UNITED STATES COURT OF APPEALS
FOR THE FIFTH CIRCUIT
__________________
No. 92-7707
__________________
UNITED STATES OF AMERICA,
Plaintiff-Appellee,
versus
JACKIE V. BROWN,
Defendant-Appellant.
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Appeal from the United States District Court for the
Northern District of Mississippi
______________________________________________
(November 10, 1993)
Before GARWOOD, DAVIS and SMITH, Circuit Judges.
GARWOOD, Circuit Judge:
Defendant-appellant Jackie Brown (Brown) participated in a
money order scam operating out of Parchman State Penitentiary in
Mississippi. A jury found him guilty of conspiracy to alter and
pass altered postal money orders and aiding and abetting mail
fraud. The district court imposed concurrent sentences of 15
months' imprisonment and 3 years' supervised release on each count,
and ordered Brown to pay $1,092 in restitution. Brown appeals the
district court's application of the Sentencing Guidelines and
certain evidentiary rulings. We affirm.
Facts and Proceedings Below
In January 1992, Evelyn Lomoriello (Lomoriello), a sixty-five-
year-old Florida retiree, began corresponding through a "lonely
hearts pen-pal club" with Richard Sims (Sims), an inmate at
Parchman State Penitentiary in Mississippi. In April 1992,
Lomoriello began accepting collect calls from Sims. In their
conversations, Sims informed her that he planned to receive several
money orders from Johnny Clark, whom he represented as his case
worker. Telling Lomoriello that he needed the money to pay his
fines, Sims asked her to deposit the money orders in her bank
account and to send $5,000 of the money to a man identified as
Jackie Brown in Cleveland, Mississippi.
On April 3, 1992, Lomoriello received 8 $700 money orders,
totalling $5,600. Pursuant to Sims's instructions, she deposited
them in her account, sent $5,000 to Brown in Cleveland by wire
transfer, paid $200 to Western Union, and kept $400 for herself to
pay for the collect calls. When Lomoriello's bank discovered the
money orders had been altered to reflect $700 instead of their true
$1 face values, the bank charged the $5,600 back to her account.
Two weeks later, Lomoriello received a second set of altered money
orders from Clark. By this time, however, police had warned her of
the scam, and she turned the altered money orders over to postal
authorities.
On April 6, 1992, Brown, a contract food manager at Parchman,
received three Western Union drafts (one in the amount of $1,000
and two $2,000 drafts), and attempted to cash them the following
day. The Western Union agent cashed only the $1,000 draft and then
2
called the police to inform them that Brown, using Parchman prison
identification, had received the money from a woman in Florida.
After learning from Lomoriello that she had been corresponding with
a Parchman inmate, Detective Serio of the Cleveland Police
Department attempted to contact Brown. On April 8, 1992, Brown
came to the police station and turned over the two uncashed $2,000
drafts and $500 of the draft that he had cashed. The following
day, Brown voluntarily returned to the police station and gave
Inspector Collins a handwritten statement admitting that he had
picked up the money orders at the direction of Parchman inmate
Ronnie Franklin. At trial, Brown admitted he was to receive $500
for smuggling the money into Parchman.
Josephine Fortner (Fortner), a Michigan retiree, testified
that she had also been corresponding with an inmate at Parchman
named Richard Sims. Fortner received $3,500 in altered money
orders from Johnny Blackman, who claimed to be Sims's case worker.
Following Sims's instructions, she cashed the money orders, kept
$500 for herself, and sent $3,000 via Express Mail to Jackie Brown
at 900 White Street, Apartment 10-D, Cleveland, Mississippi. Upon
discovery of the alterations, her bank charged the $3,500 to her
account.
Brown was indicted and found guilty on charges of conspiracy
to alter and pass altered postal money orders in violation of 18
U.S.C. § 371 (count one), and aiding and abetting mail fraud in
violation of 18 U.S.C. §§ 2 and 1343 (count two). Over his
objections to the presentence report (PSI), the district court
imposed concurrent sentences of 15 months' imprisonment and 3
3
years' supervised release on each count, and ordered Brown to pay
$1,092 in restitution to Lomoriello. Brown now appeals, arguing
that the district court erred by (1) misapplying the Sentencing
Guidelines, (2) refusing to dismiss count two as duplicitous, (3)
admitting evidence of other money orders sent to Lomoriello and
cash sent to Brown's address, and (4) refusing to admit a
handwriting report. Brown's brief also makes a passing assertion
that the district court erred by admitting Brown's written
statement. We find no reversible error, and accordingly we affirm.
Discussion
I. Application of the Sentencing Guidelines
The base offense level for fraud and deceit is six. U.S.S.G.
§ 2F1.1(a). The district court, in sentencing Brown, added a total
of eight additional offense levels. We review the district court's
application of the Sentencing Guidelines de novo, and we review its
findings of fact under a clearly erroneous standard. United States
v. Wimbish, 980 F.2d 312, 313 (5th Cir. 1992), cert. denied, 113
S.Ct. 2365 (1993). A factual finding is not clearly erroneous as
long as the finding "is plausible in light of the record as a
whole." Id.
A. Amount of Loss
The Sentencing Guidelines provide for a 2-offense level
enhancement if the loss resulting from a fraud or deceit offense
exceeds $5,000. U.S.S.G. § 2F1.1(b)(1)(C). Since the district
court's calculation of the amount of loss is a factual finding, we
review this determination for clear error. Wimbish, 980 F.2d at
313; United States v. Sowels, 998 F.2d 249, 251 (5th Cir. 1993).
