United States v. Smith

          United States Court of Appeals
                        For the First Circuit

No. 99-1678

                      UNITED STATES OF AMERICA,

                              Appellee,

                                 v.
                           WILLIAM SMITH,

                        Defendant, Appellant.


          APPEAL FROM THE UNITED STATES DISTRICT COURT
                FOR THE DISTRICT OF MASSACHUSETTS

              [Hon. Patti B. Saris, U.S. District Judge]


                               Before

           Torruella, Lynch, and Lipez, Circuit Judges.



     Jane Elizabeth Lee, was on brief for appellant.

     Donald L. Cabell, Assistant United States Attorney, with whom
Michael J. Sullivan, United States Attorney, was on brief for
appellee.



                            June 11, 2002
            LIPEZ, Circuit Judge.             William Smith appeals from his

conviction for possession of a firearm and various rounds of

ammunition.      He challenges the district court's admission of

evidence    of   his   drug    dealing        under   Fed.   R.   Evid.    404(b).

Relatedly, he seeks a new trial because he claims a missing portion

of a hearing transcript has impaired his ability to perfect his

appeal on that evidentiary issue.              In addition, he claims that the

government's failure to timely disclose medical treatment records

of a key government witness hampered his ability to defend the

case.    We reject these claims and affirm.

                                         I.

            We describe briefly the background of this case at this
juncture and add more detail as it becomes relevant to the legal

analysis.     On January 29, 1997, a federal grand jury returned a
one-count     indictment      charging    Smith       with   being   a    felon   in
possession of a firearm and various rounds of .38 and .357 caliber

ammunition, on or about November 5, 1996, in violation of 18 U.S.C.
§ 922(g)(1).1    His trial began on June 10, 1997.             In support of its
case at trial, the government introduced evidence that in August of

     1
         Section 922(g) states in relevant part:

     It shall be unlawful for any person . . . (1) who has
     been convicted in any court of, a crime punishable by
     imprisonment for a term exceeding one year . . . to ship
     or transport in interstate or foreign commerce, or
     possess in or affecting commerce, any firearm or
     ammunition; or to receive any firearm or ammunition which
     has been shipped or transported in interstate or foreign
     commerce.

 18 U.S.C. § 922(g).

                                         -2-
1995, Smith had invited an acquaintance, Richard Bovill, over to

his apartment at 5 Otisfield Street (Otisfield Street apartment) in

Roxbury, Massachusetts, to watch a boxing match.                   Bovill was a
security guard and owned several handguns, including a Taurus .38

caliber revolver, the firearm referenced in the indictment. Bovill

brought with him a duffel bag which contained, inter alia, the

loaded   Taurus      revolver,   a    holster    for   the    Taurus,    and   a

Massachusetts firearms permit.         At some point that evening, Bovill

took the gun out of the bag, unloaded it, and handed it to Smith,

who examined it and remarked that he liked it.             A few weeks later,

Bovill realized that he could not find his gun, holster, or permit.

When he returned to the Otisfield Street apartment in search of

them, he found the residence abandoned and boarded up.
            At some point prior to the summer of 1996, Smith moved to

33 Wales Street, Apartment No. 104 (Wales Street apartment) in

Dorchester, Massachusetts.          The lease to the apartment was under
the name of a "Joseph Turner."         Smith began selling cocaine powder

and crack cocaine from that apartment.             A number of individuals

assisted Smith in his drug operation, including a woman named Erica

Moore.

            In late October of 1996, Erica Moore agreed to assist law

enforcement officials investigating the involvement of Smith and

Debra    Anderson,     a   Boston    police     officer,     for   drug-related

activities.    Smith was romantically involved with both Moore and

Anderson.




                                      -3-
           Between October 22 and November 5, 1996, Moore made four

controlled purchases of cocaine from Smith at the Wales Street

apartment.        Notwithstanding her role, Moore also continued to
purchase cocaine from Smith for her own use.                   On November 3, 1996,

shortly before the last controlled buy, Moore went to Smith's

apartment to buy cocaine for herself and saw a gun next to Smith on
the couch in the living room of the apartment.                  Moore reported her

observations to the police the next day, describing the gun as

having a silver barrel and a brown wooden handle.

             On   November   5,    1996,       after    Moore     made    the    final

controlled purchase, the police executed a no-knock warrant to

search the Wales Street apartment for evidence of drug-related

activities.        Upon   entry,   the    police       found    Smith    and    another
individual, Duane Sawyer, inside the apartment. During the ensuing

search of the apartment, officers found, inter alia, a blue bag on

the floor of the living room with the wooden handle of a stainless
steel revolver protruding from one of the unzipped compartments of

the bag.     At trial, Moore identified the revolver as the firearm
she had seen beside Smith in his living room on November 3, and

Bovill testified that it was the same gun he could not find after

showing it to Smith at the Otisfield Street apartment in August

1995.   The gun was loaded with six rounds of ammunition.                           In

addition, officers found in the bag six rounds of .38 caliber

ammunition in a "speed loader," seven rounds of .357 caliber

ammunition in a plastic box, a holster that Bovill identified as

the one he had brought with his gun to Smith's Otisfield Street


                                         -4-
apartment, a case for the speed loader, papers used for packaging

cocaine, a black knife that Moore recognized as belonging to Smith,

utility bills, and checkbooks with Smith's name on them. Elsewhere
in the apartment, police found a wallet containing two of Smith's

IDs and Bovill's firearms license.      In the rear bedroom, police

found two file folders containing documents in Smith's name and
Anderson's name.      On Smith's person there was another wallet

containing more of his IDs and $1,271 in cash, as well as a welfare

card for Moore.

