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United States v. Staula

Court: Court of Appeals for the First Circuit
Date filed: 1996-03-29
Citations: 80 F.3d 596
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86 Citing Cases
Combined Opinion
                  UNITED STATES COURT OF APPEALS
                            UNITED STATES COURT OF APPEALS
                      FOR THE FIRST CIRCUIT
                                FOR THE FIRST CIRCUIT

                                             

No.  95-1882

                    UNITED STATES OF AMERICA,

                            Appellee,

                                v.

                        STEPHEN J. STAULA,

                      Defendant, Appellant.

                                             

           APPEAL FROM THE UNITED STATES DISTRICT COURT

                FOR THE DISTRICT OF MASSACHUSETTS

           [Hon. Joseph L. Tauro, U.S. District Judge]
                                                               

                                             

                              Before

             Selya, Stahl and Lynch, Circuit Judges.
                                                             

                                             

     Martin K. Leppo for appellant.
                              
     Todd  E.  Newhouse, Assistant  United States  Attorney, with
                                 
whom Donald K. Stern,  United States Attorney, was on  brief, for
                              
appellee.

                                             

                          March 29, 1996

                                             


          SELYA,  Circuit Judge.   A  federal grand  jury charged
                    SELYA,  Circuit Judge.
                                         

defendant-appellant  Stephen J.  Staula, in  relevant part,  with

being a felon in possession of a firearm (count 1) and ammunition

(count 2), and with receiving a stolen firearm (count 3).  See 18
                                                                        

U.S.C.   922(g)(1), (j).   Following a five-day trial,  the petit

jury convicted the  appellant on  all three counts.1   The  court

imposed an incarcerative sentence.

          In this appeal,  Staula labors to convince us  that the

district court thrice erred in denying his motions to (i) dismiss

the  indictment  for  want  of  a  speedy  trial,  (ii)  suppress

evidence, and (iii)  direct judgment  of acquittal.   We are  not

persuaded that any error occurred.

                                I
                                          I
                                           

                            Background
                                      Background
                                                

          We sketch the facts in the light most hospitable to the

jury's verdict.   See United States  v. Ortiz, 966 F.2d  707, 711
                                                       

(1st Cir. 1992), cert. denied, 506 U.S. 1063 (1993).
                                       

          During the early evening of September 13, 1993, officer

David  Tyrie of  the Hanover police  department stopped  a pickup

truck for patent violations of the state motor vehicle code.  See
                                                                           

Mass. Gen. L. ch. 90,   6 (requiring, inter alia, a front license
                                                          

plate on  every commercial  vehicle); id.    7 (requiring,  inter
                                                                           

alia, operable brake  lights).   The appellant proved  to be  the
              

driver  and registered  owner  of the  ill-equipped  vehicle.   A
                    
                              

     1The indictment  also charged  the appellant with  two drug-
related  offenses.  The jury acquitted him on these counts and we
eschew any further reference to them.

                                2


female  companion named  Myriah Morse,  later to  become Staula's

wife, occupied the passenger's seat.

          Tyrie testified that he smelled burnt marijuana when he

first   approached  the   driver's  side   window  to   demand  a

registration  certificate  and  operator's  license.    He   then

retreated  to  his  cruiser with  the  documents  and  called for

backup.  After  two other officers  arrived, Tyrie revisited  the

vehicle  and  inquired whether  the  occupants  had been  smoking

marijuana.   He also asked whether they  had any marijuana in the

truck.    Both  Staula and  Morse  answered  the  queries in  the

negative.

          Apparently  unconvinced  by  these disclaimers  and  by

Morse's  volunteered  statement  that  she  recently  had  burned

incense in the vehicle, Tyrie  sought the appellant's consent  to

search the truck.   After  having been rebuffed,  he ordered  the

appellant  to  alight,  searched the  driver's  side  of the  cab

(discovering no contraband),  directed Morse to alight,  searched

the other side of the cab, and found two bags of marijuana behind

the passenger's seat.  Arrests followed all around.

