his sentence on the CCE count, and remand for further proceedings consistent with this opinion.

. In United States v. Echeverri, 854 F.2d 638 (3d Cir.1988), we held that a jury considering a CCE charge must unanimously agree on which three acts constitute the continuing series of violations. In Edmonds, sitting en banc, we explicitly recognized "the opportunity to reconsider Echeverri ” and reaffirmed the decision reached in that case. 80 F.3d at 812.

. We do not suggest that in addition to a specific unanimity charge, a special verdict form must be submitted to the jury requiring it to enumerate the specific predicate acts which it has determined constitute the continuing series. Nor do we believe it appropriate to prescribe specific language to be used when charging a jury with respect to the continuing series element of a CCE count. Just how the goal of ensuring unanimous *178agreement is met is better left to the insight and experience of district court judges on a case by case basis. We merely reaffirm our holding in Edmonds that the jury be instructed to reach unanimous agreement on the identity of the offenses constituting the continuing series.

. Defense counsel made the following statement to the judge:

[Y]ou asked about the form, the form of the verdict and whether I thought that there was any change that needed to be made. I was attempting to point out that my interpretation oi[Edmonds ] seems to suggest that there is a need for a special verdict page that requires the jury to fill in three blank lines of which three federal felony offenses that have unanimously agreed upon having been committed by the defendant.

. To the extent this sentiment has been expressed even more clearly in the civil context, it serves to further demonstrate why the dissent relies upon an overly formalistic interpretation of Rule 30 and its requirements. Interpretations of Rule 51 of the Federal Rules of Civil Procedure, the civil analog to Rule 30, indicate that formal objections are not required. See, e.g., Larry V. Muko, Inc. v. Southwestern Pennsylvania Bldg. and Const. Trades Council, 670 F.2d 421, 425 (3d Cir.1982) (issue preserved for appeal where the party “may not have formally objected to the jury charge, [but] it is clear from the record that the judge was made aware of [the party’s] position before the jury retired to consider its verdict”) (internal citation omitted); Kroger Co. v. Roadrunner Transp., Inc., 634 F.2d 228, 230 (5th Cir.1981) ("The Rule does not require formality, and it is not important in what form an objection is made or even that a formal objection is made at all, as *179long as it is clear that the trial judge understood the party’s position ... The purpose of the Rule is to inform the trial judge of possible errors so that he may have an opportunity to correct them.”) (emphasis added) (internal citation omitted). The dissent relies heavily upon Rule 30's admonition that a party state "distinctly the matter to which th[e] party objects and the grounds of the objection.” This language is virtually identical to that in Rule 51 which states that a party must "state distinctly the matter objected to and the grounds of the objection.” Thus, while we agree with Judge Alito's statement that Rule 30 “is a vitally important rule," we also believe it would be nonsensical not to furnish criminal defendants with the same flexible, common-sense interpretation we afford litigants in the civil context.

. We do not share the dissent’s concern that during the colloquy, Russell’s counsel argued that Edmonds required a special verdict form, see note 3, a position we have refused to adopt in this case. The dissent urges that we have committed a "serious error” by obscuring the distinction between an objection to a jury instruction and a request for a special verdict sheet, but we have done no such thing. To be clear, the only relevance we have placed on the defendant’s request for a special verdict sheet is that it put the judge on notice that specific unanimity was needed. True, Russell’s counsel, in requesting a special verdict form, may have overemphasized what Edmonds required. But it is undeniable that his remarks were sufficient to put the trial court on notice that, at the very least, he did not believe that the charge as given was in compli-anee with our holding in Edmonds. See United States v. Rosero, 42 F.3d 166, 173 (3d Cir.1994) (Although alternative instruction advanced by defendant "was also erroneous,” defense counsel, in objecting to court’s charge, provided a clear explanation as to why the instruction was erroneous and therefore “preserved valid objections to the erroneous portion of the instructions.”) Specifically, defense counsel called the judge’s attention to the relevant language in Edmonds, which the judge indicated he would read. Ultimately, it was for the court to determine whether Edmonds required a special verdict form or simply a specific unanimity instruction. No such determination was ever made.

. The dissent also urges that because Russell's counsel objected to instructions 51 and 43 (neither of which had anything to do with Ed-monds ), but failed to object to the general unanimity instruction at the same time, the issue was not preserved. However, as we have noted, Russell's counsel believed that a special verdict form was required by Edmonds. This belief, while incorrect, was not unreasonable. At the time Russell’s counsel specifically objected to juty instructions 51 and 43, he did not know that the judge would not be using his proposed special verdict form. Although a special verdict form is not required, from the perspective of Russell’s counsel a general unanimity instruction coupled with a special verdict form would have assured specific unanimity. Therefore, defense counsel had no reason to object to the unanimity instruction until the judge had ruled on his request for a special verdict. Again, the underlying purpose of *180Rule 30 is to put the judge on notice as to potential errors. Here, as we discussed above, we believe the judge was put on notice of an Edmonds problem.

. Defendant's proposed jury instruction Number 41 stated in pertinent part that "|y]ou as a jury, must agree unanimously on the three acts which constitute the continuing series of Federal Drug Law violations.” Appellee’s Supplemental Appendix at 25.

. Although Russell was charged with multiple counts, only the count of conspiracy to distribute controlled substances under 21 U.S.C. § 846 could qualify as a CCE predicate act, because the CCE statute expressly requires that the violations constituting the continuing series be of U.S.C. Title 21, Chapter 13, subchapter I or II. 21 U.S.C. § 848.