United States Court of Appeals
For the First Circuit
No. 04-1617
UNITED STATES OF AMERICA,
Appellee,
v.
JOANNE RICHARDSON,
Defendant, Appellant.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MASSACHUSETTS
[Hon. Richard G. Stearns, U.S. District Judge]
[Hon. Reginald C. Lindsay, U.S. District Judge]
[Hon. William G. Young, U.S. District Judge]
Before
Selya, Circuit Judge,
Campbell, Senior Circuit Judge,
and Lipez, Circuit Judge.
Robert M. Andalman, with whom Jeremy D. Margolis, Sonnenschein
Nath & Rosenthal LLP, A. John Pappalardo, Evan Georgopoulos, and
Greenberg Traurig LLP were on brief, for appellant.
Susan G. Winkler, Assistant United States Attorney, with whom
Michael J. Sullivan, United States Attorney, and Michael K. Loucks,
Assistant United States Attorney, were on brief, for appellee.
August 30, 2005
LIPEZ, Circuit Judge. Defendant-appellant Joanne
Richardson appeals her conviction under 18 U.S.C. § 1623 for making
false statements during immunized testimony before a grand jury
investigating allegations of Medicare/Medicaid fraud. Richardson
first contends that the district court erroneously denied her
motion to dismiss the indictment because her trial took place after
the deadline imposed by the Speedy Trial Act, 18 U.S.C. §§ 1361-74
("STA"). Next, Richardson asserts that at least one of the
nineteen false statements charged against her in a single count of
perjury advances a theory of conviction that is contrary to law,
requiring that we vacate the jury's general verdict because it may
have rested on an illegal ground. Finally, Richardson challenges
the court's admission of allegedly irrelevant and unduly
prejudicial evidence at trial. We reject all of these claims and
affirm Richardson's perjury conviction.
I. BACKGROUND
A. Grand Jury Investigation and Indictment
We set forth the facts "in the light most flattering to
the government's theory of the case, consistent with record
support." United States v. Sebaggala, 256 F.3d 59, 62 (1st Cir.
2001). From about 1997 to 2000, Richardson was employed as a
Regional Account Manager for TAP Pharmaceuticals Inc. ("TAP"),
which manufactures, among other drugs, Lupron, a prescription drug
used in the treatment of prostate cancer. Richardson was
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responsible for maintaining relationships with institutional and
managed care customers, including, in 1997, the Lahey Clinic in
Burlington, Massachusetts.
In 1999-2000, the government convened a grand jury to
investigate allegations that, in violation of federal statutes, TAP
and some of its employees had provided "things of value," including
educational grants and free items, (1) as an inducement to certain
customers to purchase and prescribe TAP products and/or (2) as a
hidden discount to those customers, which allowed TAP to pay
reduced rebates to state Medicaid programs based on an artificially
inflated invoice or contract price. See 42 U.S.C. § 1320a-7b(b)
(prohibiting the offering or paying of and the solicitation or
receipt of remuneration "in cash or in kind" in exchange for making
certain referrals or for engaging in certain transactions "for
which payment may be made in whole or in part under a Federal
health care program"); id. § 1396r-8(c)(1)(A), (C) (providing for
payment of rebates by drug manufacturers to state Medicaid programs
based on difference between "average manufacturer price" and "the
lowest price available from the manufacturer during the rebate
period").
Richardson testified before the grand jury pursuant to an
order of immunity on October 31, 2000 and December 19, 2000. In
response to questioning about her discussions with Lahey Clinic
representatives and TAP employees in 1997 regarding renewal of
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Lahey's contract with TAP for the clinic's Lupron purchases,
Richardson denied that she had ever offered or discussed offering
things of value to Lahey Clinic, in her words, "as a way of
reducing [Lupron's] price outside of a contract form."
On June 25, 2002, Richardson was indicted on one count of
making false statements before a grand jury, 18 U.S.C. § 1623
(Count One),1 and one count of obstruction of justice, id. § 1503
(Count Two),2 based on her grand jury testimony of December 19,
2000. On October 31, 2002, the grand jury returned a superseding
indictment amending Count One, re-alleging Count Two, and adding
one count each of perjury and obstruction of justice (Counts Three
and Four) based on a statement Richardson had made in a sworn
declaration submitted to the court on September 24, 2002 in
opposition to the government's motion to disqualify her defense
counsel.
As amended, Count One alleged that, contrary to nineteen
statements she made before the grand jury during her December 19,
2000 grand jury testimony, Richardson had
1
18 U.S.C. § 1623(a) provides, in relevant part: "Whoever
under oath . . . in any proceeding before or ancillary to any court
or grand jury of the United States knowingly makes any false
material declaration . . . shall be fined under this title or
imprisoned not more than five years, or both."
2
18 U.S.C. § 1503(a) prohibits, among other things, a person
from "corruptly . . . endeavor[ing] to influence, obstruct, or
impede[] the due administration of justice . . . ."
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discussed with, offered[,] and provided to
Lahey Clinic things of value outside the
written contract as a way of making Lupron
cheaper, . . . to help make up the difference
between the price of Lupron and the price of
Zoladex, [a competing drug], [and] as an
inducement to the Lahey Clinic and some of its
employees to . . . renew[] the contract with
TAP and . . . to purchase Lupron for patients
being treated in the Clinic's facilities;
and that Richardson had "discussed those arrangements with other[]
employees at TAP."3 Count One further alleged that "such things of
value includ[ed] golf outings, research support, educational
grants, free or nominally priced goods, and other items."
B. Pre-Trial through Post-Trial Proceedings
Richardson moved to dismiss all four counts in the
superseding indictment on March 7, 2003, arguing with respect to
Count One that the perjury charges against her were insupportable
as a matter of law because her statements before the grand jury
were literally true, the indictment took those statements out of
context, and her statements were made in response to the
prosecutor's fundamentally ambiguous questions during the grand
jury colloquy. Judge Stearns heard argument and took the motion
under advisement on May 29, 2003.4
3
The nineteen allegedly false statements charged in Count One
of the superseding indictment are reproduced in Appendix A.
4
We identify the four different district court judges involved
in this case at various stages solely to prevent confusion over the
chronology of the proceedings.
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On August 11, 2003, one week before Richardson's trial
was scheduled to begin, Judge Stearns, who had not yet ruled on
Richardson's motion to dismiss the superseding indictment, recused
himself. On August 13, 2003, the case was reassigned to Judge
Wolf, who immediately recused himself, and then to Judge Lindsay.
During the parties' first appearance before Judge Lindsay on
September 22, 2003, Richardson requested a trial date, noting that
the time period for trial permitted by the STA either had already
expired or was due to expire. Judge Lindsay stated that his trial
calendar was booked through much of January, with the exception of
the week of October 14, 2003. Richardson acknowledged that an
October trial date would leave too little time for Judge Lindsay to
decide her motion to dismiss the superseding indictment. Judge
Lindsay therefore declined to set a trial date.
On October 16, 2003, Judge Lindsay denied Richardson's
motion to dismiss the superseding indictment. When the parties
appeared before Judge Lindsay again on November 17, 2003, he
inquired about the speedy trial status of the case. The government
stated that the docket showed no ruling by the court on
Richardson's objections to a magistrate judge's order denying her
motion to strike material from the government's opposition to her
motion to dismiss the superseding indictment. Richardson reminded
the court and the government that Judge Lindsay had declared the
matter to be moot in his October 16, 2003 decision because he had
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excluded the material subject to Richardson's motion to strike from
his consideration of her motion to dismiss the superseding
indictment. As a result, no motions had been pending since late
October.
The government then requested a trial date of January 19,
2004 because its chosen trial attorney was already engaged in
another trial expected to run through part of December. Richardson
indicated her readiness for an immediate trial. Judge Lindsay then
stated: "there are two problems, one is that –- one of the counsel
for the government is not ready because he's engaged elsewhere.
And I have two criminal cases preceding this one in December." He
concluded: "if we are impinging on [Richardson's speedy trial]
rights, . . . then I'm going to have to refer this to another judge
who can try it before January 19th," even if a different government
attorney would have to try the case. Richardson again requested an
immediate trial and asked that the case be reassigned quickly.
The government protested, predicting that "if we end up
being [reassigned] to another judge, we'll be even later than
January 19th." Judge Lindsay then accepted the government's
suggestion that the government submit its calculation of the number
of days remaining on the speedy trial clock so that Judge Lindsay
could determine whether his earliest available trial date of
January 19, 2004 would satisfy the requirements of the STA, or
whether the case would instead have to be reassigned to another
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judge. Accordingly, Judge Lindsay requested that the government
"report to my clerk" by noon the next day on the speedy trial
status of the case.