            Although Smith did not testify at trial, he based his

defense on the sole contention that he neither owned nor possessed

the gun.2   To support this defense, Smith put on the stand Sawyer,

who testified that the Wales Street apartment where the gun was
found was leased in the name of an individual named "Joe."    Sawyer

claimed ownership over the gun and testified that Smith had never

seen or handled it.    Smith also challenged the credibility of the
informant Moore, who testified in the government's case.          In

closing argument, Smith disavowed any control over the Wales Street

apartment where the gun was found.

            On June 16, 1997, the jury found Smith guilty as charged.

The district court subsequently found that Smith was an armed

career criminal under the Armed Career Criminal Act, 18 U.S.C.


     2
       As to the other § 922(g)(1) elements, Smith stipulated (1)
that he had previously been convicted of a felony; (2) that the
firearm and ammunition found in the Wales Street apartment
constituted firearm and ammunition within the meaning of federal
law; and (3) that the firearm and ammunition had traveled in
interstate commerce.

                                 -5-
§ 924(e), and accordingly sentenced him to 262 months in prison to

be followed by three years of supervised release.           This appeal

ensued.

                                 II.

            Smith seeks a new trial on grounds that the district

court abused its discretion in admitting evidence of his drug

dealing under Fed. R. Evid. 404(b)3 in a gun possession case and

that the missing hearing transcript has prejudiced his ability to

bring this evidentiary challenge. For the reasons set forth below,

we reject these claims.

A.   Procedural History

            On June 4, 1997, the government filed a motion in limine
to admit, inter alia, evidence of Smith's drug dealing under Rule

404(b).    In that motion, the government disclosed its intention to
present testimony from confidential informant Erica Moore about her
longstanding    involvement   with   Smith   in   dealing   drugs,   and

specifically that she
     assisted the defendant in selling cocaine at [the Wales
     Street apartment] over a period of many weeks preceding
     November 5; that she and others frequently smoked crack

     3
          Rule 404(b) provides in pertinent part:

            Evidence of other crimes, wrongs, or acts is
            not admissible to prove the character of a
            person in order to show action in conformity
            therewith. It may, however, be admissible for
            other purposes, such as proof of motive,
            opportunity,    intent,  preparation,   plan,
            knowledge, identity, or absence of mistake or
            accident. . . .

     Fed. R. Evid. 404(b)

                                 -6-
     at that location, made with cocaine supplied by the
     defendant; that she and others frequently delivered drugs
     at the defendant's direction using a car owned by a
     Boston Police Officer; that the defendant gave her
     instructions regarding various aspects of the business,
     including an explicit direction to keep the sink area of
     the kitchen clean so that there would be ready access to
     the garbage disposal in the event of a police raid; and
     that she made a number of controlled purchases of cocaine
     from the defendant, under the direction of the Boston
     police.
The government also notified the court of its intention to present

at least one other witness who purchased drugs from the defendant

at the Wales Street apartment as far back as ten months before the

gun was found.

          The district court held a hearing on the government's

Rule 404(b) motion on June 9, 1997.          At that hearing, the court

expressed concerns about the relevance of a significant portion of
the proffered    evidence   to   the   gun   possession   charge   and   the

potential for unfair prejudice.        For instance, the court indicated

that it was wary about allowing evidence of any instructions by
Smith that Moore keep the sink area clean to enable ready access to

the drain in case of a police raid:

     What I am trying to walk a tight line on is, if he is not
     charged with a drug offense, it is either prejudicial or
     404(b) material, unless it is relevant, the observation
     of the gun. So, why would it be relevant that the drugs
     were flushed down the drain? Let's assume it is true?

The court also excluded, on the basis of undue prejudice, evidence

of Smith's drug dealing from the Wales Street apartment going back

more than ten (10) days before Moore spotted the firearm in the

apartment:




                                   -7-
     No need to go back to January or May of 1996. [The
     government] really can do it, without getting too
     prejudicial, just within the span of that week.

            Defense counsel proceeded to engage the court in a
dialogue as to the prejudicial nature of evidence that, days before

the gun was found, three armed individuals entered into the Wales

Street apartment, held Smith and others at gunpoint, and robbed
them of drugs and money:

    MR. RICHEY: [defense counsel]: Basically, what you have
    is evidence that is coming before the jury, which I think
    is incredibly prejudicial . . . you have testimony three
    armed men came and tied the defendant, as well as several
    other people, with ropes, and brandished guns, and took
    drugs and money.      I think that is an incredibly
    prejudicial set of facts to put before a jury.

