Legal Research AI

United States v. Baldyga

Court: Court of Appeals for the First Circuit
Date filed: 2000-12-07
Citations: 233 F.3d 674
Copy Citations
46 Citing Cases
Combined Opinion
           United States Court of Appeals
                      For the First Circuit


No. 99-2008

                    UNITED STATES OF AMERICA,

                            Appellee,

                               v.

                         GERALD BALDYGA,

                      Defendant, Appellant.


          APPEAL FROM THE UNITED STATES DISTRICT COURT

                FOR THE DISTRICT OF MASSACHUSETTS

         [Hon. Nathaniel M. Gorton, U.S. District Judge]


                             Before

                     Torruella, Chief Judge,

                 Wallace*, Senior Circuit Judge,

                    and Lipez, Circuit Judge.


     Benjamin S. Albert, with whom Jeffrey H. Cramer and
Brown, Rudnick, Freed & Gesmer, P.C. were on brief, for
appellant.
     Jennifer H. Zacks, Assistant United States Attorney, with
whom Donald K. Stern, United States Attorney, was on brief,
for appellee.




    *   Of the Ninth Circuit, sitting by designation.
                               December 7, 2000

             LIPEZ, Circuit Judge. In March, 1999, a jury convicted

Gerald Baldyga of four counts of possession of cocaine with

intent to distribute and distribution of cocaine, in violation

of    21   U.S.C.   §   841(a)(1),     one    count    of    being   a   felon    in

possession of firearms and ammunition, in violation of 18 U.S.C.

§ 922(g)(1), and one count of tampering with a witness, in

violation of 18 U.S.C. § 1512(b)(3).              Focusing on the witness

tampering conviction, Baldyga argues on appeal that the evidence

was    insufficient     to   support    that    conviction       and     that    the

district court erred in its instructions to the jury.                      As the

ensuing discussion reveals, Baldyga's case does not involve

witness tampering in the classic sense of a defendant, prior to

trial, approaching a potential witness and attempting, through

threats or other means, to prevent that witness from testifying

against him.        Baldyga also raises issues we have not addressed

before relating to the "communication with federal officials"

element of the witness tampering statute.                   Despite the unusual

facts      and   unaddressed    issues,      federal    circuit      courts     have

consistently interpreted § 1512(b)(3) to include the kind of

conduct Baldyga engaged in here.




                                       -2-
            Baldyga further contends unpersuasively that one of the

search    warrants         authorizing      a    search   of     his    property         was

defective,       and    that      the   district     court       made       an   improper

evidentiary      ruling      at    trial.         Accordingly,         we    affirm      his

conviction on all counts.

                                   I. Background

            We recount briefly the contours of this case, deferring

a more detailed recitation for the sufficiency of the evidence

discussion.          Baldyga's convictions arise from an investigation

begun by state and local authorities in Webster, Massachusetts,

in January, 1998.           The federal Drug Enforcement Administration

(DEA) joined the investigation in February, 1998.                                Richard

Chenevert,       a     regular     drug     customer      of   Baldyga's,          was     a

cooperating witness throughout the investigation who agreed to

buy cocaine from Baldyga in a "controlled purchase."                             For each

transaction,         the    government      gave    Chenevert       money        for     the

purchase and equipped him with a listening device so they could

monitor    his       safety.       During       January    and    February,         1998,

Chenevert    successfully           made    three    controlled         purchases         of

cocaine from Baldyga.

            On March 1, 1998, Chenevert attempted to make a fourth

controlled purchase of cocaine at Baldyga's home.                                When he

arrived, however, Baldyga gave him a note instructing him to


                                           -3-
remain silent and to put his hands on the wall.                       Baldyga found

the listening device Chenevert was wearing, disabled it, and

instructed him to leave the premises.                 When the listening device

went   dead,      the    law     enforcement          officers    monitoring       the

transaction approached the property.                  Although Baldyga fled the

house through a rear exit, he was apprehended by authorities

approximately 50 yards from his home.