The government timely filed its report, captioned a
"Motion to Set a Trial Date of January 19 and for Excludable Delay
for the Period Between November 17, 2003 and January 19, 2004," in
which it calculated that the STA required Richardson's trial to
"commence on or before December 18, 2003." The government
nevertheless requested that the court schedule trial for January
19, 2004 and exclude the period of time between November 17, 2003
and January 19, 2004 from the speedy trial clock as a continuance
in the interest of justice pursuant to 18 U.S.C. § 3161(h)(8)(A).5
5
18 U.S.C. § 3161(h)(8)(A) requires the exclusion from the
speedy trial clock of "[a]ny period of delay resulting from a
continuance granted by any judge on his own motion or at the
request of the defendant or his counsel or at the request of the
attorney for the Government, if the judge granted such continuance
on the basis of his findings that the ends of justice served by
taking such action outweigh the best interest of the public and the
defendant in a speedy trial," provided that the court "sets forth,
in the record of the case, either orally or in writing," its
reasons for so finding. "The factors, among others, which a judge
shall consider in determining whether to grant a continuance under
subparagraph (A) of this paragraph in any case" are set forth in 18
U.S.C. § 1361(h)(8)(B)(i)-(iv):
(i) Whether the failure to grant such a
continuance in the proceeding would be likely
to make a continuation of such proceeding
impossible, or result in a miscarriage of
justice.
(ii) Whether the case is so unusual or so
complex, due to the number of defendants, the
nature of the prosecution, or the existence of
-8-
As grounds for the continuance, the government asserted that: (1)
a trial date earlier than January 19, 2004 would "unreasonably
deny . . . the Government continuity of counsel" because its chosen
trial attorney had been involved since mid-October in another trial
that was unlikely to end before December 10, 2003, justifying a
continuance for that period of time; (2) the court could "require
the parties to file any motions in limine by [November 24,
novel questions of fact or law, that it is
unreasonable to expect adequate preparation
for pretrial proceedings or for the trial
itself within the time limits established by
[18 U.S.C. § 3161].
(iii) Whether, in a case in which arrest
precedes indictment, delay in the filing of
the indictment is caused because the arrest
occurs at a time such that it is unreasonable
to expect return and filing of the indictment
within the period specified in section
3161(b), or because the facts upon which the
grand jury must base its determination are
unusual or complex.
(iv) Whether the failure to grant such a
continuance in a case which, taken as a whole,
is not so unusual or so complex as to fall
within clause (ii), would deny the defendant
reasonable time to obtain counsel, would
unreasonably deny the defendant or the
Government continuity of counsel, or would
deny counsel for the defendant or the attorney
for the Government the reasonable time
necessary for effective preparation, taking
into account the exercise of due diligence.
Finally, 18 U.S.C. § 3161(h)(8)(C) provides that "[n]o continuance
under subparagraph (A) of this paragraph shall be granted because
of general congestion of the court's calendar, or lack of diligent
preparation or failure to obtain available witnesses on the part of
the attorney for the Government."
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2003] . . . as a legitimate case management tool," thereby tolling
the STA clock where "the defendant is likely to have such motions";
and (3) because it was unlikely that the case could be reassigned
to another judge who could schedule the case for trial on or before
December 18, 2003, "any transfer to another judge in this district
will likely result in a miscarriage of justice because the case
will probably have to be dismissed without prejudice due to a
violation of the [STA]."
Upon the November 19, 2003 request of Judge Lindsay's
clerk, Richardson submitted a letter to the court on November 20,
2003 addressing the "impact under the [STA] of the Government's
November 18 filing." In the letter, Richardson disputed the
government's STA calculation and argued that November 20, 2003 was
the last day on which a trial could begin in compliance with the
STA. Richardson also asserted that despite its caption, the
government's report was not a "motion" whose filing on November 18,
2003 operated to toll the speedy trial clock pursuant to 18 U.S.C.
§ 3161(h)(1)(F),6 but was instead a mere status report that
"acknowledged that the first date on which the Court could try the
case [January 19, 2004] indeed present[s] problems under the [STA],
even by the Government's calculation." In Richardson's view, the
6
18 U.S.C. § 3161(h)(1)(F) requires the exclusion from the
speedy trial clock of any period of "delay resulting from any
pretrial motion, from the filing of the motion through the
conclusion of the hearing on, or other prompt disposition of, such
motion."
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government's attempt to characterize its filing as a motion was a
pretext for avoiding the STA's requirements.
The government filed a reply to Richardson's letter on
November 24, 2003 contesting Richardson's STA calculation and
reiterating the arguments made in its November 18, 2003 filing.
Richardson filed a "Memorandum in Opposition" the next day,
November 25, 2003, seeking dismissal of the indictment with
prejudice for violation of the STA. Without formally responding to
any of the parties' papers filed between November 18 and November
25, 2003, and without determining how many days, if any, remained
on the speedy trial clock, Judge Lindsay had the case reassigned to
a fourth judge on December 1, 2003.7
When the parties appeared before Judge Young that same
day, December 1, 2003, Richardson maintained that the time period
within which the STA required her trial to begin had expired on
November 20, 2003. Judge Young stated that he thought the speedy
trial clock had not yet expired, but was about to. Although he
offered to empanel a jury on December 8, 2003, he advised the
parties that his schedule that week would not permit an
uninterrupted trial. In the alternative, Judge Young offered to
set a trial date of January 5, 2004 and to exclude the time between
7
Judge Lindsay apparently utilized "a new procedure" through
which the "case [could] be redrawn from a pool of those judges
indicating the matter could be tried on an expedited basis."
United States v. Richardson, 324 F. Supp. 2d 339, 341 (D. Mass.
2004) (Young, J.).
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December 8, 2003, and January 5, 2004 as a continuance in the
interest of justice under 18 U.S.C. § 3161(h)(8)(A), without
prejudice to Richardson's right to seek dismissal of the indictment
under the STA on the theory that the speedy trial clock had expired
on November 20, 2003. The parties eventually agreed to set a trial
date of January 12, 2004 and to exclude the time between December
8, 2003 and January 12, 2004 as a continuance in the interest of
justice.8
On December 5, 2003, Richardson renewed her motion to
dismiss the superseding indictment, reiterating her previous
arguments that all of the charges against her were facially
insufficient. On December 16, 2003, continuing to press her claim
that the speedy trial clock had expired on November 20, 2003,
Richardson moved to dismiss the indictment with prejudice for
violation of the STA. On that same day, the government filed a
"Further Submission on Speedy Trial Act Issues" in which it
informed the court that it had miscalculated the number of days
that had run on the speedy trial clock in its November 18, 2003
filing, and that, as of November 17, 2003, the STA required
Richardson's trial to begin no later than December 3, not December
18, 2003.
8
Appendix B sets forth a timeline of the dates and filings
relevant to the STA calculation.
-12-
The government agreed to dismiss Counts Three and Four of
the superseding indictment on December 17, 2003. On December 29,
2003, Richardson filed a motion in limine seeking to exclude
allegedly irrelevant and unduly prejudicial evidence. On January
12, 2004, the date of trial, the court denied Richardson's motion
to dismiss the indictment on STA grounds. The court also denied
her motion in limine without prejudice.
Richardson's trial took place from January 12, 2004
through January 23, 2004. At the close of the government's
evidence, Richardson moved for an acquittal under Fed. R. Crim. P.
29. The court permitted the trial to proceed, and Richardson
presented evidence in her defense. On January 23, 2004, the jury
returned a general verdict finding Richardson guilty of perjury as
charged in Count One, but acquitting her of obstruction of justice
as charged in Count Two. After receiving an extension of time,
Richardson filed a motion for acquittal notwithstanding the jury
verdict on February 10, 2004, arguing that at least one of the
nineteen allegedly false statements forming a possible ground for
the guilty verdict was legally insupportable. The court denied the
motion after oral argument on March 16, 2004, reserving the right
to reconsider its decision, as well as Richardson's oral motion for
a new trial, while expressly stating that it made no promise of any
further decision.