          Prior  to  impounding the  vehicle,  Tyrie conducted  a

standard inventory  search and discovered a  fully loaded handgun

(which had been reported as stolen in November of 1992) and a box

of  ammunition  behind  the  passenger's  seat.     The  gun  and

ammunition  were  located within  inches  of  the marijuana,  and

within easy reach of the driver.  The weapon's hammer was cocked.

          At trial,  the appellant  built his defense  around the

                                3


assertion that he lacked any knowledge of the drugs and weaponry.

To this end, he presented the testimony of a friend, Ralph Nason,

who  claimed that he purchased  the marijuana and,  in a separate

transaction,   accepted   the   gun   and   ammunition  from   an

acquaintance; borrowed the pickup  truck from Staula on Saturday,

September 11; placed the  described articles in the vehicle;  and

then drove to  New Hampshire.   Nason  supposedly remained  there

(with the truck  and the  contraband) until Sunday  evening.   He

claims  to have  returned the  truck to  the appellant  on Monday

(only minutes before Tyrie made the traffic stop).

                                II
                                          II
                                            

                             Analysis
                                       Analysis
                                               

                                A.
                                          A.
                                            

                       The Speedy Trial Act
                                 The Speedy Trial Act
                                                     

          The appellant's principal claim is that the prosecution

did not  bring him to trial  within the time frame  prescribed by

the  Speedy  Trial Act,  18 U.S.C.      3161-3174 (the  Act), and

concomitantly, that  the  district court  therefore  should  have

dismissed the indictment.   In this case, the speedy  trial claim

involves a straight  question of law engendering  de novo review.

See  United States v. Rodriguez,  63 F.3d 1159,  1162 (1st Cir.),
                                         

cert. denied, 116  S. Ct. 681 (1995);  see also United States  v.
                                                                       

Gallo,  20 F.3d  7,  11 (1st  Cir.  1994) (explaining  that  pure
               

questions of law demand plenary appellate review).

          The  baseline premise  of the  Act is  its requirement,

embodied  in 18 U.S.C.   3161(c)(1), that a defendant is entitled

                                4


to  be tried  within seventy  days of  his indictment  or initial

appearance before  a judicial  officer (whichever  first occurs).

See  United States  v. Hastings,  847 F.2d  920, 924  (1st Cir.),
                                         

cert. denied, 488 U.S.  925 (1988).  The premise  cannot be taken
                      

literally, however, for the Act contemplates that certain periods

of time will  be excluded from the computation.   See 18 U.S.C.  
                                                               

3161(h).  An  inquiring court  therefore must  follow a  two-step

process.   First,  the court  must do  the basic  mathematics and

determine the aggregate time elapsed  awaiting trial.  Second, it

must  determine  how  many  days  should  be  excluded  from that

ultimate sum.  See United States v. Sepulveda, 15 F.3d 1161, 1193
                                                       

(1st Cir. 1993), cert. denied, 114 S. Ct. 2714 (1994).
                                       

          Here,  the  salient dates  and  events are  essentially

undisputed.  The speedy trial clock began to  tick on October 26,

1994  (the date  of arraignment).   See  id. (describing  date of
                                                      

inception  of speedy trial period).  The clock stopped ticking on

March 16, 1995 (the date on which the appellant  filed his motion

to dismiss under the Act).  See United States v. Connor, 926 F.2d
                                                                 

81,  84 (1st  Cir. 1991)  (holding that  "a motion  for dismissal

[under  the  Act] is  effective only  for  periods of  time which

antedate the filing  of the  motion").  Excluding  March 16,  see
                                                                           

Rodriguez, 63 F.3d at 1163-64 (reiterating that the date on which
                   

a motion is filed  is not counted), the aggregate  period amounts

to 140 days.