                     II. Sufficiency of the Evidence

            Baldyga contends that the district court erred in not

granting his motion for acquittal because there was insufficient

evidence to support his conviction for witness tampering in

connection with his confrontation with Chenevert.                     We review the

district's court ruling on the Rule 29 motion de novo.                             See

United States v. Hernandez, 146 F.3d 30, 32 (1st Cir. 1998).                        In

considering       whether   the       evidence      was   sufficient     to   convict

Baldyga, we view the facts and draw reasonable inferences in

favor of the government.              See United States v. Freeman, 208 F.

3d 332, 337 (1st Cir. 2000).             The evidence is legally sufficient

so   long   as,    taken    as    a    whole,    it    warrants   a     judgment    of

conviction.        See   id.     at    338.    We   consider     both    direct    and

circumstantial evidence as part of this inquiry.                         See United

States v. Duclos, 214 F.3d 27, 32 (1st Cir. 2000).                        To affirm

Baldyga's conviction for witness tampering under 18 U.S.C. §


                                         -4-
1512(b)(3), we must find that the evidence was sufficient for

the jury to conclude beyond a reasonable doubt that Baldyga

knowingly intimidated or threatened Chenevert with the intent to

hinder Chenevert's communication with federal law enforcement

officials.1

           The      government's     cooperating    witness,        Richard

Chenevert, testified that on March 1, 1998, he agreed with local

and   federal    law   enforcement    authorities    to    do   a   fourth

controlled buy of cocaine from Baldyga.         Following the typical

procedure,    the    government    searched   Chenevert,    removed     his

personal effects from his pockets, provided him with cash for

the transaction, and equipped him with a listening device.

Although   Chenevert     had   successfully    obtained    cocaine     from

Baldyga during controlled buys on three previous occasions, the

transaction on March 1 did not go well.             When he arrived at



      1The witness tampering statute, 18 U.S.C. § 1512(b)(3),
provides, in relevant part:

      Whoever knowingly uses intimidation or physical force,
      threatens, or corruptly persuades another person, or
      attempts to do so, or engages in misleading conduct
      toward another person, with intent to . . . hinder,
      delay, or prevent the communication to a law
      enforcement officer or judge of the United States of
      information relating to the commission or possible
      commission of a Federal offense or a violation of
      conditions of probation, parole, or release pending
      judicial proceedings . . . shall be fined under this
      title or imprisoned not more than ten years, or both.

                                    -5-
Baldyga's    residence,     Baldyga    handed     Chenevert     the   note

instructing him not to talk, and to put his hands on the wall.

When he finished reading the note and looked up, Baldyga was

pointing a gold-colored double-barreled gun at his face.

            When Chenevert turned around to face the wall, Baldyga

told him he had heard he would be wearing a wire.             Baldyga then

searched him for the listening device and disabled it after

finding it in Chenevert's coat pocket.          Baldyga asked Chenevert

what was happening, and Chenevert told him the police had not

followed him to Baldyga's house.        At that point, Baldyga told

Chenevert to leave the premises and never return.             Chenevert's

testimony about this exchange was substantiated at trial by

Stephen Rock, another government witness, who was at Baldyga's

home that evening to purchase cocaine.

A.          Hindering Communication

            Baldyga   argues   first   that     he   "never    threatened

[Chenevert] with physical harm should [Chenevert] inform federal

authorities in the future."      Indeed, Chenevert did not testify

that Baldyga explicitly threatened to harm him should he contact

federal authorities.      Nevertheless, the jury in this case could

readily and reasonably infer that Baldyga's brandishing of the

gun, and holding it to Chenevert's head, reflected an intent to

deter Chenevert from discussing the cocaine deals with federal


                                 -6-
authorities.     Additionally, the jury could have concluded that

Baldyga revealed an awareness of Chenevert's cooperation with

law enforcement authorities by telling him he heard he would be

wearing a wire, and by searching for the listening device.              The

jury also could have concluded that Baldyga intended to prevent

or discourage such cooperation when he ripped the wire away from

the transmitter.2      See, e.g., United States v. Black, 78 F.3d 1,

6-7   (1st   Cir.    1996)   (finding    evidence   sufficient   under    §

1512(b)(3) where the defendant, accompanied by a co-defendant

who commented on the witness's cooperation with law enforcement,

said nothing to the witness about her cooperation with federal

officials but displayed a leather holster on his ankle); United

States v. Victor, 973 F.2d 975, 978 (1st Cir. 1992) (finding

"abundant proof from which the jury could have determined that

[the defendant] was aware of [the witness's] cooperation with

the    federal      authorities"   where    the     defendant    made    an

"unannounced visit" and "intrusive search" of the witness's

apartment and stated only that the witness "talked too much in

federal court").