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On April 29, 2004, the court sentenced Richardson to six
months of imprisonment, to be followed by two years of supervised
release (including four months of home confinement), a fine of
$3,000, and a special monetary assessment of $100. The court
entered a final judgment of conviction on April 30, 2004, and
Richardson timely appealed. On May 11, 2004, the court, citing
Richardson's STA claim, allowed her motion to stay execution of her
sentence pending appeal. See 18 U.S.C. § 3143 (providing for
detention pending appeal except where judicial officer finds that
appeal is not for purposes of delay and raises a "substantial
question of law . . . likely to result" in a different
disposition). On July 13, 2004, the court issued a memorandum
explaining its reasons for denying Richardson's motion to dismiss
the indictment on STA grounds. See United States v. Richardson,
324 F. Supp. 2d 339 (D. Mass. 2004).
II. THE SPEEDY TRIAL ACT
The STA provides that the trial of a defendant charged by
indictment "shall commence within seventy days from the filing date
(and making public) of the . . . indictment, or from the date the
defendant has appeared before a judicial officer of the court in
which such charge is pending, whichever date last occurs." 18
U.S.C. § 3161(c)(1). This requirement reflects the Act's purpose
of protecting both a defendant's private interest and the broader
public interest "in the fair –- but expeditious –- trial of
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criminal cases." United States v. Hastings, 847 F.2d 920, 924 (1st
Cir. 1988).9 If a defendant's trial begins after the seventy-day
time period has elapsed, the STA requires the court, "on motion of
the defendant," to dismiss the indictment, either with or without
prejudice. 18 U.S.C. § 3162(a)(2); see also United States v.
Barnes 159 F.3d 4, 16-18 (1st Cir. 1998) (discussing factors to be
considered). However, in calculating the seventy-day period within
which a trial must commence, the STA "mandates the exclusion of
certain periods of delay." United States v. Salimonu, 182 F.3d 63,
67 (1st Cir. 1999); see 18 U.S.C. § 3161(h)(1)-(9). Among the
periods of delay that must be excluded is "delay resulting from any
pretrial motion, from the filing of the motion through the
conclusion of the hearing on, or other prompt disposition of, such
motion." 18 U.S.C. § 3161(h)(1)(F).
For purposes of this appeal, the parties do not dispute
that by November 17, 2003, the day of the second pre-trial status
conference before Judge Lindsay, sixty-seven out of seventy non-
excludable days had run on the speedy trial clock. The government
thus does not press its arguments, raised below, that, as of
November 17, 2003, the STA permitted Richardson's trial to begin as
late as December 18, 2003 (as stated in the government's November
18, 2003 filing) or on or before December 3, 2003 (as stated in the
9
The STA "increases a defendant's speedy trial safeguards
beyond the constitutional minima." Hastings, 847 F.2d at 923 n.4.
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government's December 16, 2003 "Further Submission on Speedy Trial
Act Issues"). Richardson, for her part, concedes that if the
speedy trial clock did not expire on November 20, 2003, she was
tried within the seventy-day period allowed by the STA.
The parties' disagreement is therefore confined to the
question whether the government's filing of November 18, 2003 was
a "motion" within the meaning of 18 U.S.C. § 3161(h)(1)(F), which
operated to toll the speedy trial clock "from the filing of the
motion through [its] . . . prompt disposition."10 Richardson argues
that the government's November 18, 2003 filing was nothing more
than a status report responding to Judge Lindsay's request for
information that did not toll the speedy trial clock, which expired
two days later without the commencement of her trial.
Alternatively, Richardson argues that even if the government's
filing otherwise qualified as a motion, it did not operate to toll
the speedy trial clock because it was filed as a pretext to avoid
the consequences of an STA violation. To permit tolling under
these circumstances, Richardson maintains, would frustrate the
purposes of the STA. The government takes the position that it
filed a legitimate motion for a continuance in the interest of
justice, without pretext, whose filing tolled the clock until the
case was reassigned from Judge Lindsay to Judge Young on December
10
Richardson does not argue that, if the government's November
18, 2003 filing qualifies as a motion, the court exceeded the
permissible period of excludable time for disposing of the motion.
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1, 2003. By the government's count, only one additional non-
excludable day, December 2, 2003, elapsed on the speedy trial clock
before Richardson's trial began on January 12, 2004 with two days
to spare.11
In his July 13, 2004 memorandum explaining his reasons
for denying Richardson's motion to dismiss the indictment on STA
grounds, Judge Young recognized Richardson's "frustration with the
timing of the Government's filing" and acknowledged that "this is
a close call." Richardson, 324 F. Supp. 2d at 342. He
nevertheless concluded that the government's filing of November 18,
2003 qualified as a legitimate, non-pretextual motion that tolled
the speedy trial clock under 18 U.S.C. § 3161(h)(1)(F). Judge
Young explained that the government's filing
request[ed] . . . a continuance until January
19, 2004 and [exclusion of] the intervening
delay instead of [having the case reassigned]
to another judge so that it could be put to
trial before December 18, 2003. The
Government put forth three reasons why the
court should grant the continuance and exclude
the delay, citing relevant provisions of the
[STA]. On its face, the Government's filing
appeared to be a genuine motion. The motion
also appeared to be sufficiently
straightforward as to warrant action without a
hearing. The last brief relating to the
Government's motion was [the Memorandum of
11
The government filed a motion in limine on December 3, 2003,
which overlapped with the filing of other pretrial motions that
were decided on January 12, 2004. The parties also agreed on
December 1, 2003 to exclude the period of time from December 8,
2003 through January 12, 2004 as a continuance in the interest of
justice. See infra Appendix B.
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Opposition] filed by Richardson on November
25, 2003, and, although Judge Lindsay never
issued an order relating to the motion, he
essentially denied it when he promptly had the
case redrawn on December 1, 2003, instead of
granting the continuance and excluding the
delay.
Richardson, 324 F. Supp. 2d at 342 (citations omitted).12 Judge
Young thus determined that Judge Lindsay effectively denied the
government's legitimately filed motion for a continuance when he
had the case reassigned to Judge Young on December 1, 2003. As a
result, the filing of the motion tolled the speedy trial clock from
November 18, 2003 through December 1, 2003. Accordingly, Judge
Young agreed with the government's position that the disputed
period of time was excludable from the speedy trial clock and
denied Richardson's motion to dismiss the indictment on STA
grounds.
The question whether the government's filing was a
"motion" within the meaning of 18 U.S.C. § 3161(h)(1)(F) is a
question of law subject to de novo review. Cf. United States v.
Staula, 80 F.3d 596, 600 (1st Cir. 1996) (reviewing de novo
question whether colloquy qualifies as a "hearing" within the
meaning of 18 U.S.C. § 3161(h)(1)(F)). We review for clear error
12
Judge Young also noted that "the [STA] separately provides
for disciplinary action against attorneys who file frivolous
motions for the purpose of delay" under 18 U.S.C. 3162(b).
Richardson, 324 F. Supp. 2d at 342 n.3. Because Richardson did not
seek sanctions against the government's attorneys, Judge Young
declined to comment on "whether the Government's motion qualified
for such punishment." Id.
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the district court's factual findings on the question whether the
government's filing was merely a pretext to avoid dismissal of the
indictment under the STA. See United States v. Zayas, 876 F.2d
1057, 1058 (1st Cir. 1989) (reviewing factual determination that
jury empanelment was not pretextual for clear error).
"[W]e have read the term 'pretrial motion' broadly to
encompass all manner of motions" for purposes of tolling the speedy
trial clock, "ranging from informal requests for laboratory reports
to 'implied' requests for a new trial date." Barnes, 159 F.3d at
11 (citations omitted); see also United States v. Arbelaez, 7 F.3d
344, 348 (3d Cir. 1993) (defendant's letter to court qualifies as
motion tolling speedy trial clock where "the government, in good
faith, treated the letter as a motion" despite court's refusal to
consider the filing until resubmitted in proper form). But see
United States v. Brown, 285 F.3d 959, 961 (11th Cir. 2002) (per
curiam) (document filed by government that "served the function of
[regular] status reports required by [a] local rule" but also
requested that the court set a trial date does not constitute
motion that tolls speedy trial clock). The district court
accurately characterized the government's November 18, 2003 filing,
which not only reported the government's calculation of the number
of days remaining on the speedy trial clock but also sought relief
in the form of a continuance in the interest of justice pursuant to
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18 U.S.C. § 3161(h)(8)(A), as a motion that tolled the speedy trial
clock pursuant to 18 U.S.C. § 3161(h)(1)(F).
The statutory grounds for exclusion of time from the
speedy trial clock "are designed to take account of specific and
recurring periods of delay which often occur in criminal cases;
they are not to be used either to undermine the time limits
established by the Act, or to subvert the very purpose the Act was
designed to fulfill." Henderson v. United States, 476 U.S. 321,
333 (1986) (White, J., dissenting). Accordingly, we have
repeatedly cautioned that neither counsel nor district courts may
employ measures for excluding time from the speedy trial clock that
impermissibly frustrate the STA's purpose of protecting the shared
interest of criminal defendants and the public in "bringing
criminal charges to the bar of justice as promptly as practicable."
Hastings, 847 F.2d at 923. See, e.g., United States v. Scott, 270
F.3d 30, 56 (1st Cir. 2001) (period of delay not excludable where
court's retroactive reasons for exclusion "would undermine the
purposes of the [STA]"); Staula, 80 F.3d at 602 n.3 ("[W]e 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."); United States v. Rodriguez, 63 F.3d 1159, 1165
(1st Cir. 1995) (declining to adopt "broad rule" requiring
exclusion of "extended delay attributable solely to the
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government's unexcused failure to comply with a court-ordered
briefing schedule" because of "potential [for] abuse").