          We now take the second  step in the pavane.  This  step

begins and ends  with the  appellant's motion to  suppress.   The

                                5


appellant  served   this  motion   on  November  17,   1994,  and

simultaneously requested an evidentiary  hearing.  The government

filed  an opposition.    The magistrate  judge  assigned to  hear

pending motions reserved the  suppression motion for the district

judge.  On March 22, 1995,  Judge Tauro discussed the motion with

counsel but  made no ruling.   On the day trial  began (April 18,

1995),  the  judge  denied  the  motion from  the  bench  without

convening an evidentiary hearing.   He also denied the  motion to

dismiss primarily on the basis that the period between the filing

of  the suppression motion (November 17, 1994) and what he termed

the  "preliminary hearing" thereon  (March 22,  1995) constituted

excludable time under the Act.

          The appellant challenges this ruling.  He contends that

the brief exchange on March  22 did not comprise a "hearing"  for

purposes  of the Act.   The point is  significant because the Act

provides  that delay  connected with  a pending  pretrial motion,

"from  the filing  of the  motion through  the conclusion  of the

hearing  on, or  other prompt  disposition of,  such motion,"  is

excludable.  18 U.S.C.   3161(h)(1)(F).  For motions that require

a hearing,2 this subsection excludes  the time between the filing

of the motion  and the hearing on that motion,  even if the delay

is  overlong, inexplicable,  or unreasonable.   See  Henderson v.
                                                                        
                    
                              

     2It is often arguable whether a particular motion requires a
hearing.  See generally United States v. Tannehill, 49 F.3d 1049,
                                                            
1052 n.4  (5th Cir.), cert. denied, 116 S. C.t 167 (1995).  Here,
                                            
the   appellant  requested   a  hearing   on  his   motion,  thus
acknowledging that  one was  appropriate.  Consequently,  we need
not discuss  the factors  that determine whether  a given  motion
"requires" a hearing.

                                6


United States,  476 U.S.  321,  329-30 (1986);  United States  v.
                                                                       

Johnson,  29 F.3d 940, 942-43  (5th Cir. 1994);  United States v.
                                                                        

Clymer, 25 F.3d  824, 830-31  (9th Cir. 1994);  United States  v.
                                                                       

Noone,  913 F.2d 20, 27  n.10 (1st Cir.  1990), cert. denied, 500
                                                                      

U.S. 906  (1991).  Thus,  if the  March 22 encounter  comprises a

hearing  within the  purview  of  the  Act,  the  district  court

appropriately excluded  all the  time accrued after  November 17,

1994.

          The Act itself does not  define the term "hearing," and

the case  law on this point  is relatively sparse.   It is clear,

however,  that  due  process  rarely  demands   full  evidentiary

hearings, see Doyle  v. Secretary of HHS, 848  F.2d 296, 302 (1st
                                                  

Cir.  1988)  (collecting  cases),   and  we  are  confident  that

something  less than a  full evidentiary hearing  will suffice to

engage  the gears of    3161(h)(1)(F).  Two  recent Fifth Circuit

cases  are instructive.  In  United States v.  Tannehill, 49 F.3d
                                                                  

1049  (5th Cir.), cert. denied, 116  S. Ct. 167 (1995), the court
                                        

declared  that, at a minimum,  "the term includes  a situation in

which the district court hears argument of counsel and  considers

[those  arguments] prior  to making  its ruling."   Id.  at 1053.
                                                                 

Utilizing  this standard, the court held that a discussion of the

merits  of  the   defendant's  motion  at  the  outset  of  trial

constituted a hearing for purposes of the Act.  See id.
                                                                 

          In United States v. Grosz,     F.3d     (5th Cir. 1996)
                                             

[No.  94-10922,  1996 WL  75726], a  brief exchange  concerning a

pending motion  occurred between  the district court  and counsel

                                7


for the  government (in which defense  counsel, although present,

did not  play a part).   See  id. at      [1996 WL 75726  at *2].
                                           