      2We note that Baldyga conceded at oral argument that,
assuming the officers listening to the conversation between him
and Chenevert were federal agents for purposes of § 1512(b)(3),
his actions to delay Chenevert's communication with those
officials would suffice under this element of the statute.

                                   -7-
B.          Status of the Officers

            Baldyga also contends that he did not violate the

witness tampering statute because no federal authorities were

listening    to    his     conversation    with   Chenevert    when   he

disconnected      the    wire.   Because    the   officers    monitoring

Chenevert were local police only, Baldyga argues, he did not

interrupt Chenevert's communication with any federal official.

This argument fails for two reasons.3

            First, the definition of "federal officials" under §

1512 includes not only federal law enforcement officials acting

in their federal capacity, but also any officer or employee

acting for or on behalf of the federal government as an adviser



     3 We must also clarify two points here.         First, our
consideration of whether the evidence was sufficient under §
1512(b)(3) to find the requisite involvement of federal
officials assumes that the jury was correctly instructed to find
specifically that the communication Baldyga hindered would have
been made to a federal agent. As Baldyga correctly contends on
appeal, the trial court did not so instruct the jury, and this
was error.    Second, our finding that there was sufficient
evidence on the federal status of the officers does not preclude
Baldyga's claim that the omitted element of the jury
instructions was plain error that should be corrected. Rather,
as we discuss infra Part III, our consideration of the
sufficiency claim and the plain error claim raise analytically
distinct questions.    Furthermore, the outcomes at stake are
different.    If Baldyga prevailed on his challenge to the
sufficiency of the evidence, we would dismiss the witness
tampering charge. See Fed. R. Crim. P. 29(a). Success on his
assignment of error in the jury instructions would only secure
him a new trial on that charge.     See, e.g., United States v.
Falu-Gonzalez, 205 F.3d 436, 444 (1st Cir. 2000).

                                   -8-
or consultant.         See 18 U.S.C. § 1515(a)(4).4              Because the local

police officers monitoring the transaction between Chenevert and

Baldyga         were   acting    with    the     DEA   as      part    of   a    joint

investigation, they may be considered federal officials for the

purposes of § 1512(b)(3).           See    United States v. Veal, 153 F.3d

1233, 1251 n.25 (11th Cir. 1998) (stating that "[b]ecause of the

concurrent jurisdiction of state and federal authorities in such

areas as drug interdiction . . . we recognize that state police

officers can serve as advisors or consultants to federal agents

in the 'prevention, detection, investigation, or prosecution' of

various federal crimes" (quoting 18 U.S.C. § 1515(a)(4)(A))).

                Baldyga argues that the requirements of § 1512(b)(3)

are "noticeably absent in the instant matter" because "there

were       no   federal    authorities    listening       to     the   communication

device worn by [Chenevert]."               We reject this claim because §

1512 does not require that the witness's communication with

federal officers be as imminent as Baldyga suggests.                        Instead,

other       circuits      have   read   the     statute     to    require       only   a



       4
      Specifically, § 1515(a), which defines the terms used in
§ 1512, provides, in pertinent part: "the term 'law enforcement
officer' means an officer or employee of the Federal Government,
or a person authorized to act for or on behalf of the Federal
Government or serving the Federal Government as an adviser or
consultant . . . authorized under law to engage in or supervise
the prevention, detection, investigation, or prosecution of an
offense." 18 U.S.C. § 1515(a)(4)(A).

                                          -9-
possibility that the conduct will interfere with communication

to a federal agent.5     For example, in Veal, where the appellant

was accused of transmitting misleading information to federal

officials,    the    court    found    sufficient    a   "possibility   or

likelihood    that     [the    defendants']      false   and    misleading

information    would    be    transferred      to   federal    authorities

irrespective of the governmental authority represented by the

initial investigators."       Id. at 1251-52; see also United States

v. Applewhaite, 195 F.3d 679, 687 (3d Cir. 1999); United States

v. Emery, 186 F.3d 921, 925 (8th Cir. 1999); United States v.