The record in this case supports Judge Young's
determination that the government's facially valid motion was not
filed as a pretext to avoid the consequences of an STA violation,
but was filed for the legitimate purpose of seeking a continuance
in the interest of justice. In particular, the motion justifiably
sought a continuance to prevent the loss of continuity of counsel
in the event the case was reassigned to a different judge for an
earlier trial date.13 The government's need for continuity of
counsel is a valid statutory ground for granting a continuance in
the interest of justice. See 18 U.S.C § 3161(h)(8)(B)(iv) (among
factors court "shall consider" in determining whether ends of
justice outweigh interests favoring speedy trial is whether failure
to grant a continuance "would unreasonably deny the defendant or
the Government continuity of counsel"); United States v.
Scantleberry-Frank, 158 F.3d 612, 615 (1st Cir. 1998) (excluding
time period resulting from "continuance . . . granted to aid
defense counsel, and maintain continuity of counsel").
13
We do not address the other two grounds raised in the
government's November 18, 2003 motion in support of a continuance
in the interest of justice: (1) that the court could "require the
parties to file any motions in limine by [November 24,
2003] . . . as a legitimate case management tool" and (2) that "any
transfer to another judge in this district will likely result in a
miscarriage of justice because the case will probably have to be
dismissed without prejudice due to a violation of the [STA]."
-21-
Richardson does not dispute that the government's
attorney was in fact unavailable because he was engaged in another
trial during much of December.14 She points out, however, that
while continuity of counsel is an express statutory ground for a
continuance in the interest of justice, the STA explicitly
prohibits a court from granting such a continuance "because of
general congestion of the court's calendar." 18 U.S.C.
§ 3161(h)(8)(C). The events in this case, Richardson argues,
demonstrate that although the government cited continuity of
counsel as a reason to grant a continuance in the interest of
justice, the real reason a continuance was necessary was because
Judge Lindsay's trial schedule was full.15
The record reflects that Judge Lindsay notified the
parties, both during the November 17, 2003 status conference and
during the earlier September 22, 2003 conference, that his trial
calendar was filled through most of January. However, the record
also shows that during the November 17, 2003 status conference –-
before either of the parties had submitted their speedy trial
14
A different government attorney eventually tried Richardson's
case in January.
15
Richardson argues that the government's motion was pretextual
because the court could not grant a continuance in the interest of
justice in order to postpone a trial date that had not yet been set
and, more importantly, could not be set within the seventy-day
period allotted by the STA. However, Richardson cites no
authority, and we have found none, for the proposition that a trial
date must first be set before a court may grant "a continuance in
the proceeding," 18 U.S.C. § 3161(h)(8)(B)(i).
-22-
calculations –- the government identified its chosen trial team and
apprised the court of one attorney's unavailability for trial
before January 19, 2004 because of his involvement in an ongoing
trial expected to last for several more weeks. The schedule
conflicts of the court and the government's counsel thus coincided.
As Judge Lindsay stated, "since I have two other cases with speedy
trial problems preceding this one in December, it turns out that
the date [the government] suggest[s,] [January 19, 2004,] is the
best date for me." When Richardson requested an immediate trial,
Judge Lindsay responded that if a January trial date would not
comply with the requirements of the STA, he would have the case
randomly reassigned to a different judge who might be able to
commence trial before the speedy trial clock expired.
Given the circumstances, the district court committed no
clear error in determining that, despite the timing of its motion,
the government legitimately sought relief from having the case
reassigned to a different judge in the form of a continuance in the
interest of justice. The government recognized that even if the
case were reassigned to a judge who could try the case sooner than
January 19, 2004, thereby solving Judge Lindsay's scheduling
problem, its own need for continuity of counsel would remain, as
one of its chosen attorneys would still be unavailable for trial.
As Judge Young found, the government properly "request[ed] . . . a
continuance until January 19, 2004 and [exclusion of] the
-23-
intervening delay instead of [having the case reassigned] to
another judge so that it could be put to trial before December 18,
2003." Richardson, 324 F. Supp. 2d at 342. As Judge Young also
found, Judge Lindsay "essentially denied [the government's request]
when he promptly had the case redrawn on December 1, 2003, instead
of granting the continuance and excluding the delay." Id. While
Judge Lindsay ultimately denied the government's motion, it was a
motion nonetheless within the meaning of the STA.
Accordingly, Judge Young correctly concluded that the
government's filing of November 18, 2003 qualified as a motion that
tolled the speedy trial clock "from the filing of the motion" on
November 18, 2003 through its "prompt disposition" when the case
was reassigned on December 1, 2003. 18 U.S.C. § 3161(h)(1)(F). As
a result, when Richardson's trial began on January 12, 2004, only
sixty-eight days had elapsed on the speedy trial clock, and Judge
Young properly denied her motion to dismiss the indictment on STA
grounds.
III. THE PERJURY CONVICTION
A. Validity of a General Verdict
The district court instructed the jury that in order to
convict Richardson of perjury on Count One, its members had to
agree unanimously that the same false statement or statements
amounted to perjury beyond a reasonable doubt. See United States
v. Glantz, 847 F.2d 1, 10 (1st Cir. 1988) (no error in jury
-24-
"instructions [that] could only be interpreted by the jury to mean
that the defendant must be acquitted on the count unless the entire
jury believed beyond a reasonable doubt that the appellant was
guilty of one specific act of perjury alleged in that count").
Because the court submitted the case to the jury for a general
verdict instead of a special verdict, it is impossible to know
which one or more of the nineteen false statements it found,
unanimously and beyond a reasonable doubt, to constitute perjury,
and which statements (if any) it determined to fall short of that
standard when it found Richardson guilty of perjury on Count One.
Richardson argues that the jury's guilty verdict must be
vacated because at least one of the nineteen alternate grounds
submitted by the government is legally insupportable, and the
jury's verdict may have rested on such an invalid ground.
Richardson acknowledges that, ordinarily, "a general jury verdict
[is] valid so long as it [is] legally supportable on one of the
submitted grounds -- even though that [gives] no assurance that a
valid ground, rather than an invalid one, was actually the basis
for the jury's action." Griffin v. United States, 502 U.S. 46, 49
(1991). However, a guilty verdict may rest on an invalid ground
either because it is based on "evidence that no reasonable person
could regard as sufficient," id. at 59, or because it advances "a
particular theory of conviction . . . [that] is contrary to law,"
id. While jurors, in a criminal case, are "well equipped to
-25-
analyze the evidence" in order to avoid resting a guilty verdict on
a "factually inadequate" theory, they "are not generally equipped
to determine whether a particular theory of conviction submitted to
them is contrary to law." Id. (emphasis added). Accordingly,
where a general verdict may rest on a ground that is invalid
because the theory of conviction is contrary to law –- as opposed
to a ground that is invalid because the evidence supporting it is
insufficient as a matter of law –- the verdict must be set aside
despite the existence of an alternate, legally valid ground of
conviction. Id.; see also United States v. Nieves-Burgos, 62 F.3d
431, 434-36 (1st Cir. 1995).
Richardson argues that at least one of the nineteen false
statements alleged in Count One of the indictment advances a
legally erroneous theory of perjury, requiring us to vacate her
conviction. See United States v. Boots, 80 F.3d 580, 589 (1st Cir.
1996) (general verdict that may have been grounded on legally
erroneous theory requires setting aside verdict on all grounds),
overruled in part by Pasquantino v. United States, 125 S. Ct. 1766
(2005); cf. United States v. Lighte, 782 F.2d 367, 377 (2d Cir.
1986) (remanding for new trial on one count of perjury alleging
multiple false statements without determining whether legal defect
resulted from insufficiency of evidence or legally erroneous theory
of conviction). We review this question of law de novo. United
States v. Ferrario-Pozzi, 368 F.3d 5, 8 (1st Cir. 2004).
-26-
B. Validity of Government's Theories of Conviction
The statute under which Richardson was convicted, 18
U.S.C. § 1623(a), prohibits a grand jury witness from "knowingly
mak[ing] any false material declaration" under oath during the
colloquy. Richardson does not dispute that she testified under
oath before the grand jury, nor that her allegedly false statements
were material to the grand jury investigation. Rather, she argues
that the government's theories of perjury are contrary to law
because her statements are either literally true or were made in
response to fundamentally ambiguous questions. In either case,
Richardson argues, she could not have made statements with the
knowledge that they were false.
In general, "[t]he determination as to the defendant's
state of mind -- [her] belief in the untruthfulness of [her]
statement -- is one which a jury is best equipped to perform."