    COURT: Why? Why? In a way [the robbery] makes them more
    sympathetic. I mean, if it happened. He is saying it
    didn't happen. Why is it so prejudicial?
    MR. RICHEY: Well, it just paints this whole scene exactly
    the way the prosecution wants to do, as a drug den, as a
    tinder box where anything could ignite.

    THE COURT: I see.
    MR. RICHEY: And, in and of itself, it is prejudicial.
    And the point I wanted to make is that often the case
    before the court is a drug case, and a gun will come in.
    Guns are tools of the trade. And it is allowed in. And
    a point that I would like to make is drug dealing per se,
    to a degree, is per se abhorrent. So the matter in issue
    is something that is already prejudicial.

            Although a court reporter was present to record the

hearing,    she lost a portion of her notes.       As a result, the final

portion of the hearing transcript is missing from the record.             The

transcript thus ends shortly after the above colloquy, leaving the

parties    without   a   verbatim   account   of   the   remainder   of   the




                                    -8-
hearing.4      The clerk's hearing notes, however, do provide a summary

record of the court's Rule 404(b) ruling:

       [The court's] Order: Cut off gov't use of drug dealing
       evidence to 22nd (week or so before the arrest). As to
       motive and control and nature of relationship with CI
       [Moore].    Won't let in "flush" drugs preparations.
       Defendant will prepare jury instructions to limit drug
       dealing evidence as going only to issue of motive and
       control.
              At trial, Moore testified that she had known Smith for

approximately a year.           She testified that Smith lived at the Wales

Street apartment when she knew him and that she frequently stayed

overnight with him at that apartment.           Moore testified that Smith

paid the rent on that apartment, slept in the bedroom, had control

over the apartment key and mailbox key, and kept his clothes in the

apartment's closets.
              When the government began to question Moore about the

nature of her relationship with Smith, defense counsel objected on

Rule       404(b)    grounds,    anticipating   her   testimony   about   her
involvement with Smith's drug dealing.           In response, the district

court invited defense counsel to submit the limiting instruction

pertinent to this evidence that he was asked at the June 9 hearing

to prepare.         Defense counsel was not prepared to do so, at which


       4
        The hearing transcript was deemed missing in the spring of
2000, when counsel ordered the transcript of the proceedings for
purposes of preparing for the appeal. At that point, based upon
their respective recollections, separate statements were submitted
by Smith, his trial counsel and the government as to what
transpired during the portion of the hearing for which the
transcript was missing, in accordance with Fed. R. App. P. 10(c).
The district court, however, did not settle or approve a statement
of proceedings because it had "no independent recollection" of the
substantive discussions at the hearing.

                                        -9-
point   the    district   court    gave    the   jury     its   own   limiting

instruction:

     And you're about to hear some evidence that will come in
     for a limited purpose. You may remember the charge here
     - and the government has to prove it beyond a reasonable
     doubt - is that Mr. Smith was illegally possessing a
     firearm and ammunition. You're going to hear about some
     activities now which are not charged against Mr. Smith
     and the only reason this is being allowed in is so that
     you can understand the nature of the relationship between
     Ms. Moore and Mr. Smith and also that you can evaluate
     whether or not Mr. Smith had control over the apartment.
     It's up to you to find those issues, but that's the only
     purpose for which you can consider this.      You cannot
     consider this information as anything being charged
     against Mr. Smith, because it's not.

           Moore then testified that she helped Smith distribute

cocaine.      She explained how she packaged cocaine for Smith by
wrapping it in foil and how others working for Smith wrapped

cocaine in white paper similar to that found in the blue bag with

the gun.   Moore identified individuals that came to the apartment
to buy cocaine, to cook cocaine into crack, and to smoke the crack

cocaine.      She indicated that Debra Anderson, the Boston police

officer,   smoked   crack   in    the   apartment   and    that   Smith   used

Anderson's car to deliver drugs.           She testified in detail as to

each of the four controlled buys at the Wales Street apartment.

She explained that when she went to the Wales Street apartment on

her own to buy cocaine two days before the apartment was searched,

Smith was sitting on the couch with a gun beside him, which she

identified as the .38 Taurus revolver produced at trial.                   She

stated that Smith did not say anything about the gun; instead, he

repeatedly looked from the gun to Moore and back to the gun.               She



                                    -10-
testified that Smith told her that he had the gun because he had

been robbed at the apartment that weekend.

            At the close of the evidence, the district court included
in its jury charge an instruction similar to that given earlier

during Moore's testimony about the limited purpose for which the

evidence of Smith's drug dealing was admitted.             Smith did not
object to this instruction.

B.   Missing Portion of the Hearing Transcript

            Smith argues that the missing transcript has prejudiced

his ability to perfect his appeal, thus warranting reversal of his
conviction and a new trial.         The Court Reporter Act, 28 U.S.C.

§ 753(b), provides that all open court proceedings in criminal
cases    "shall   be   recorded   verbatim."5   Although    §   753(b)   is
mandatory, United States v. Andiarena, 823 F.2d 673, 676 (1st Cir.