Diaz, 176 F.3d 52, 91-92 (2d Cir. 1999); United States v. Bell,

113 F.3d 1345, 1349 (3d Cir. 1997); United States v. Stansfield,

101 F.3d 909, 919 (3d Cir. 1996); United States v. Romero, 54

F.3d 56, 62 (2d Cir. 1995); United States v. Fortenberry, 971

F.2d 717, 720 n.9 (11th Cir. 1992).          In discouraging Chenevert's

communication with authorities by disconnecting the listening



    5 We note that some of these cases interpreting § 1512(b)(3)
concern misleading conduct rather than the intimidating conduct
we have here.     In Veal, for example, the defendants were
convicted of misleading a witness with the intent to hinder the
witness's communication with federal officials. See Veal, 153
F.3d at 1245. The analysis regarding the federal character of
the crime and the relevant authorities applies with equal force
to any consideration of a conviction under § 1512. See, e.g.,
United States v. Diaz, 176 F.3d 52, 91 (2d Cir. 1999) (relying
on an opinion analyzing § 1512(a)(1)(C) in considering claims
under § 1512(b)(3) because the elements of the subsections of
§ 1512 are similar).

                                      -10-
device,    Baldyga   satisfied    the   requirements    of    the   statute

because the possibility existed that such communication would

eventually occur with federal officials. Indeed, not only was it

possible that Chenevert would communicate with federal agents,

but his prior cooperation with them made such communication

probable.

            We also want to dispel any notion that the defendant's

intent to hinder communication must include an awareness of the

possible    involvement   of     federal   officials.        Section   1512

explicitly does not require proof of the defendant's state of

mind with respect to whether the officials involved were federal

officers.    See 18 U.S.C. § 1512(f).6     Therefore, the evidence may

be sufficient to support a conviction under § 1512(b)(3) even if

the defendant had no knowledge that the witness threatened had

even contemplated communicating with a federal official.               "All

that § 1512(b)(3) requires is that the government establish that

the defendants had the intent to influence an investigation that

happened to be federal."       Applewhaite, 195 F.3d at 687.

C.          Commission of a Federal Offense


     6 Section 1512(f) provides, in relevant part: "In a
prosecution for an offense under this section, no state of mind
need be proved with respect to the circumstance . . . that the
law enforcement officer is an officer or employee of the Federal
Government or a person authorized to act for or on behalf of the
Federal Government or serving the Federal Government as an
adviser or consultant."

                                   -11-
             Finally,        Baldyga             argues      that     the    evidence      is    not

sufficient       to     support        his       conviction         for     witness      tampering

because Chenevert could not have witnessed a federal offense on

March 1, 1998.          Because he claims he had no intention of selling

Chenevert drugs that day, he contends that there is no federal

offense      upon       which     to        predicate         his     conviction         under     §

1512(b)(3).         We reject this argument.                     The jury found that the

evidence supported a guilty verdict on the charge of possessing

cocaine with intent to distribute it in violation of 21 U.S.C.

§ 841(a)(1), a federal offense.                              Moreover, the evidence was

sufficient to support Baldyga's conviction for witness tampering

even   if    the      prosecution           had      been     unable        to   prove     all   the

elements of the drug charge.                         See Applewhaite, 195 F.3d at 687

(noting that "if the investigation or prosecution a defendant

tries to hamper turns out to be federal, the [defendant] is

guilty      of   tampering            with       a     federal      witness       even     if    the

prosecution        is      unable      to    establish          the    facts      necessary       to

establish a violation of federal law").