Applying the Tannehill standard, the panel found this abbreviated
                                

colloquy to be a hearing within the purview  of the Act.  See id.
                                                                           

at      [1996 WL 75726  at *4].   The court  said that a  hearing

occurs whenever  the district  judge discusses  the  merits of  a

motion with  counsel for the party against whom the ruling on the

motion is ultimately rendered.  See id.
                                                 

          In the  case at hand,  the trial court  heard arguments

put  forward by  the appellant's  counsel in  open court,  on the

record; questioned him; and gave him the opportunity to highlight

salient  facts.   The court  then gave  the prosecutor  a similar

opportunity.   In our view,  this give-and-take among counsel and

the court,  notwithstanding its relative brevity,  is the essence

of  what a hearing entails.  And, moreover, there was good reason

for the exchange:   the  appellant had requested  that the  court

take evidence,  and the court  was not in an  optimal position to

rule upon the appellant's  suppression motion until it questioned

counsel and  determined the need for, and  the potential efficacy

of, an evidentiary hearing.

          To say more would be to add hues to a rainbow.  We hold

that  a  hearing is  any  on-the-record  colloquy  in  which  the

district court hears the arguments of counsel and considers those

arguments prior to deciding  a pending motion.  Measured  by this

yardstick, the proceedings on  March 22 constitute a  hearing for

purposes of  18 U.S.C.    3161(h)(1)(F).   It follows  inexorably

                                8


that the district court properly excluded the entire period  from

November 17, 1994 through  March 22, 1995 (a date beyond the date

on  which the  appellant  filed his  motion  to dismiss).3    See
                                                                           

Henderson, 476 U.S. at 330.
                   

          This  ruling  defenestrates  the  speedy  trial  claim.

Computing  the  total  time  elapsed  between  the  date  of  the

appellant's first appearance and  the date on which he  filed his

motion to  dismiss for  want of  a speedy  trial (140  days), and

subtracting  the  portion of  that  time  excludable due  to  the

pendency of the motion  to suppress (118 days), it  is abundantly

clear  that trial commenced within the time frame mandated by the

Act.

                                B.
                                          B.
                                            

                      The Motion to Suppress
                                The Motion to Suppress
                                                      

          The objection  to the  district court's  disposition of

the  motion  to  suppress  has both  substantive  and  procedural

aspects.  We discuss them seriatim.

          1.   Probable  Cause.   A police  officer may  effect a
                    1.   Probable  Cause.
                                        

warrantless search of the interior of a motor vehicle on a public

thoroughfare as long as he has probable cause to believe that the

vehicle  contains   contraband  or  other  evidence  of  criminal

activity.   See, e.g., United  States v. Martinez-Molina, 64 F.3d
                                                                  
                    
                              

     3We join the Fifth Circuit,  see Grosz,     F.3d at      n.7
                                                     
[1996 WL 75726 at *9], in  warning that we will not permit either
the district court or the  prosecution to jerry-build a "hearing"
in order to thwart  the concinnous operation of the  Speedy Trial
Act.   Here,  however,  the  record  contains  no  hint  of  such
contrivance,  and, for that matter, the appellant has levelled no
such charge.

                                9


719, 726 n.5  (1st Cir. 1995); United States  v. Panitz, 907 F.2d
                                                                 

1267,  1271 (1st Cir. 1990).   In this  instance, the appellant's

asseveration that the police lacked probable cause for the search

elevates hope over reason.

          In  assessing  "whether  the  government  has  made   a

sufficient  showing of  probable  cause, a  reviewing court  must

examine the `totality of  the circumstances.'"  United  States v.
                                                                        

Nocella, 849 F.2d  33, 39  (1st Cir. 1988)  (quoting Illinois  v.
                                                                       

Gates, 462 U.S.  213, 230  (1983)).  On  appeal, this  assessment
               

entails acceptance  of the lower court's  factual findings unless

those  findings are clearly  erroneous, but  necessitates plenary

review of the lower court's legal conclusions.  See United States
                                                                           

v. Zapata, 18  F.3d 971,  975 (1st Cir.  1994); United States  v.
                                                                       