1987), "nothing prescribes automatic reversal of a defendant's
convictions for non-compliance" with that statutory provision.
United States v. Brand, 80 F.3d 560, 563 (1st Cir. 1996); see

United States v. Gallo, 763 F.2d 1504, 1530 (6th Cir. 1985) ("A
violation of the recording mandate, however, is not per se error,


     5
        The Court Reporter Act, 28 U.S.C. § 753(b), states in
pertinent part:

     Each session of the court and every other proceeding
     designated by rule or order of the court or by one of the
     judges shall be recorded verbatim by shorthand,
     mechanical means, electronic sound recording, or any
     other method, subject to regulations promulgated by the
     Judicial Conference and subject to the discretion and
     approval of the judge. . . . Proceedings to be recorded
     under this section include (1) all proceedings in
     criminal cases had in open court . . . .

                                    -11-
and thus without more does not require reversal.").         Rather, to

obtain reversal and a new trial, the defendant must demonstrate

"specific prejudice to his ability to perfect an appeal, beyond
mere non-compliance with the [Court Reporter Act]."6         Brand, 80

F.3d at 563 (citing extra-circuit precedent).7

            According   to   Smith,    the   missing   portion   of   the
transcript contained both defense counsel's argument to exclude the

contested evidence and the basis for the court's ruling on its

admissibility.   Thus, he contends that the missing transcript

hampers his ability to argue that the district court failed to

perform the requisite second step of the Rule 404(b) analysis,

namely, balancing the probative value of the drug dealing evidence

against its potential prejudicial effect pursuant to Fed. R. Evid.



     6
        Similarly, due process does not require a full verbatim
trial transcript, but only requires that a "criminal appellant be
provided with a record of sufficient completeness to permit proper
consideration of his claims." Bundy v. Wilson, 815 F.2d 125, 135
(1st Cir. 1987)(internal quotation marks omitted).
     7
        Accord United States v. Malady, 960 F.2d 57, 58-59 (8th
Cir. 1992) ("To obtain reversal, a defendant must show the missing
part of the transcript specifically prejudices the appeal.");
Gallo, 763 F.2d at 1530-31; United States v. Sierra, 981 F.2d 123,
125 (3rd Cir. 1992) ("[F]ailure to comply with the Court Reporter
Act does not warrant reversal without a specific showing of
prejudice.").    See generally Sheldon R. Shapiro, Annotation,
Prejudicial Effect of Federal District Court Reporter's Omissions
in Recording Judicial Proceedings, Where Such Omissions Constitute
Failure to Comply With Court Reporter Act, 28 U.S.C.A. § 753(b), 12
A.L.R.Fed. 584 (1972 & Supp. 2000) (collecting cases). But see
United States v. Selva, 559 F.2d 1303, 1306 (5th Cir. 1977)
("When . . . a criminal defendant is represented on appeal by
counsel other than the attorney at trial, the absence of a
substantial and significant portion of the record, even absent any
showing of specific prejudice or error, is sufficient to mandate
reversal." (footnote omitted)).

                                -12-
403, see United States v. Van Horn, 277 F.3d 48, 57 (1st Cir.

2002), and that we cannot meaningfully review the district court's

decision to admit some of the drug dealing evidence under Rule

404(b).   We disagree.

           We know from the record that the district court did

consider the prejudicial effect of the drug dealing evidence on a

jury in a gun possession case and excluded certain evidence on that

basis.    For instance, the court specifically excluded evidence of

Smith's drug dealing from the Wales Street apartment going back

more than ten days before the gun was found on grounds that it was
"too prejudicial."      Moreover, the district court invited Smith to

submit a limiting instruction on the Rule 404(b) evidence.              The
invitation   to    a   defendant   to   submit   or   request   a   limiting
instruction "suggests that [the district court] had come to the

conclusion that the danger of unfair prejudice did not outweigh the
probative value of the evidence."       United States v. Rosa, 705 F.2d

1375, 1378 (1st Cir. 1983)(per curiam).          Although defense counsel

failed to do so, the court gave its own such instruction twice --
once in the midst of trial and again as part of the jury charge.
            Furthermore, there is no necessary relationship between

the absence from the record of an explanation for a Rule 403
balancing ruling and our ability to conduct a meaningful appellate
review of such a ruling.     See United States v. Santagata, 924 F.2d

391, 394 (1st Cir. 1991) (noting that "on-the-record findings as to
the probative value/prejudicial effect balance . . . are not always

necessary").      As Smith concedes, where the record is silent, we

                                   -13-
have on prior occasions assumed that the district court tacitly

performed Rule 403 balancing, or we have independently engaged in

that analysis without resort to the district court's decision.
See, e.g., United States v. De La Cruz, 902 F.2d 121, 123 n.1 (1st

Cir. 1990) ("Despite the lack of express findings, we believe that

the    record    reflects       the     district    court's    awareness        of   its
responsibility         to    weigh    the   relevant     factors    and       perform    a

balancing test prior to allowing the government to use the disputed

evidence."); United States v. Foley, 871 F.2d 235, 238 (1st Cir.

1989)(no abuse of discretion found in exclusion of evidence despite

absence of express findings); United States v. Flores Perez, 849

F.2d 1, 4 n.2 (1st Cir. 1988); United States v. Currier, 821 F.2d

52, 54 n.3 (1st Cir. 1987) (noting that trial court's "failure to
elaborate       on      the     reason       for    deciding       to     admit      the

evidence . . . did not in these circumstances imply that it was

ignoring the proper factors under Rule 403" (internal quotation
marks omitted)).