             Section 1512(b)(3) does not require that the defendant

be   convicted        of    the       federal        offense.         Rather,      the     statute

criminalizes          the    interference               of    "communication          to    a    law

enforcement        officer        .    .     .    of     information         relating      to    the

commission or possible commission of a Federal offense."                                          18


                                                  -12-
U.S.C. § 1512(b)(3) (emphasis added).     Contrary to Baldyga's

assertion, the dispositive issue is the federal character of the

investigation, not guilty verdicts on any federal offenses that

may be charged.   Indeed, even where a prosecution is in federal

court "only by accident or mistake" because authorities are not

correct in selecting a federal forum over a state forum, this

fact "does not alter the federal nature of the prosecutions

brought in federal court insofar as a violation of 18 U.S.C. §

1512 is concerned." Applewhaite, 195 F.3d at 688.   Accordingly,

we reject Baldyga's claim that there was no federal offense

involved on March 1, 1998.

                      III. Jury Instructions

           Baldyga argues that the court erred in not instructing

the jury that they must find the law enforcement officials

involved to be federal agents, as opposed to state or local

police.7   Because Baldyga's trial counsel did not object to the


     7   With respect to § 1512(b)(3), the judge instructed the
jury:

     Now Count 8 accuses Gerard [sic] Baldyga of tampering
     with a witness or informant on or about March 1, 1998.
     For you to find the defendant guilty of this crime,
     you must find that the government has proven each of
     the following elements beyond a reasonable doubt:
     first, that Mr. Baldyga used intimidation, physical
     force, or threats on March 1, 1998; and second, that
     he did so with the intent to influence, delay, or
     prevent the testimony of that person in an official
     proceeding or to prevent the communication to a law

                               -13-
instructions, we review this claim for plain error.                 See Fed. R.

Crim. P. 52(b); see also United States v. Olano, 507 U.S. 725,

731 (1993); United States v. Colon-Munoz, 192 F.3d 210, 221 (1st

Cir. 1999).       To justify relief for this error, we must conclude

that there was error, that the error was plain, and that it

affected the substantial rights of the defendant.                   See Colon-

Munoz, 192 F.3d at 221.             Even if these three conditions are

satisfied, correcting the error remains discretionary, and we

will   do   so    only   if   the   mistake    "'seriously    affect[s]     the

fairness,        integrity,    or     public     reputation    of     judicial

proceedings.'"       Olano, 507 U.S. at 732 (quoting United States v.

Young, 470 U.S. 1, 15 (1985)).                 Error is "plain" if it is

"clear" or "obvious."         Id. at 734.       The error in this case is

"plain" because § 1512(b)(3) requires, as an element of the

offense, that the law enforcement officials be federal agents.

However,    we     conclude    that    this     omitted   element     was   not

prejudicial because it did not affect Baldyga's substantial

rights.




       enforcement officer of information relating to the
       commission or possible commission of a federal
       offense.

       The government does not need to prove that Mr. Baldyga
       knew that there was a pending federal, as opposed to
       state, proceeding at the time of the offense.

                                      -14-
              For a mistake to affect the substantial rights of the

defendant under the third prong of the "plain error" test, the

error must have been "prejudicial" in the sense that it must

have affected the outcome of the district court proceedings.

See id.      Because he did not object to the jury instructions at

trial, Baldyga bears the burden of persuasion on this point.

See id.      Our task is to determine "whether the record contains

evidence that could rationally lead to a contrary finding with

respect to the omitted element."           Neder v. United States, 527

U.S. 1, 19 (1999).8

              At trial, Baldyga did not dispute the DEA's involvement

in the investigation.         Even on appeal he contests only the

extent       to   which   federal   agents    were   involved   in   the

investigation, and their proximity to the transaction between

him and Chenevert on March 1, rather than their involvement at

all.       Furthermore, the jury found, beyond a reasonable doubt,


       8
      Although this inquiry resembles our analysis of Baldyga's
challenge to the sufficiency of the evidence, we note that
finding the evidence sufficient to support his conviction did
not rule out the possibility that he was prejudiced by the
omitted element of the jury instructions. In deciding that the
evidence was sufficient to support his conviction, we determined
only that the evidence warranted a judgment of conviction beyond
a reasonable doubt. It would be consistent with that conclusion
to also conclude as part of the plain error analysis that the
same evidence was not so overwhelming as to rationally preclude
"a contrary finding with respect to the omitted element."
Neder, 527 U.S. at 19.      However, we do not reach such a
conclusion here.