Rodriguez-Morales,  929  F.2d 780,  783  (1st  Cir. 1991),  cert.
                                                                           

denied,  502 U.S. 1030 (1992).  Moreover, the law recognizes that
                

a  vehicle search under this exception may encompass all areas of

the vehicle in  which the  suspected contraband is  likely to  be

found.  See United States v. Maguire, 918 F.2d 254, 260 (1st Cir.
                                              

1990),  cert.  denied,  499  U.S.  950  (1991).    Applying these
                               

principles, it is readily  apparent that the court below  did not

err in finding probable cause and ratifying the search.

          Tyrie's   affidavit   asserts  unambiguously   that  he

detected an aroma of burnt marijuana when he first approached the

pickup  truck.   The  case law  is  consentient that  when  a law

enforcement officer detects the  odor of marijuana emanating from

a confined area,  such as  the passenger compartment  of a  motor

                                10


vehicle,  that  olfactory  evidence furnishes  the  officer  with

probable cause to  conduct a  search of the  confined area.   See
                                                                           

United States v. Johns,  469 U.S. 478, 482 (1985);  United States
                                                                           

v.  Parker, 72 F.3d 1444, 1450 (10th Cir. 1995); United States v.
                                                                        

French, 974 F.2d 687, 692 (6th Cir. 1992), cert. denied, 506 U.S.
                                                                 

1066 &  507 U.S. 978 (1993).   Thus, Tyrie had a  right to search

the entire passenger compartment of the pickup truck.  See United
                                                                           

States v. Nielsen, 9 F.3d 1487, 1491 (10th Cir. 1993).4
                           

          The  appellant also  assails  the second  phase of  the

search (during which Tyrie located the gun and ammunition).  That

search was lawful  for three  reasons.   First, the  extent of  a

permissible search is often incremental. See, e.g., United States
                                                                           

v. Giannetta,  909 F.2d  571, 574,  577 (1st  Cir. 1990).   Here,
                      

Tyrie's  discovery of the  marijuana gave  him probable  cause to

continue  to  hunt  within  the passenger  compartment  for  more

contraband.   See, e.g., Maguire, 918  F.2d at 260.   Second, the
                                          

appellant  cannot seriously  dispute  that when  Tyrie spied  the

marijuana, he had probable cause to arrest the truck's occupants.

See, e.g.,  United States  v. Uricoechea-Casallas, 946  F.2d 162,
                                                           
                    
                              

     4The appellant's attempt to dilute the  force of these cases
is disingenuous.   He cites  other decisions suggesting  that the
existence of  probable cause to search  the passenger compartment
of a vehicle  does not necessarily confer  a right to search  the
trunk.   See, e.g., Nielsen, 9  F.3d at 1491.   Expanding on this
                                     
theme,  he then  posits that  Tyrie could  not search  behind the
seats in the pickup truck.  The fly  in this ointment is that the
space  behind the seats, in  which Tyrie found  the marijuana, is
part of the truck's passenger area, and no amount of wordplay can
change that fact.  Since  the aroma of marijuana wafted from  the
passenger  area, that region became  fair game for  a drug search
under the automobile  exception to the warrant requirement.   See
                                                                           
United States v. Ross, 456 U.S. 798, 825 (1982).
                               

                                11


166 (1st Cir. 1991).  Having lawfully arrested the driver in  the

course of a highway stop, the authorities may search the driver's

vehicle  for contraband.   See New York v.  Belton, 453 U.S. 454,
                                                            

460-61  (1981); United States v.  Reyes-Mercado, 22 F.3d 363, 366
                                                         

n.4  (1st Cir.  1994).   Under  this rule,  the  second phase  of

Tyrie's search can be  justified as incident to a  lawful arrest.