               Finally, we recognize that an adequate record is of

particular importance when new counsel is retained on appeal.

However, the mere fact that Smith has retained new counsel for his

appeal does not by itself warrant reversal nor in any way relieve

Smith of his burden to demonstrate "specific prejudice."                             See

Brand,    80    F.3d    at    563     (requiring     same   showing      of    specific

prejudice, "whether or not there is new appellate counsel").                            To

hold     otherwise      would        "create[]     the   perverse       incentive       of

encouraging defendants to dismiss trial counsel and seek new


                                            -14-
appellate counsel whenever questions arise over the sufficiency of

a trial transcript."      United States v. Huggins, 191 F.3d 532, 537

(4th Cir. 1999).    Accord Sierra, 981 F.2d at 126.              There has been
no showing that the missing portion of the hearing transcript

prejudices Smith's ability to challenge the admission of the drug

dealing evidence under Rule 404(b).             We turn, therefore, to the
merits of that Rule 404(b) challenge.

C.    Admissibility of Drug Dealing Evidence Under Rule 404(b)

            Smith contends that, under Rule 404(b), the district

court improperly admitted at his trial on the firearms possession
charge evidence of his involvement in drug-related activities.

Reviewing the district court's Rule 404(b) evidentiary ruling for
abuse of discretion, see Van Horn, 277 F.3d at 56, we find no such

abuse here.

            Rule 404(b) allows "[e]vidence of other crimes, wrongs or
acts" to be introduced for certain permitted purposes, such as
"proof    of   motive,    opportunity,        intent,   preparation,      plan,

knowledge, identity, or absence of mistake or accident." We engage
in a two-step analysis to determine admissibility of other-acts
evidence under Rule 404(b).           See United States v. Sebaggala, 256

F.3d 59, 67 (1st Cir. 2001).           First, we must assess whether the
evidence is "specially probative of an issue in the case" and is
not   merely   offered   to    show   the    defendant's   bad    character   or

propensity for crime.         United States v. Frankhauser, 80 F.3d 641,

648 (1st Cir. 1996).



                                      -15-
           Even if the evidence demonstrates such special relevance,

"it must run a second gauntlet; Rule 404(b) incorporates sub

silentio   the   prophylaxis    of   Federal   Rule   of    Evidence   403."
Sebaggala, 256 F.3d at 67.      Under Rule 403, the evidence shall be

excluded if "its probative value is substantially outweighed by the

danger of unfair prejudice, confusion of the issues, or misleading
the jury, or by considerations of undue delay, waste of time, or

needless presentation of cumulative evidence."          Fed. R. Evid. 403.

As Rule 403 makes explicit, the law shields a defendant "against

unfair prejudice, not against all prejudice."              United States v.

Candelaria-Silva, 162 F.3d 698, 705 (1st Cir. 1998) (internal

quotation marks omitted).      United States v. Rodriguez-Estrada, 877

F.2d 153, 156 (1st Cir. 1989) ("[A]ll evidence is meant to be
prejudicial; it is only unfair prejudice which must be avoided.").

We usually defer to the district court's balancing under Rule 403

of probative value against unfair prejudice.          See United States v.
Currier, 836 F.2d 11, 18 (1st Cir. 1987).        "Only rarely -- and in

extraordinarily compelling circumstances -- will we, from the vista

of a cold appellate record, reverse a district court's on-the-spot

judgment concerning the relative weighing of probative value and

unfair effect."    Freeman v. Package Mach. Co., 865 F.2d 1331, 1340

(1st Cir. 1988).

           1.    Special Relevance

           The disputed evidence easily clears the relevancy hurdle.

Section 922(g)(1) requires the government to prove, inter alia,

that the defendant possessed a firearm and did so knowingly.


                                     -16-
United States v. Lanoue, 137 F.3d 656, 661 (1st Cir. 1998).           To

establish knowing possession under § 922(g)(1), the government must

demonstrate actual or constructive possession of the firearm.         See

United States v. Wight, 968 F.2d 1393, 1397-98 (1st Cir. 1992).

"'Constructive' possession is commonly defined as the power and

intention to exercise control, or dominion and control, over an
object not in one's 'actual' possession."     United States v. Zavala

Maldonado, 23 F.3d 4, 7 (1st Cir. 1994).