United States v. Reveron Martinez, 836 F.2d 684, 689 (1st Cir.
1988) (internal quotation marks omitted). Furthermore, because the
falsity of a statement in many circumstances depends on the meaning
of the question to which it responds, a jury may be required to
examine "the question and answer . . . in the context of the
investigation as a whole and the state of the defendant's
knowledge." United States v. DeZarn, 157 F.3d 1042, 1048 (6th Cir.
1998). Richardson nevertheless maintains that her challenges go
beyond assailing the sufficiency of the evidence before the jury
-27-
because several of the government's alternate theories of
conviction are contrary to the strict requirements imposed by the
law of perjury.
1. Literally True Statements
In Bronston v. United States, 409 U.S. 352 (1973), the
Supreme Court set exacting standards for maintaining a perjury
prosecution.16 The Court recognized that "[u]nder the pressures and
tensions of interrogation, it is not uncommon for the most earnest
witnesses to give answers that are not entirely responsive.
Sometimes the witness does not understand the question, or may in
an excess of caution or apprehension read too much or too little
into it." Id. at 358. Given this practical reality, "[t]he burden
is on the questioner to pin the witness down to the specific object
of the questioner's inquiry." Id. at 360. Accordingly, "[p]recise
questioning is imperative as a predicate for the offense of
perjury." Id. at 362.
Despite these general pronouncements, the Bronston
Court's holding was narrow. The Court decided only that a jury
could not be allowed to consider a perjury charge where the
allegedly false statement was "literally true but not responsive to
the question asked and arguably misleading by negative
16
Bronston construed the general perjury statute, 18 U.S.C.
§ 1621. Courts have applied Bronston to the related statute
governing false statements before a grand jury or a court, 18
U.S.C. § 1623. See Reveron Martinez, 836 F.2d at 689.
-28-
implication." Id. at 353. The Court reasoned that "[a] jury
should not be permitted to engage in conjecture whether an
unresponsive answer, true and complete on its face, was intended to
mislead or divert the examiner; the state of mind of the witness is
relevant only to the extent that it bears on whether 'he does not
believe [his answer] to be true.'" Id. at 359 (quoting 18 U.S.C.
§ 1621; alteration in original). Bronston thus requires dismissal
of an indictment "where . . . the government hinges its charge on
the false implications of a statement that is not alleged to be
false in itself." United States v. Finucan, 708 F.2d 838, 848 (1st
Cir. 1983).
Richardson, relying on Bronston, argues that several of
the perjury charges against her are contrary to law because they
allege the falsity of statements that are literally true.
Bronston, however, is inapplicable to any of the false statements
charged against Richardson. The government does not allege that
any of Richardson's statements are facially true but "arguably
misleading by negative implication," Bronston, 409 U.S. at 353,
thereby evincing only her intent to "mislead or divert the
examiner," id. at 359. Rather, the government alleges that
Richardson knowingly made statements that are in direct conflict
with facts the government alleges to be true, by denying that she
committed acts the government maintains she in fact committed. See
Glantz, 847 F.2d at 6 (Bronston's "literal truth" defense
-29-
inapplicable where "no claim is made that [defendant's]
statement . . . was true but unresponsive to the question asked
before the grand jury"). Whether or not the government's evidence
was sufficient to prove the falsity of Richardson's statements, as
well as that she knew her statements to be false when she made
them, its theory of perjury is not contrary to law.
2. Fundamentally Ambiguous Questions
Richardson also argues that several of the false
statements alleged in Count One of the indictment advance theories
of conviction that are contrary to the law of perjury because they
were made in response to fundamentally ambiguous questions. "A
question that is truly ambiguous or which affirmatively misleads
the testifier can never provide a basis for a finding of perjury,
as it could never be said that one intended to answer such a
question untruthfully." DeZarn, 157 F.3d at 1049; see also United
States v. Manapat, 928 F.2d 1097, 1101 (11th Cir. 1991) ("When the
question that led to the allegedly false response is fundamentally
ambiguous, we cannot allow juries to criminally convict a defendant
based on their guess as to what the defendant was thinking at the
time the response was made.").
By contrast, where a question is only arguably ambiguous,
"it is for the jury to decide whether the defendant has committed
perjury. In such a case there is an actual possibility that the
defendant intended to and did in fact give a response that was
-30-
literally false." Finucan, 708 F.2d at 848 (citations omitted).
In determining whether a statement made in response to an ambiguous
question could be said to be false, "the context of the question
and answer becomes critically important." United States v. Farmer,
137 F.3d 1265, 1269 (10th Cir. 1998); see also DeZarn, 157 F.3d at
1049 (jury must be allowed to consider "evidence of the context of
the questioning which would establish that the [d]efendant –-
despite the false premise of the question –- knew exactly what the
questions meant and exactly what they were referring to").17
Because the meaning of a response to an ambiguous
question may be highly context-specific, "[w]here a question . . .
is only arguably ambiguous, courts reviewing perjury convictions
have viewed the defense of ambiguity as an attack upon the
sufficiency of the evidence." Farmer, 137 F.3d at 1269; see also
Glantz, 847 F.2d at 6 (noting that perjury convictions are barred
"for arguably untrue answers to vague or ambiguous questions when
there is insufficient evidence of how they were understood by the
witness"). Richardson maintains that a perjury conviction based on
a response to a fundamentally ambiguous question not only rests on
insufficient contextual evidence of the intended falsity of the
response, but also advances a theory of conviction that is contrary
to law. Even assuming this to be true, none of the questions
17
Both a transcript and an audio recording of the grand jury
colloquy were available to the jury during its deliberations.
-31-
Richardson identifies rises to the level of being fundamentally,
rather than arguably, ambiguous.
"[T]o precisely define the point at which a question
becomes fundamentally ambiguous, and thus not amenable to jury
interpretation, is impossible." Farmer, 137 F.3d at 1269. Courts
have nevertheless recognized that:
A question is fundamentally ambiguous when it
"is not a phrase with a meaning about which
men of ordinary intellect could agree, nor one
which could be used with mutual understanding
by a questioner and answerer unless it were
defined at the time it were sought and offered
as testimony."
Lighte, 782 F.2d at 375 (quoting United States v. Lattimore, 127 F.
Supp. 405, 410 (D.D.C.), aff'd per curiam by an equally divided
court, 232 F.2d 334 (D.C. Cir. 1955)).
Richardson claims that several of the prosecutor's
questions during the grand jury colloquy were fundamentally
ambiguous because she and the prosecutor did not share the same
understanding of the term "price" throughout the colloquy.
Instead, she argues, the prosecutor injected insurmountable
ambiguity into his questions by alternately using the word "price"
to refer to (1) the amount TAP charged Lahey Clinic for Lupron "in
the contract" and (2) the cost of Lupron to Lahey Clinic "in
reality," that is, after subtracting the value of goods for which
TAP, not Lahey Clinic, footed the bill.
-32-
The government's theory that TAP had engaged in health
care fraud -- the focus of the grand jury investigation -- depended
on the premise that TAP purposefully omitted from the written
contract any cost savings it provided to Lahey Clinic in the form
of things of value for which Lahey Clinic did not have to pay.
Richardson asserts that if "price" refers only to the price of
Lupron listed in the written contract between TAP and Lahey Clinic,
her responses merely confirm the uncontested fact that no things of
value were listed in the contract as offsets to the "price" listed
therein. However, because the prosecutor sometimes used "price" to
mean something different, namely, the actual cost of Lupron to
Lahey Clinic after accounting for items TAP provided to the clinic
free of charge, Richardson argues that it is impossible to tell
whether she followed each of the prosecutor's shifts in meaning
when she gave her responses.
In several of his questions during the grand jury
colloquy, the prosecutor explicitly distinguished between the
contract price of Lupron and the actual cost of Lupron. For
example, in the question preceding statement A1 alleged in the
indictment,18 the prosecutor asked Richardson, "have you ever
offered a customer or discussed with a customer giving them an
18
Throughout this opinion, we refer to the false statements
alleged in Count One, according to our own numbering system, as A1-
A19, in the order in which they are set forth in the indictment.
Only the statements highlighted in boldface are alleged to be
false.
-33-
educational grant to give them a lower price in reality but not
changing the price in the contract?" (emphases added). In her
allegedly false statement A1, Richardson responded, "No, never
outside of a contract." Similarly, in the question preceding
statement A12, the prosecutor asked,
Q. And were those part of the discussions
with the folks at Lahey Clinic, that you
might not be able to reduce the price,
but you could give them some support
elsewhere?
A12. No that is not correct.
(Emphases added.)
Immediately after Richardson's statement in A12, however,
the prosecutor asked:
Q. As a way of effecting a reduction in
price?
A13. No that was separate.