Third,  when a driver is lawfully arrested and thus disabled from

continuing his  journey, the  Constitution permits the  police to

carry out a routine  inventory examination incident to impounding

the vehicle.  See Zapata, 18 F.3d at 978; United States v. Ramos-
                                                                           

Morales, 981 F.2d 625, 627 (1st Cir.  1991), cert. denied, 113 S.
                                                                   

Ct. 2384  (1993).  In this  case, the second phase  of the search

fit comfortably within this integument.

          On any  of  these bases,  the gun  and ammunition  were

themselves the fruits of  a lawful search and, hence,  admissible

at trial.  Accordingly, the district court did not err in denying

the motion to suppress.

          2.  Lack of an Evidentiary Hearing.  The appellant next
                    2.  Lack of an Evidentiary Hearing.
                                                      

berates the  trial court for two  ostensible procedural blunders:

denying  him an evidentiary hearing on his motion to suppress and

shunning  its responsibilities under Fed. R. Crim. P. 12(g).  The

criticism is unwarranted.

          It  is  apodictic  that  a criminal  defendant  is  not

entitled,  as a  matter of  right, to  an evidentiary  hearing on

every motion that he deigns to file.  See, e.g., Panitz, 907 F.2d
                                                                 

at 1273; United  States v.  Pellerito, 878 F.2d  1535, 1545  (1st
                                               

                                12


Cir. 1989).   A hearing is  required only if  the movant makes  a

sufficient threshold showing that material  facts are in doubt or

dispute, and that  such facts  cannot reliably be  resolved on  a

paper record.  See  United States v. Lilly, 983  F.2d 300, 310-11
                                                    

(1st Cir. 1992); Panitz, 907 F.2d at 1273.  Most importantly, the
                                 

defendant  must show  that there  are factual disputes  which, if

resolved in his favor, would entitle him to the requested relief.

See, e.g.,  Lilly, 983 F.2d  at 310-11.   The district  court has
                           

considerable  discretion in  determining  the need  for, and  the

utility of, evidentiary hearings, and we will reverse the court's

denial of an  evidentiary hearing  in respect  to a  motion in  a

criminal  case only for manifest  abuse of that  discretion.  See
                                                                           

id. at 311.
             

          In this instance the district court correctly concluded

that  it would  be pointless  to convene an  evidentiary hearing.

The finding of probable cause hinged on Tyrie's statement that he

smelled  burnt marijuana when  he first ventured  near the pickup

truck.   The appellant filed an affidavit in which he stated that

Tyrie did not mention the aroma of marijuana until he returned to

the vehicle a second time.  On this basis, the appellant surmises

that Tyrie's reference to marijuana was pretextual, that is, that

Tyrie did not  actually detect the  fragrance of marijuana,  but,

rather, having learned of the appellant's criminal record when he

checked the appellant's  license and  registration, proceeded  to

concoct the story to justify his desire to search the  truck.  In

the appellant's  view, an  evidentiary hearing would  have smoked

                                13


out the truth.

          The asseveration is profoundly  flawed.  Even accepting

the substance of the appellant's affidavit as true, the affidavit

contains no facts that  contradict the officer's direct statement

that  he smelled burnt marijuana  on his initial  approach to the

truck.   Whether  Tyrie  mentioned the  marijuana  when he  first

detected the  odor is hardly the  point.  It  is fully consistent

with  competent  police  work for  a  lone  officer  to call  for

reinforcements  when  he discovers  that  something  more than  a

routine traffic stop may be in progress.  By not tipping his hand

at  the  outset,  Tyrie  would merely  be  exercising  reasonable

prudence.   Against this backdrop, the  bare assertion of pretext

does  not  create a  factual  conflict sufficient  to  justify an

evidentiary  hearing.  See,  e.g., United  States v.  LaBonte, 70
                                                                       

F.3d 1396,  1412-13 (1st Cir.  1995) (explaining that  a district

court need not convene an evidentiary hearing when presented with

"no  more   than   conclusory  prognostications   and   perfervid

rhetoric").