                                    -15-
that Baldyga engaged in conduct that constitutes a federal

offense by possessing cocaine with intent to sell.                Logically,

the jury likely would have concluded that at least some of the

law enforcement officers involved in investigating that matter

were federal agents.     See, e.g., Bell, 113 F.3d at 1349 (noting,

"[i]f an offense constitutes a federal crime, it is more likely

that an officer investigating it would be a federal officer").

Indeed,    Special   Agent   Michael      Boyle    of   the     federal    Drug

Enforcement      Administration    testified       that    he    accompanied

Chenevert to Baldyga's residence on February 10, 1998 in an

attempt to make a controlled purchase of cocaine.               Accordingly,

the jury heard evidence that at least one federal officer was an

active part of the investigation of Baldyga's conduct.

            Based on this evidence, and other evidence presented

at trial, we cannot conclude that the jury rationally could have

made a contrary finding with respect to the element omitted from

the jury instructions.        According to        Neder, 527 U.S. at 19,

Baldyga    was   obligated   to   raise   sufficient      evidence    to   the

contrary.     He neglected to do so at all in his initial brief,

and argues in his reply brief only that the involvement of the

federal DEA was limited, rather than that such involvement was

lacking.     Therefore, no prejudice exists, and we decline to

correct the error.     See id. at 18.


                                   -16-
                          IV. Search Warrants

          Baldyga appeals the district court's denial of his

motion to suppress evidence seized from the second search of his

residence.      Following Baldyga's arrest on March 1, 1998, the

police obtained and executed a warrant to search the primary

residence at Baldyga's property, 61 Sutton Road, on March 2.

After seizing several items, including weapons and the note that

Baldyga   had   written   to   Chenevert,    the   police   obtained   and

executed a second warrant to search Baldyga's property.          Baldyga

argues that the fruits of the second search should be suppressed

because the police lacked probable cause to obtain the warrant,

and because the warrant contained an insufficient description of

the premises to be searched.

          We review a district court's decision to grant or deny

a suppression motion de novo.       See United States v. Ferreras,

192 F.3d 5, 9 (1st Cir. 1999).      However, the factual findings of

the court are entitled to deference in the absence of proof that

they are clearly erroneous.        See id.    We will find that clear

error exists only if, "after considering all the evidence, we

are left with a definite and firm conviction that a mistake has

been made."     Id. at 9-10.    "Moreover, we will uphold a district

court's decision to deny a suppression motion provided that any




                                  -17-
reasonable view of the evidence supports such a decision."                Id.

at 10.

                 Our review of the evidence persuades us that there was

probable cause to support the second search warrant.                 Probable

cause exists where information in the affidavit reveals "a fair

probability that contraband or evidence of a crime will be found

in a particular place."           United States v. Khounsavanh, 113 F.3d

279,       283   (1st   Cir.   1997)   (internal   quotation   and   citation

omitted).         "Probability is the touchstone" of this inquiry.        Id.

(internal quotation and citation omitted).             In his affidavit in

support of the application for the warrant, police officer

Thomas Ralph stated that the fruits of the first search,9 as well

as the ongoing police investigation of Baldyga's activities,

indicated that "a dealer at Mr. Baldyga's level would have a

large amount of cocaine on hand for sales."            The first search of

Baldyga's residence only, and not the other buildings on the

property, did not produce any cocaine. Therefore, a reasonable

probability existed, based on the knowledge of the local police,



       9
       Although the police did not find any cocaine during the
first search, they did find four objects with possible cocaine
residue (a CD, a spoon, 2 plastic bag corners, and half of a
scale). Additionally, the search yielded four guns, shells, an
open box of baking soda, one bottle of Pyrodex (described as
"black Powder" in the police report), and a "note with
threatening statement on it" later identified as the note
Baldyga gave Chenevert.

                                       -18-
and the professional experience of the affiant, that cocaine

might be found in other locations on Baldyga's property.