           In his defense, Smith disavowed any control over the

revolver or the Wales Street apartment where that gun was found,

submitting testimony from Sawyer to that effect.       In light of this

defense, evidence of Smith's drug dealing at the apartment was

highly relevant to the issues disputed at trial because that
evidence   demonstrates   Smith's   control   over   the   Wales   Street

apartment where the gun was found, and the joint drug dealing

efforts of Smith and Moore help explain why Moore was in a position
to see the gun.     Furthermore, Smith's drug dealing provides a

compelling motive for possessing the gun, namely, to protect his

drugs and drug money. Several of our sister circuits have approved

the admission of evidence of a defendant's drug activities in a

firearms possession case to show a motive or knowing possession of

the firearm.   See, e.g., United States v. Thomas, 242 F.3d 1028,

1031-33 (11th Cir. 2001) (holding that evidence of defendant's drug

dealing was admissible to prove knowing possession of firearms);8

     8
      The facts in Thomas bear close resemblance to those here. In
that case, police executed a search warrant at Thomas's residence
after a few drug transactions occurred at or near there. See 242

                                -17-
United States v. Butcher, 926 F.2d 811, 816 (9th Cir. 1991)

("[E]vidence of narcotics trafficking may be properly admitted to

show knowing possession of a weapon."); United States v. Fuller,
887 F.2d 144, 147 (8th Cir. 1989) (holding that, "given the close

and well-known connection between firearms and drugs," drug-related

evidence was admissible to show motive to possess firearm); United

States v. Simon, 767 F.2d 524, 527 (8th Cir. 1985) (finding that

evidence that defendant engaged in "drug packaging" at apartment

where gun was found was probative of his possession of that gun,

because of "known correlation between drug dealing and weapons").

           Smith argues that our decision in United States v.

Currier,   821    F.2d   52   (1st    Cir.    1987),   demonstrates    our

unwillingness    to   admit   evidence   of   narcotics   to   prove   gun
possession.     That is not so.      In Currier, the defendant did not

argue that the gun he was charged with possessing belonged to

someone else in the apartment. See id. at 56 n.6.              Thus, the
narcotics evidence was only "marginally relevant on the issue of

[gun] possession."    Id. Here, on the other hand, Smith argued that

the gun did not belong to him; he put on evidence that Sawyer owned

the gun.   As such, evidence of drug dealing, for reasons discussed

supra, was relevant to the contested issue of knowing possession.


F.3d at 1030.   While the search did not produce any drugs, the
police did find two firearms -- one in the closet and another in a
pick-up truck parked in the driveway -- along with $1,200 in cash
on a dresser in the living room, and $110 cash in defendant's
wallet. See id. The Eleventh Circuit upheld the district court's
admission of evidence of defendant's drug dealing on the basis that
"evidence of his drug trafficking was in sufficiently close
proximity, temporally and physically, to be relevant to proving
that he knowingly possessed" the firearms. Id. at 1032.

                                  -18-
            2.   Risk of Unfair Prejudice

            We recognize that illicit drug dealing is an "emotionally

charged public issue." 2 Jack B. Weinstein & Margaret A. Berger,
Weinstein's Federal Evidence § 403.04[2], at 403-46 (2d ed. 2002).

Thus, the trial courts must exercise care in deciding to what

extent, if at all, evidence of drug-related activities should be
admitted in a firearms possession case.        Here, the district court

exercised appropriate care in monitoring the introduction of such

evidence.

            The district court carefully parsed the evidence at the

pre-trial hearing and circumscribed the scope of the evidence the

government could offer at trial. Although the government sought to

admit evidence of Smith's drug dealing stretching back over a ten-
month period, the court excluded evidence of Smith's drug dealing

going back more than ten days before Moore saw the firearm in the

Wales   Street   apartment.     The   court   also   barred    Moore      from
testifying as to instructions by Smith to keep the sink area clean

to enable ready access to the drain to flush down drugs in case of

a police raid.

            Smith argues, however, that this evidence of drug dealing

was not necessary to show Smith's control over the apartment

because it was duplicative of other uncontested evidence in the

record, such as testimony that Smith had the keys to the apartment

and   mailbox,   slept   in   the   only   bedroom   where    he   kept    his

prescription medication, and paid the utility bills.          We disagree.

While this other evidence may have been probative on the issue of


                                    -19-
control over the apartment, it had no bearing on motive to possess

the gun.   The strongest evidence of motive (and therefore knowing

possession) -- matters which Smith himself put into issue -- was
the drug dealing from that apartment around the time the gun was

discovered.

           Finally, we note the careful limiting instruction given
by the trial court -- first when the challenged testimony was

admitted and again in the jury charge -- as to the limited purposes

for which Moore's testimony about Smith's drug-related activities

was to be considered.   We have noted on many occasions the salutary

effect of such instructions.    See, e.g., United States v. Morla-

Trinidad, 100 F.3d 1, 6 (1st Cir. 1996) (taking note of limiting

instruction in assessing extent of unfair prejudice); Devin, 918
F.2d at 288 (noting "clarity of the court's charge" limiting jury's

use of Rule 404(b) evidence in finding no abuse in trial court's

Rule 403 balancing); United States v. Currier, 836 F.2d 11, 18-19

(1st Cir. 1987) (finding no abuse in court's Rule 403 calculus

where district court alleviated impact of unfair prejudice by means
of cogent limiting instructions).      We conclude that the district

court did not abuse its discretion in admitting the drug-related

evidence at Smith's trial on the firearm possession charge.

                                III.

           In addition, Smith seeks reversal of his conviction on

grounds that the government failed to timely disclose Moore's
medical treatment records, in violation of Brady v. Maryland, 373

U.S. 83 (1963), thus impairing his ability to defend the case.   The

                                -20-
Supreme Court held in Brady that "suppression by the prosecution of

evidence favorable to an accused upon request violates due process

where the evidence is material either to guilt or to punishment,
irrespective of the good faith or bad faith of the prosecution."