(Emphasis added.) Richardson argues that the prosecutor's
reference to "a reduction in price" in his follow-up question was
fundamentally ambiguous because he could have been asking whether
she discussed providing "support elsewhere" to Lahey Clinic that
resulted not only in the reduction of the actual cost of Lupron to
the clinic, but also in a reduction of the price of Lupron as
listed in the contract.
Richardson's interpretation of the prosecutor's follow-up
question is not plausible. First, the prosecutor had just stated
his assumption that Richardson "might not be able to reduce the
-34-
price" in the contract, so that any additional "support" would
necessarily have to be provided "elsewhere." Second, even if the
prosecutor did intend to refer to the price as written in the
contract in his follow-up question, the context of the exchange
suggests a much more reasonable interpretation of the prosecutor's
questions than the one Richardson advances. After asking
Richardson whether she discussed giving Lahey Clinic "support
elsewhere" because she could not "reduce the price" of Lupron that
was written in the contract, the prosecutor immediately followed up
the question by asking whether the provision of "support elsewhere"
was a way of "effecting a reduction in [the] price" written in the
contract, that is, as a way of reducing the price in effect without
actually changing the written contract price. "[A] witness cannot
twist the meaning of a question in his own mind into some totally
unrecognizable shape and then hide behind it" by alleging its
fundamental ambiguity. Reveron Martinez, 836 F.2d at 691.
The indictment alleges three other false statements made
by Richardson, A2-A4, in response to questions in which the
prosecutor used the word "price" without specifying whether he was
referring to the price of Lupron listed in Lahey Clinic's written
contract with TAP or to the actual cost of Lupron to Lahey Clinic
after taking into account things of value that TAP provided to the
clinic free of charge. The context of each exchange reveals that
-35-
any ambiguity in the questions was not fatal to a perjury charge.
Richardson made statement A2 during the following exchange:
Q. Have you ever had a customer tell you
they needed a couple of hundred-thousand
dollars more off of the price because
Zoladex's price was so much less?
A. Yes. Customers have come before, saying
that the competitor is less expensive,
so can you lower your price? Yes.
Q. And in those conversations with
customers, have you ever discussed with
a customer giving them educational
grants or nominal goods or research
support to make up the difference in
price between Lupron and Zoladex?
A2. No, never to make up the difference.
(Emphasis added.) Based on the preceding discussion of Lupron's
high cost relative to that of a competing drug, the prosecutor
could reasonably be understood to be asking whether Richardson
discussed giving a customer "educational grants or nominal goods or
research support" as a hidden discount, that is, as a substitute
for matching the competitor's price in the contract. While
Richardson maintains that she understood the prosecutor to be
asking only whether educational grants or nominal goods were listed
in the contract to offset the price of Lupron stated therein, the
prosecutor's question is again only arguably ambiguous.
The indictment further alleges the following false
statements:
-36-
Q. Did you ever do that with Lahey Clinic?
Offer them educational grants to reduce
the price on a contract?
A3. No I did not.
Q. Did you ever discuss that with them?
A4. That customer had brought up some things
that they would do, and it would be
included in the contract, in order to
bring the price closer together, but we
did never do that.
Statements A3 and A4 respond to the prosecutor's questions whether
Richardson offered or discussed offering Lahey Clinic "educational
grants to reduce the price on a contract" (emphasis added). While
the prosecutor sought to determine whether Richardson offered or
discussed offering Lahey Clinic educational grants instead of
reducing the price written in the contract, Richardson points out
that the phrase "on a contract" is not generally interpreted to
mean "outside a contract." When read in context, however, the
prosecutor's questions continue a line of inquiry into whether TAP
provided financial support to Lahey Clinic that was not listed in
the written contract but was nevertheless part of the parties'
agreement regarding the clinic's Lupron purchases.19
Because each of the prosecutor's questions that
Richardson characterizes as fundamentally ambiguous is, at most,
19
Richardson argues that her statement in A4 that "we did never
do that" is literally true because TAP never did list any
additional financial support "in the contract." Richardson's
argument goes only to the sufficiency of the evidence that
statement A4 was false, an issue we do not reach.
-37-
only arguably ambiguous, Richardson's claim that the corresponding
perjury charges are contrary to law must fail. We have reviewed
each of the remaining false statements alleged in Count One of the
indictment, and we reject the argument that any of them advance
theories of conviction that are contrary to the law of perjury,
requiring us to vacate Richardson's conviction.
On appeal, Richardson does not challenge the sufficiency
of the evidence supporting each of the nineteen false statements
charged against her (i.e., those that she does not identify as
advancing legally erroneous theories of conviction). As a result,
she has forfeited any argument that not one of the nineteen charges
against her is supported by adequate evidence. See United States
v. Mitchell, 85 F.3d 800, 812 (1st Cir. 1996) (defendant forfeited
challenge to sufficiency of evidence supporting alternate ground of
conviction through failure to develop argument). Nonetheless, we
have compared the charges in Count One of the indictment against
the record evidence, including the transcripts and audio recordings
of the grand jury colloquies that were submitted to the jury.
Based on our review, we readily conclude that the evidence was
sufficient to support not just one, but several, of the perjury
charges against Richardson.20 See Reveron Martinez, 836 F.2d at
20
By limiting our discussion of the sufficiency of the evidence
to several of the allegedly false statements, we do not imply that
the evidence was insufficient to support a guilty verdict on the
other charged grounds. Nor do we suggest that more than one ground
was required to be supported by sufficient evidence in order for
-38-
689-90 (evidence sufficient to support conviction for knowingly
made false statement where, "taking into account the totality of
the evidence, direct and circumstantial, and giving due weight to
the indirect evidence anent appellant's motive to falsify, the
proof was adequate to underbrace a guilty verdict"). In
particular, a reasonable jury could have inferred, based on the
government's strong circumstantial evidence (including Richardson's
own contemporaneous internal office memoranda and notes), that
Richardson knew at the time she testified before the grand jury
that the things of value that she offered or discussed offering to
Lahey Clinic, and that she discussed with other TAP employees, were
intended to provide the clinic with a hidden discount or incentive
to renew its contract for Lupron, contrary to Richardson's
statements in A1 and A8-A11. See infra Appendix A.
Because Richardson has not established that any of the
charges against her was contrary to law, and because the evidence
was sufficient to support at least one of the charges, Richardson's
conviction for perjury must stand. See Nieves-Burgos, 62 F.3d at
436, 439 (affirming conviction where only one out of three grounds
charged in single count was supported by sufficient evidence).
the guilty verdict to stand. We make the point about evidentiary
sufficiency on several of the statements to dispel any notion that
Richardson could have argued successfully that the general verdict
should be vacated on the basis that there was insufficient evidence
for all nineteen statements.
-39-
IV. EVIDENTIARY RULINGS
Richardson challenges the district court's admission of
two categories of evidence at trial. First, she contests the
relevance of testimonial and documentary evidence tending to show
that TAP provided free samples of Lupron worth $15,000 to Lahey
Clinic after the clinic renewed its contract with TAP in October
1997. See Fed. R. Evid. 401, 402. Second, Richardson assails the
admission of testimonial and documentary evidence concerning a
government witness's plea agreement, in which the witness admitted
conspiring to commit health care fraud, as irrelevant and unfairly
prejudicial. See Fed. R. Evid. 401-403.
We review preserved challenges to a district court's
evidentiary rulings regarding relevance and unfair prejudice for
abuse of discretion. United States v. Otero-Mendez, 273 F.3d 46,
53 (1st Cir. 2001) ("In reviewing Rule 403 challenges, we are
extremely deferential to the district court's determination.");
United States v. Newton, 891 F.2d 944, 946 (1st Cir. 1989)
("[R]ulings on relevance and admissibility are reversible only for
abuse of discretion."). However, because Richardson failed to
raise a contemporaneous objection to the admission of testimonial
evidence relating to the free Lupron samples after the denial
without prejudice of her motion in limine, we review the court's
decision to admit the testimony for plain error only. See United
States v. Noah, 130 F.3d 490, 496 (1st Cir. 1997) (evidentiary
-40-
challenge on grounds of unfair prejudice ordinarily must be renewed
in trial context in order to be preserved); United States v. Kayne,
90 F.3d 7, 11 (1st Cir. 1996) (reviewing unpreserved challenge to
relevance of evidence for plain error).
A. Admissibility of Evidence Concerning Free Lupron Samples
At trial, the government introduced the testimony of a
TAP employee, Jennifer Weiler, who shared responsibility for the
Lahey Clinic account. Weiler testified that when Richardson
stopped working with Lupron customers in late 1997 and passed on
information about the Lahey Clinic account to her, Richardson told
her that TAP owed Lahey Clinic fifty Lupron samples (which, at the
contract price of $305 per dose, were worth more than $15,000) free
of charge as part of Lahey Clinic's contract to purchase Lupron.