               Baldyga also contends that the second search warrant

was defective because it explicitly authorized only a search of

the residence at 61 Sutton Road, and not of the outbuildings and

other structures on the property.                The authority to search is

limited by the specific places described in the warrant and

cannot be extended to additional locations.                 See Ferreras, 192

F.3d at 10.       "However, search warrants and affidavits should be

considered in a common sense manner, and hypertechnical readings

should be avoided."         United States v. Bonner, 808 F.2d 864, 868

(1st    Cir.    1986).     The   second   search     warrant   in    this   case

authorized a search of "61 Sutton Road, Webster, a single family

residence" and did not mention any of the other buildings on

Baldyga's property.        However, the warrant stated, in the section

describing the items to be seized, "Also, any vehicles on the

property and any unattached buildings, storage areas, garages,

sheds     on     the     property   of      61     Sutton    Road,    Webster,

Massachusetts."        The district court ruled, based on a reasonable

reading of the warrant and the affidavit of police officer

Ralph, that the entry describing the items to be seized was

misplaced and had been intended to describe the premises to be

searched.       We must accept this finding unless we find that it is


                                     -19-
clearly erroneous.             See Ferreras, 192 F.3d at 9.                Based on

police officer Ralph's affidavit--which specifically mentions

"the        separate    storage     areas,      houses,      garages,    unattached

buildings and vehicles on the premises at 61 Sutton Road"--we

cannot conclude that the district court's decision is clearly

erroneous, and we affirm the ruling that the second search

warrant adequately described the premises to be searched.10

                              V. Evidentiary Rulings

                 Finally, Baldyga claims that the district court made

two improper evidentiary rulings.                  First, he argues that the

court erred in admitting an automatic weapon seized from his

property ("the Uzi") into evidence.                   He also contends that the

district court should not have allowed a government witness,

Special Agent Offringa, to testify about reconstructing the

weapon to make it capable of firing.                  Although Baldyga does not

refer       to    Federal    Rule   of    Evidence      403    specifically,      the

substance         of   his   argument    is   that     the    weapon    itself,   and

Offringa's testimony, should have been excluded pursuant to Rule

403     because        the    probative       value    of     the   evidence      was



       10
       Because we find that probable cause existed to support
the second search warrant, and that the warrant adequately
described the premises to be searched, we do not reach the issue
of whether the search would be valid under the good faith
exception to the warrant requirement.     See United States v.
Leon, 468 U.S. 897 (1984).

                                         -20-
substantially outweighed by the danger of undue prejudice to his

case.     See Fed. R. Evid. 403.        We review the district court's

decision to allow the evidence for abuse of discretion.11             See

United States v. Alston, 112 F.3d 32, 35 (1st Cir. 1997); United

States v. Cruz-Kuilan, 75 F.3d 59, 61 (1st Cir. 1996).              These

rulings    must   stand   absent    a     showing   of   "extraordinarily

compelling circumstances."         United States v. Lombard, 72 F.3d

170, 190 (1st Cir. 1995) (quoting United States v. Lewis, 40

F.3d 1325, 1339 (1st Cir. 1994)).            Baldyga has made no such

showing.

            The pieces of the Uzi were relevant to prove that

Baldyga was a felon in possession of firearms, and Offringa's

testimony was relevant to a full understanding of the number and

nature of the weapons he owned.           Any prejudice to Baldyga was

mitigated by Offringa's testimony that the Uzi had been found at

Baldyga's residence in parts, that it had to be reassembled to

make it operable, and that a barrel--a component necessary to


    11  Baldyga's trial counsel objected only to Offringa's
testimony concerning the reconstruction of the Uzi, and not to
the admission of the weapon itself.     Therefore, the court's
decision to admit the Uzi into evidence is reviewed for plain
error only. See Fed. R. Crim. Pro. 52(b); Olano, 507 U.S. at
731.   We do not reach the issue of whether Baldyga could
demonstrate plain error because we conclude that the admission
of the Uzi was not erroneous. However, we note that Baldyga has
not even attempted to demonstrate, as he must under the plain
error doctrine, see Olano, 507 U.S. at 734, that the admission
of the Uzi changed the outcome of his trial.

                                   -21-
make the weapon capable of being fired--had not been found among

the pieces in Baldyga's home.   We reject Baldyga's challenge and

hold that the district court did not abuse its discretion in

making the evidentiary rulings.

         Affirmed.




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