Id. at 87.    Smith's claim rests on the well-established corollary

of that rule prohibiting unwarranted delays in the disclosure of
material evidence.    See, e.g., United States v. Ingraldi, 793 F.2d

408, 411-412 (1st Cir. 1986) (recognizing that delayed disclosure

requires reversal where delay caused prejudice to defendant's

case).

A.   Procedural History

             On February 18, 1997, Smith filed a discovery motion
seeking, inter alia, exculpatory material under Brady and Giglio v.

United States, 405 U.S. 150 (1972).         His motion included a request

for "any information adverse to the credibility of any witness,
including but not limited to . . . physical, mental, visual, or
psychiatric    treatments   and/or    impairments   (including   legal   or

illegal use of drugs and excessive use of alcohol), which could
affect witness' [sic] accuracy and full details of the same."
Smith also requested disclosure of any rewards, promises, or

inducements -- monetary or otherwise -- made by the government to
any prospective witness in exchange for information or other
assistance. On February 26, 1997, the government responded that 1)

it was not aware of any evidence which could be deemed exculpatory
under Brady and its progeny, and 2) no promises, rewards or

inducements had been given to any witnesses.

                                     -21-
            On June 5, 1997, less than a week before trial, the

government notified Smith that it intended to call Erica Moore as

a witness.9    On June 9, the government provided Smith with a copy
of Moore's criminal record and informed him that Moore was manic-

depressive and addicted to crack.                 Smith did not move for a

continuance at this time.
            On June 10, the first day of trial, the government

informed Smith that the Boston Police Department had paid Moore for

her services and promised her drug treatment.               At a June 11 hearing

prior to opening arguments, Smith objected to this late disclosure

of financial rewards and incentives to Moore and requested that the

cross-examination of Moore be continued until the next day "at a

minimum."     The court granted Smith a one-day continuance.
            On the following morning of June 12, Smith moved for a

mistrial, claiming that he did not have enough time to prepare for

Moore's cross-examination because certain medical records relating
to Moore were yet to be disclosed to him.                   The district court

denied    Smith's    motion   for    a    mistrial    without    prejudice     but

continued Moore's cross-examination for another day.                 Smith then

moved for a continuance until June 16. The court denied that

request   without     prejudice     to    renewal    upon   disclosure    of   the

anticipated documents.

            The     government    began     and   completed     Moore's   direct

examination that day, June 12.            Moore testified, inter alia, that

     9
       The Rule 404(b) motion in limine was filed on June 4, 1997.
The government claims that it was not until this time that it
became aware that Moore would be available to testify at trial.

                                         -22-
on October 13, 1996, she was living with Debra Anderson, but that

Anderson      kicked     Moore    out   of    the     apartment      because     of     a

disagreement on October 18, 1996.                 Moore testified that Smith at
various points had been romantically involved with both her and

Anderson and that she met with law enforcement officials sometime

during this period and gave them information concerning Anderson
and Smith.

              Later    that   evening,       Smith    received      the    anticipated

disclosures of voluminous medical records relating to Moore from

two mental health institutions.               The next morning, Smith renewed

his motion for a mistrial; in the event that his mistrial motion

was denied, he also moved for a three-day continuance until June

16, to afford him "an adequate opportunity to fully review the
records and adequately cross-examine her on them."                        The district

court denied Smith's motion for a mistrial but granted his request

for     a    three-day     continuance       of      Moore's   cross-examination.
Accordingly, Smith cross-examined Moore on June 16, 1997.                       He did

not complain        that   the    continuance      that   he   had    requested       and

received was insufficient, nor did he renew his motion for a

mistrial before cross-examining Moore.

B.    Analysis

              In delayed disclosure cases, we need not address whether
the evidence was "material" under Brady unless the defendant can

demonstrate that "defense counsel was 'prevented by the delay from
using       the   disclosed      material     effectively      in    preparing        and

presenting the defendant's case.'"                United States v. Lemmerer, 277

                                        -23-
F.3d 579, 588 (1st Cir. 2002) (quoting Ingraldi, 793 F.2d at 411-

12); see also Devin, 918 F.2d at 290 ("[T]he critical inquiry

is . . . whether the tardiness prevented defense counsel from
employing the [tardily disclosed] material to good effect.").