          The appellant's claim that the district court  violated

Fed.  R. Crim. P.  12(g) is equally  jejune.  That  rule does not

demand  that the trial court hold an evidentiary hearing on every

affected motion.  It  simply requires the court to ensure  that a

verbatim  record  is  made   of  all  proceedings  and  hearings,

including  "such findings of fact  and conclusions of  law as are

made orally."   Fed. R. Crim.  P. 12(g).  The  transcripts of the

March 22 colloquy and the judge's subsequent denial of the motion

                                14


to suppress fully satisfy the strictures of the rule.

                                C.
                                          C.
                                            

                   Sufficiency of the Evidence
                             Sufficiency of the Evidence
                                                        

          The  appellant's  sufficiency challenge  implicates all

three  counts of conviction.   In respect  to counts 1  and 2, he

suggests  that there  was  inadequate evidence  to  show that  he

knowingly possessed either the gun or  the ammunition.  Regarding

count  3, he adds that  the government produced  no evidence that

the gun  had travelled in  interstate commerce after  having been

stolen.  We discern no merit in these contentions.

          We  review the  trial court's  denial of  a motion  for

judgment of acquittal de  novo.  See  United States v. Valle,  72
                                                                      

F.3d 210, 217 (1st  Cir. 1995).  The measure by  which we size up

challenges  to evidentiary sufficiency  in a  criminal case  is a

familiar one:   "If the  evidence presented, taken  in the  light

most  agreeable  to  the  government,  is adequate  to  permit  a

rational  jury to find each  essential element of  the offense of

conviction beyond a reasonable  doubt, then the defendant's claim

fails."   Id. at 216.   In pursuing this inquiry,  we resolve all
                       

credibility  conflicts to the government's benefit, and harmonize

all reasonable  inferences with the  jury's verdict.   See United
                                                                           

States  v. Taylor,  54 F.3d 967,  974 (1st  Cir. 1995).   By like
                           

token, we concern ourselves with the weight  and persuasive power

of  the   evidence,  not  its   nature,  for  either   direct  or

circumstantial evidence, or any combination thereof,  may suffice

to  defeat a motion for acquittal.  See United States v. Spinney,
                                                                          

                                15


65 F.3d 231, 234 (1st Cir. 1995).

          1.  Scienter.   Turning  first to counts  1 and 2,  the
                    1.  Scienter.
                                

statute  of conviction, 18 U.S.C.    922(g)(1), requires proof of

three elements:   (1) that  the defendant had  a record of  prior

felonious  conduct,  yet  (2)   knowingly  possessed  a  gun  (or

ammunition),  (3)  in  circumstances that  implicated  interstate

commerce.  See United States v. Powell, 50 F.3d 94, 101 (1st Cir.
                                                

1995).   The  appellant  concedes that  the government  proffered

sufficient evidence to support findings beyond a reasonable doubt

anent  the first  and third  of these  elements but  disputes the

sufficiency of  the evidence regarding  the second:   his knowing

possession of the firearm  and the ammunition.  His  plaint boils

down to a  plea that the jury  was duty bound to  accept the only

direct testimony on the subject   Nason's averment that he placed

the gun and  ammunition in  the truck, returned  it only  minutes

before the arrest,  and never  called the added  contents to  the

appellant's attention   and not to go beyond it.

          There  are  two  major  problems  with  this  suggested

approach.    First, Nason's  story,  even if  believed,  does not

necessarily exonerate the appellant;  the latter might still have

discovered the  contraband between  the time when  Nason returned

the truck  and Tyrie flagged it  down.  Second, the  jury was not

obliged  to accept  Nason's testimony  in whole  or in  part, but

could instead draw reasonable inferences from the totality of the

circumstances.   See, e.g., United States v. Olbres, 61 F.3d 967,
                                                             

971  (1st  Cir.), cert.  denied, 116  S.  Ct. 622  (1995); United
                                                                           

                                16


States v. O'Brien, 14 F.3d 703, 707 (1st Cir. 1994).
                           