Weiler also testified that she, Richardson, and a supervisor had
delivered the free Lupron samples to Lahey Clinic in November 1997
and February 1998. The government introduced documentary evidence
in the form of nine sample cards signed by the clinic's physicians
when they received the samples. All of the sample cards bore a
typewritten date of October 13, 1997, which, according to
Richardson's notes and TAP's contract with Lahey Clinic, fell
between the date on which Richardson presented a new contract to
Lahey Clinic, September 29, 1997, and the signing of that contract
on October 20, 1997.
-41-
The government also introduced the testimony of another
TAP employee, Daniel Steiner, who confirmed that in February 1998
he had emailed a PowerPoint presentation to other TAP employees,
including Richardson, explaining the restrictions on distribution
of free drug samples to customers. A print-out of the presentation
introduced into evidence includes the statement: "If MCO [managed-
care organizations]/Hospitals ask for large quantities of samples
to achieve a contract price - you must include these in the
contract. Of course, this affects the per unit cost . . . ."
Federal Rule of Evidence 401 defines "relevant evidence"
as evidence having "any tendency to make the existence of any fact
that is of consequence to the determination of the action more
probable or less probable than it would be without the evidence."
"Evidence which is not relevant is not admissible." Fed. R. Evid.
402. Richardson argues that the evidence relating to the free
Lupron samples was not relevant to the charges against her because
the prosecutor never explicitly asked her any questions about the
free samples during the grand jury colloquy. Richardson further
argues that the evidence was irrelevant because the government
failed to prove that the free Lupron samples had any effect on
Lahey Clinic's bottom line, for example, by showing that the clinic
had sold the samples it received free of charge to patients or
insurers for a profit.
-42-
As the government argues, however, the evidence relating
to the free Lupron samples was relevant to prove that the following
statement made by Richardson during her grand jury testimony was
false:
Q. And what was done?
A19. Actually, it was just pricing. We came
down on the [our] price, I believe. I
don't remember exactly how much.
Similarly, the free sample evidence was relevant to prove that
Richardson discussed TAP's provision of "educational grants or
nominal goods or research support" with Lahey Clinic as part of a
purchase agreement, contrary to her statement in A2:
Q. And in those conversations with
customers, have you ever discussed with
a customer giving them educational
grants or nominal goods or research
support to make up the difference in
price between Lupron and Zoladex?
A2. No, never to make up the difference.
The free sample evidence tended to prove that Richardson
offered things of value to Lahey Clinic in exchange for the
clinic's renewal of its contract. The free samples, which were
prepared for delivery in close temporal proximity to Richardson's
contract negotiations with Lahey Clinic, could reasonably be
considered to be an integral –- though unwritten –- part of Lahey
Clinic's purchase agreement with TAP, as Weiler's testimony also
suggested. Further, the PowerPoint presentation tended to
establish that the provision of free drug samples did in fact lower
-43-
"the per unit cost" of large customers' Lupron purchases. The free
sample evidence was thus relevant to the factual dispute over
whether Richardson knew at the time she made statement A19 before
the grand jury that "what was done" to satisfy Lahey Clinic's
concerns about the high price of Lupron during contract negotations
involved more than "just pricing," but also involved TAP's
provision of free Lupron samples not accounted for in the written
contract.
Because the evidence was relevant to the charges against
Richardson, the district court neither abused its discretion by
admitting the documentary evidence, nor committed plain error by
admitting the testimonial evidence, concerning the free Lupron
samples.
B. Admissibility of Evidence Concerning Government Witness's
Guilty Plea
At trial, the government introduced the testimony of a
former TAP employee, Kimberlee Chase, who was Richardson's
supervisor in 1996 and who left TAP's employment in July 1997.
Chase testified about TAP's internal procedures, explaining that
Richardson's regular reports to her supervisors, which contained
details about Richardson's contract negotiations with Lahey Clinic,
were expected to be complete and accurate because they were heavily
relied upon by other TAP employees. Chase also testified that
employees such as Richardson were eligible for salary bonuses as an
incentive to increase their sales performance. In order to remove
-44-
the sting of any attempt by Richardson to impeach Chase, the
government also introduced testimonial and documentary evidence
that Chase had pled guilty to conspiracy to defraud a federal
agency and other charges based on conduct during her employment
with TAP.
Relevant evidence "may 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; see also
United States v. Rodriguez-Estrada, 877 F.2d 153, 156 (1st Cir.
1989) ("[B]y design, all evidence is meant to be prejudicial; it is
only unfair prejudice which must be avoided."). Richardson argues
that the jury could have inferred that she was guilty of perjury
under "a theory of guilt by association" because Chase, her former
supervisor, had pled guilty to a crime. United States v. St.
Michael's Credit Union, 880 F.2d 579, 602 (1st Cir. 1989).
Moreover, because Chase had pled guilty to conspiracy to commit
health care fraud, while Richardson was on trial only for the
offenses of perjury and obstruction of justice, Richardson argues
that the jury could have been confused about whether Richardson was
also on trial for health care fraud.21
21
Richardson asks us to take judicial notice of the fact that
Chase's guilty plea was vacated months after Richardson's trial had
concluded and after she had filed her notice of appeal. See E.I.
-45-
This risk of prejudice, Richardson maintains,
substantially outweighed the weak probative force of Chase's
substantive testimony. Richardson points out that Chase was no
longer employed by TAP when Richardson began negotiating Lahey
Clinic's contract renewal. Indeed, Richardson adduced on cross-
examination that Chase had no personal knowledge of Richardson's
contract negotiations with Lahey Clinic.
Finally, Richardson argues that the government had no
need to preemptively impeach its own witness because she offered to
forego impeachment of Chase in order to prevent the government from
introducing evidence of the guilty plea in its case-in-chief. The
Federal Rules of Evidence permit a party to impeach its own
witness. See Fed. R. Evid. 607 ("The credibility of a witness may
be attacked by any party, including the party calling the
witness."); United States v. Frappier, 807 F.2d 257, 259 (1st Cir.
du Pont de Nemours & Co., Inc. v. Cullen, 791 F.2d 5, 7 (1st Cir.
1986) (federal court may take judicial notice of complaint filed in
related case); but see Eagle-Picher Indus., Inc. v. Liberty Mut.
Ins. Co., 682 F.2d 12, 22, n.8 (1st Cir. 1982) (court of appeals
"may not ordinarily consider factual material not presented to the
court below"). Richardson suggests that the jury may have found
her guilty of perjury on a theory of guilt by association with a
person whose own guilt has since been called into question. We
need not take notice of the fact that new developments have arisen
in Chase's case (much less draw any conclusions regarding Chase's
guilt or innocence based on those developments). This is so
because unfair prejudice is measured not retrospectively, but as it
existed at the time the contested evidence was introduced at trial,
that is, at the time of the "district court's on-the-spot
judgment." Freeman v. Package Machinery Co., 865 F.2d 1331, 1340
(1st Cir. 1988).
-46-
1986). This is so even where the defendant agrees to forego
impeachment on cross-examination. See United States v. McNeill,
728 F.2d 5, 14 (1st Cir. 1984) (defendant's statement that he would
not impeach government's witness "does not diminish the benefit to
the jury of having before it information relevant to its task of
judging credibility and weighing testimony"). Nevertheless, we
have recognized the "possibility of using . . . impeachment of
one's own witness improperly if there is no relevant contribution
to be made by the witness's principal testimony on direct
examination." Frappier, 807 F.2d at 259. Richardson argues that
because Chase's testimony was largely irrelevant to the charges
against Richardson, her testimony served the sole purpose of
permitting the government to introduce, as impeachment evidence,
unduly prejudicial evidence it could not otherwise have introduced.
Having reviewed the record in this case with care, we
agree with the government that Chase's testimony about TAP's
internal procedures made a "relevant contribution" to its case-in-
chief, id., and that the government properly sought to introduce
evidence of her guilty plea so that the jury could evaluate her
credibility. "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 . . . weighing of probative value and unfair effect." Freeman,
865 F.2d at 1340. In this case, the district court, attentive to
-47-
the possibility of undue prejudice, issued a lengthy jury
instruction soon after the government elicited Chase's testimony
regarding the circumstances of her guilty plea and her possible
self-interest in a reduced sentence in exchange for her testimony
against Richardson:22
it's up to you whether you believe her, or
disbelieve her or believe her in part, she
testifies she's got a plea bargain with the
government and she's hoping for a lesser
sentence having pleaded guilty to whatever
she's pleaded guilty to.
Now you are entitled to know that the
better to help you assess her testimony, the
believability of her testimony.
Here's what I want to caution you on.