However, we have noted that defense counsel must typically request

a   continuance    to   preserve     a    claim   of   prejudice    by   delayed
disclosure of evidence.       See United States v. Sepulveda, 15 F.3d

1161, 1178 (1st Cir. 1993) ("As a general rule, a defendant who

does not request a continuance will not be heard to complain on

appeal that he suffered prejudice as a result of late-arriving

discovery.").     See also United States v. Osorio, 929 F.2d 753, 758

(1st Cir. 1991) ("Generally, we have viewed the failure to ask for

a continuance as an indication that defense counsel was himself
satisfied   he    had   sufficient       opportunity   to   use    the   evidence

advantageously.").10       Here, Smith failed on June 16, 1997, to

request an additional continuance or to renew his motion for a
mistrial.   When Smith's counsel appeared in court on June 16, he

never indicated that the three-day continuance was insufficient

time to prepare adequately for Moore's cross-examination.                 Compare

Devin, 918 F.2d at 289 (noting that defense counsel, unsatisfied



      10
         Accord Lemmerer, 277 F.3d at 587 n.2 (citing Osorio);
Ingraldi, 793 F.2d at 413 ("[Defendant's] failure to move for a
continuance when he received the [overdue disclosures] indicates
that he was himself satisfied that he had sufficient time to use
them to his best advantage."); United States v. Diaz-Villafane, 874
F.2d 43, 47 (1st Cir. 1989) (observing that defendant's "claim that
he was unfairly surprised is severely undermined, if not entirely
undone, by his neglect to ask the district court for a continuance
to meet the claimed exigency").

                                     -24-
with four-day continuance granted to review tardy disclosures,

moved for further continuance of 30 days).

            In any event, even if there was a delayed disclosure and
Smith properly preserved a challenge to it, he cannot make the

requisite showing of prejudice.11     We have held that "some showing

of   prejudice   [is]   required   beyond    mere   assertions   that   the
defendant would have conducted cross-examination differently."

United States v. Walsh, 75 F.3d 1, 8 (1st Cir. 1996).         At the very

least, Smith must show "a plausible strategic option which the

delay foreclosed."      Devin, 918 F.2d at 290.        The impact of the

delayed disclosure on defense counsel's cross examination turns in

part on "the extent the defendant actually managed to use the

[disclosed material] despite the delay."            Ingraldi, 793 F.2d at
412.

            The record demonstrates that defense counsel conducted an

effective cross-examination of Moore by using her medical records
and criminal history to attack her credibility.           He interrogated

her about her mental health history, along with her prior criminal

record and history of drug abuse.           He specifically pressed her

about her involuntary commitment at two mental health facilities

and her treatment with anti-psychotic medication. He inquired into

the effect of that medication on her perception and cognitive


       11
       The government denies any delay in disclosure, maintaining
that it disclosed the relevant records on Moore (which were not in
the government's possession) as promptly as possible under the
circumstances.   We need not resolve that question here.       For
purposes of the present analysis, we assume without deciding that
there was a delay in the disclosure of Moore's records.

                                   -25-
abilities.     He elicited information about her various diagnosed

conditions: a severe bipolar disorder with psychotic features,

paranoia with delusional disorders, and Borderline Personality
Disorder. He questioned her about her $1,000-a-week cocaine habit,

her altercations with other patients while at the mental health

institutions, and her alleged statements in the past expressing a
desire to hurt others.

             Moreover, defense counsel's development of other avenues

of   impeachment    reduces    the   significance      of    the    information

contained in Moore's medical disclosures.            For instance, he asked

her about her use of drugs while on probation and statements she

made to her probation officer about experiencing audio and visual

hallucinations.     In addition, defense counsel questioned Moore
about her conviction for assault and battery with a dangerous

weapon, and her receipt of payments for working with the police to

apprehend Smith.
             Smith argues that, if his trial counsel had received the

medical records earlier, he would have developed a defense strategy

concerning Moore's extensive history of retaliating against people

whom   she   perceived   had   injured      or   insulted    her,   instead   of

attempting to cast doubt on the reliability of her perception of

reality and her ability to make observations.               He claims that his

theory would have been that Moore fabricated her testimony at trial

to retaliate against Smith, who was involved romantically with both

Anderson and Moore at various points.




                                     -26-
          Smith cannot prevail on that argument for two reasons.

First, defense counsel did in fact attempt to question Moore during

cross-examination   about    several       retaliatory   acts   during   her
hospitalizations. Indeed, in his closing argument, defense counsel

posed a rhetorical question to the jury: "Doesn't her mental health

history show her capacity for revenge, the extent to which she
would manipulate others and the situation around her?"                   This

statement confirms that any delay in disclosure did not foreclose

Smith from identifying the impeachment value of this retaliation

theory.   See Devin, 918 F.2d at 289 (holding that, to demonstrate

the requisite prejudice from delayed disclosure, defendant must

make prima facie showing that "the delay foreclosed" a "plausible

strategic option").
          Second,     the   court    sustained    objections    to   cross-

examination questions about retaliatory acts, thus precluding Smith

from pursuing this line of questioning.          Smith, however, makes no
argument on appeal that the district court abused its discretion in

this limitation of his cross-examination.          Having failed to make

this predicate argument, Smith cannot be heard to complain that any

delay in the disclosure of Moore's medical records compromised his

ability to pursue the "retaliatory-acts" line of questioning.

           In summary, we are satisfied generally that any delay in

the disclosure of Moore's medical records did not impair defense

counsel's "effective use of the information, hinder presentation of




                                    -27-
the defense, result in unfair prejudice, or cause an alteration in

defense strategy."    Id. at 291.12

          Affirmed.




     12
        Smith filed a pro se supplementary brief in which he raises
a number of additional arguments not argued by his counsel. Our
careful review of his submissions and the record fails to reveal
any issues that merit discussion.

                                 -28-


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