          These problems are exacerbated by the other evidence in

the record.   The circumstantial  proof of knowing  possession is

very  strong.  The appellant  was both the  owner and operator of

the vehicle and, from where he sat, he had easy access to the gun

(which seemed ready for immediate use) and the ammunition.  Since

the appellant exercised  dominion and  control over  the area  in

which  the gun  and the  ammunition  were discovered,  see United
                                                                           

States v. Echeverri, 982 F.2d 675, 678 (1st Cir. 1993),  the jury
                             

was  at liberty  to  find that  he  was in  knowing  constructive

possession of the weaponry.  See United States v. Wight, 968 F.2d
                                                                 

1392, 1398 (1st Cir. 1992) (holding that "the element of `knowing

possession' under section 922(g)(1) may be established by proving

that the defendant was in constructive possession of a firearm");

see also United States  v. Bergodere, 40 F.3d 512,  518 (1st Cir.
                                              

1994)  (explaining   that  knowledge  may  be   established  from

circumstances  attendant  to   constructive  possession),   cert.
                                                                           

denied, 115  S. Ct. 1439 (1995).  In short, the jury's conclusion
                

concerning   the  appellant's  knowing  possession  is  eminently

supportable on this record.

          2.   Interstate Commerce.  The  appellant raises a more
                    2.   Interstate Commerce.
                                            

focused challenge to his  conviction on count 3.  Bolstered  by a

recent  Ninth Circuit case, United  States v. Cruz,  50 F.3d 714,
                                                            

719  (9th  Cir.  1995), he  insists  that  under  the statute  of

conviction, 18 U.S.C.   922(j),  it is an element of the  offense

that  the  firearm  travel  in interstate  commerce  after  being
                                                                    

                                17


stolen, and that  the government's evidence  here failed to  nail

down this element.

          The  difficulty with this argument is  twofold.  In the

first  place, we reject the  notion that, to  trigger   922(j), a

firearm must reenter the stream of interstate  commerce after its

theft.   This  court turned  aside a  similar challenge  under 18

U.S.C.   922(g) in United States v. Gillies, 851 F.2d 492, 493-95
                                                     

(1st Cir.),  cert. denied, 488 U.S.  857 (1988), and we  find the
                                   

rationale in  Gillies to  be persuasive.   Thus,  consistent with
                               

that rationale we hold that, under   922(j), it is  enough if the

weapon floats in  the stream of commerce  at some point prior  to

the  commission of  the  offense of  conviction.   Accord  United
                                                                           

States v. Honaker, 5 F.3d 160, 162 (6th Cir. 1993), cert. denied,
                                                                          

114 S. Ct. 1226 (1994).   Because the appellant does not  dispute

that the  firearm travelled in interstate  commerce before coming

to rest in his pickup, he cannot prevail.

          The finishing touch is that there was evidence at trial

that the firearm travelled  interstate as a stolen firearm.   The
                                                                    

appellant's own witness, Nason,  swore that he took the  gun with

him  from Massachusetts to New  Hampshire only a  few days before

the police  found the weapon  in the appellant's  possession (and

several years after  the gun  had been reported  stolen).   Thus,

even if post-theft  travel were  an element of  the offense,  the

verdict would not be undercut.5
                    
                              

     5The fact that the evidence of interstate travel was adduced
in the defense case, rather than in the prosecution's case, is of
no consequence.  The  court of appeals may properly  consider all

                                18


                               III
                                         III
                                            

                            Conclusion
                                      Conclusion
                                                

          We need go no further.  Because the  government brought

the appellant to trial within the period prescribed by the Speedy

Trial Act, and  no other  error in the  proceedings appears,  the

judgment below must be

Affirmed.
          Affirmed.
                  

                    
                              

evidence presented when confronting a sufficiency challenge.  See
                                                                           
United States v. Arache, 946 F.2d 129, 138 (1st Cir. 1991), cert.
                                                                           
denied, 502 U.S. 948 (1992).
                

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