The fact that [Chase has] pleaded guilty to
something in no way affects your judgment
about Ms. Richardson. In no way. It doesn't
at all. Now, you listen to what she says like
with all the other witnesses, . . . if you
believe that that may have something to do
with the case as between the government and
Ms. Richardson. But this business that she
has . . . pleaded guilty [to] is only before
you so that you can evaluate her testimony.
That's the only reason.
The court reiterated its instruction when it submitted the case to
the jury. "We have held that within wide margins, the potential
for prejudice . . . can be satisfactorily dispelled by appropriate
curative instructions. Jurors are presumed to follow such
instructions, except in extreme cases." United States v. Freeman,
208 F.3d 332, 345-46 (1st Cir. 2000) (internal quotation marks and
22
Richardson did not and does not challenge the curative jury
instruction.
-48-
citations omitted; alteration in original) (discussing spillover
prejudice). In light of the immediacy and specificity of the
district court's curative instruction, we conclude that the court
acted within its discretion by admitting evidence of Chase's guilty
plea as impeachment evidence.
As a final matter, Richardson also asserts that the
admission of Chase's plea agreement was unduly prejudicial because
it contained a reference to TAP's separate "global criminal and
civil agreement with the United States, which agreement required
the payment of $585,000,000 in civil settlement payments, including
restitution," in order to explain why the government recommended
"[t]hat the court enter no order of restitution" as part of Chase's
individual sentence. Although the offending reference was redacted
before Chase's plea agreement was made available to the jury during
its deliberations, the government published an unredacted version
of the plea agreement to the jury during Chase's testimony at
trial. That publication, Richardson argues, raised the risk that
the jury would infer that Richardson was guilty of perjury because
of her association with an employer that had entered into a "global
criminal and civil agreement with the United States."
Richardson did not object to the publication of the
unredacted plea agreement, whose unduly prejudicial effect we
review for plain error. We discern no such error. Where a plea
agreement is introduced, it ordinarily may be introduced in its
-49-
entirety. Newton, 891 F.2d at 951 (discussing "long-standing rule
that the entire plea agreement of a government witness may be
placed before the jury" because "[o]nly by viewing the entire
agreement can the jury get the whole picture, from which to assess,
as best it can, the probable motives or interests the witnesses
could have in testifying truthfully or falsely") (internal
quotation marks omitted). The admission of the full plea agreement
here did not amount to plain error.
V. CONCLUSION
Having found that Richardson was tried in compliance with
the Speedy Trial Act, that none of the nineteen allegedly false
statements charged in Count One advances a theory of conviction for
perjury that is contrary to law, and that there was no reversible
error in the admission of the challenged evidence, we affirm
Richardson's conviction.
Appendices follow.
-50-
APPENDIX A
Count One of the superseding indictment charges the
following statements as being false:23
Q. How about in exchange for a lower price?
Rather than giving them a lower price on
a contract, have you ever offered a
customer or discussed with a customer
giving them an educational grant to give
them a lower price in reality but not
changing the price in the contract?
A1. No, never outside of a contract.
. . .
Q. Have you ever had a customer tell you
they needed a couple of hundred-thousand
dollars more off of the price because
Zoladex's price was so much less?
A. Yes. Customers have come before, saying
that the competitor is less expensive,
so can you lower your price? Yes.
Q. And in those conversations with
customers, have you ever discussed with
a customer giving them educational
grants or nominal goods or research
support to make up the difference in
price between Lupron and Zoladex?
A2. No, never to make up the difference.
. . .
23
The indictment contains several variations from the
transcript of Richardson's grand jury testimony and the audio
recording of that testimony. Where such variations might
materially affect the meaning of the testimony, we have provided
the version contained in the transcript and the audio recording in
brackets. Ellipses indicate that sections of the grand jury
colloquy are omitted from the indictment. As we have noted, the
jury had access to both the transcript and the audio recording of
the testimony during its deliberations.
-51-
Q. Did you ever do that with Lahey Clinic?
Offer them educational grants to reduce
the price on a contract?
A3. No I did not.
Q. Did you ever discuss that with them?
A4. That customer had brought up some things
that they would do, and it would be
included in the contract, in order to
bring the price closer together, but we
did never do that.
. . .
Q. Ma'am, did you ever tell anybody that we
need to give this customer an
educational grant?
A5. No. That we need to give the customer
an educational grant?
Q. Yes.
A6. No.
. . .
Q. Ma'am, you just told us earlier today
that you knew that it was wrong to give
an educational grant to get or keep
business, right?
A. To get business, yes.
Q. How about to keep business?
A. To keep business.
Q. So you knew it was wrong to keep the
business, to give an educational grant
as well, right?
A. Right.
Q. Did you ever do that?
-52-
A7. No, I did not.
. . .
Q. I'm right, am I not, Ma'am, that you
discussed giving educational grants to
the Lahey Clinic, though, to keep their
business, right?
A8. No I did not.
Q. You didn't discuss it with anybody at
the company?
A9. I did not discuss it with Lahey Clinic
to keep their business. No I did not.
Q. Did you discuss it with anybody at TAP,
whether or not to give educational
grants to Lahey Clinic as part of a way
to keep their business from switching to
Zoladex?
A10. When you put it like that, no I did not.
Q. You did not discuss that with anybody at
the company?
A11. I did not discuss giving them an
educational grant instead of pricing in
order to keep their business. No I
never had that discussion.
. . .
Q. Did you support their golf tournament?
A. Yes, that's their charity tournament.
Q. And were those part of the discussions
with the folks at Lahey Clinic, that you
might not be able to reduce the price,
but you could give them some support
elsewhere?
A12. No that is not correct.
-53-
Q. As a way of effecting a reduction in
price?
A13. No that was separate.
. . .
Q. Who at the Lahey Clinic suggested
nominal goods or educational grants as
a way of reducing price?
A14. I really can't remember the exact
conversation and it was never mentioned
as a way of reducing price outside of
[a] contract form.
. . .
Q. Okay, ma'am, just so that it's perfectly
clear, here, your testimony is that it
was not your idea that educational
grants and/or nominal goods were posed
as a way of effecting a lower price,
that that was Mr. Anderson's idea?
A. Again I don't remember the specific
conversation and how that came up.
Q. I thought you testified earlier that it
was not your proposal ---
A. I did not --
Q. to offer educational grants to reduce
price?
A. I didn't -- it was not my proposal.
Q. And it was not then your proposal?
A15. And it was not to decrease the price.
. . .
Q. Did you ever tell anybody in the company
that you could work with the customer or
[and] TAP could work with the customer,
-54-
a combination of things that included
grants, as a way of reducing price?
A. We talked about that, but it would be
something that would be included in a
contract.
Q. What does that mean?
A16. That means if we do any of the things
that the customer proposed, that it
would be within [written into] the
contract and would affect the bottom
line price.
. . .
Q. So when the doctors proposed that to
you, did you tell them that was illegal,
that you couldn't do that?
A. That it would need to be in a written
[written into a] contract.
Q. Is that what you told them?
A. I'm sure I did. I mean, it would need
to be put in a contract form.
Q. Quote, I think the account will be
fairly flexible. We can work with a
combination of straight pricing,
educational support/grants and/or
rebates, closed quote.
A17. In a contract form, in a legal, proper
way.
Q. Did you discuss that with your boss,
Brian Duda?
A18. I proposed on to him what the account
would be willing to work with and we
would do it in a legal proper way.
Q. And what was done?
-55-
A19. Actually, it was just pricing. We came
down on the [our] price, I believe. I
don't remember exactly how much.
-56-
APPENDIX B
Timeline of Dates and Filings
Relevant to Richardson's STA Claim
Date Event Richardson's Government's
Calculation, Calculation,
Days Remaining Days Remaining
11/17 Parties appear before 3 3
Judge Lindsay
11/18 Government files 2 3
"Motion to Set a Trial
Date . . . and for
Excludable Delay"
11/20 Richardson files 0 3
response
11/24 Government files reply 0 3
11/25 Richardson files 0 3
"Memorandum of
Opposition" seeking
dismissal of indictment
on STA grounds
12/1 Case is reassigned by 0 3
Judge Lindsay, parties
reappear before Judge
Young and agree to
exclusion of period
from 12/8 until 1/12 in
the interest of justice
12/3 Government files motion 0 2
in limine
12/5 Richardson files 0 2
renewed motion to
dismiss for legal
defects in indictment
12/16 Richardson files motion 0 2
to dismiss indictment
on STA grounds
-57-
12/23 Richardson responds to 0 2
government's motion in
limine
12/29 Richardson files motion 0 2
in limine
1/12 Richardson's trial 0 2
begins, Richardson's
motion to dismiss on
STA grounds is denied,
Richardson's motion in
limine is denied
-58-