4
Brown argues that since he returned the 2 uncashed money orders and
$500 in cash, the actual loss caused by his actions was only $700
($500 he spent and $200 charged by Western Union). Section 2F1.1,
however, states that if the "intended loss that the defendant was
attempting to inflict can be determined, this figure will be used
if it is greater than the actual loss." U.S.S.G. § 2F1.1, comment.
(n. 7). Where a defendant attempts to pass altered or forged
checks, the face value of the checks reflects the intended loss,
even if the money is recovered or returned.1 Wimbish, 980 F.2d at
316; see also Sowels, 998 F.2d at 252 (combined credit limit of
stolen credit cards totalling $351,600 represented intended loss
regardless of the actual charges made); United States v. Lghodaro,
967 F.2d 1028, 1031 (5th Cir. 1992) (full value of fraudulently
filed insurance claim even though defendant only received a portion
of the claim). In the present case, the defendant clearly intended
Lomoriello to suffer a loss exceeding $5,000. He should not be
rewarded simply because law enforcement officials thwarted his
plans.
1
The Application Notes to section 2F1.1 state that "if the
fraud consisted of selling or attempting to sell $40,000 in
worthless securities, or representing that a forged check for
$40,000 was genuine, the loss would be $40,000." U.S.S.G. §
2F1.1, comment. (n. 7). The district court calculated the
intended loss at $9,100 based on the face value of both sets of
money orders sent to Lomoriello. Arguably, the intended loss
should be confined to the first set of Lomoriello money orders
and reduced by the $400 Lomoriello was to keep since the
conspirators never intended her to lose that portion of the
money. However, at a minimum, they intended her to lose the
$5,000 she wired to Brown and what she would have to pay to
Western Union to send the funds to Brown ($200, as it turned
out). Since the resulting intended loss still exceeds $5,000,
the sentence enhancement would still apply.
5
B. More Than Minimal Planning
The Sentencing Guidelines provide for an enhancement of two
offense levels "[i]f the offense involved (A) more than minimal
planning, or (B) a scheme to defraud more than one victim."
U.S.S.G. § 2F1.1 (b)(2). The Guidelines define "more than minimal
planning" as "more planning than is typical for commission of the
offense in a simple form," or "[taking] affirmative steps . . . to
conceal the offense." U.S.S.G. § 1B1.1, comment. (n. 1 (f)). The
determination as to whether the "defendant engages in more than
minimal planning is a fact question reviewed under the clearly
erroneous standard." United States v. Barndt, 913 F.2d 201, 204
(5th Cir. 1990).
The PSI indicates the criminal conspiracy in which Brown
participated was an elaborate scheme involving significant planning
to obtain and alter United States Postal Service money orders, to
target and manipulate specific victims, to conceal the offense, and
to smuggle the proceeds into the penitentiary. The scam required
coordination and cooperation among at least one prison inmate, the
alleged "case worker" who sent the altered drafts to Lomoriello,
and Brown. Brown's role alone, which involved picking up the
drafts, cashing them, and smuggling the money back into Parchman,
took more than minimal planning to accomplish.
Brown argues that the scam involved no more planning than a
typical prison money order scam. The Guidelines, however, do not
require the government to prove that the instant offense was
somehow more elaborate than comparably elaborate offenses, but
rather that it involved more planning than a "simple form" offense.
6
To commit a money order scam in its "simple form," a defendant
would merely obtain money orders, alter the amounts, and cash them.
Since the planning required for the instant offense greatly exceeds
this model, we conclude the district court did not clearly err in
assessing the enhancement.2
C. Vulnerable Victims
The district court imposed a two-point enhancement after
finding that Lomoriello was an unusually vulnerable victim to this
sort of fraud. The Guidelines permit this enhancement if the
defendant knew or should have known that a victim of the offense
was unusually vulnerable due to age, physical or mental condition,
or that a victim was otherwise particularly susceptible to the
criminal conduct. U.S.S.G. § 3A1.1. The determination of
"vulnerability is a complex fact dependent upon a number of
characteristics which a trial court could not possibly articulate
completely," and is certainly "not reducible to a calculation of
the victim's age or to a diagnosis of the victim's disease." United
States v. Mejia-Orosco, 868 F.2d 807, 809 (5th Cir.), cert. denied,
109 S.Ct. 3257 (1989). We give due deference to the district
court's determination of vulnerability and of what the defendant
2
Brown also argues that he should have received a reduction
in his offense level because he played a minimal or minor role in
the conspiracy. This is an issue on which Brown had the burden
of proof. The PSI found "no evidence to suggest that [he] was
less culpable than any of the persons involved in the
conspiracy." Addendum to PSI at 7. In particular, the report
pointed out that his "official position was an integral factor
which facilitated the commission of the offense; . . . therefore,
his role could not be described as minor." Id. The district
court adopted the PSI. Brown has not demonstrated that the
district court's adoption of this aspect of the PSI was clearly
erroneous or the product of legal error.
7
knew or should have known in this respect. United States v. Rocha,
916 F.2d 219, 244-45 (5th Cir. 1990), cert. denied, 111 S.Ct. 2057
(1991). The PSI indicates that the Parchman scam primarily targets
older women who are basically alone in life, in that they are
usually widowed, elderly and have no family close at hand.
Lomoriello and Fortner each fit the description of a lonely,
elderly widow seeking attention and companionship through a lonely
hearts pen-pal magazine; and thus, particularly susceptible to the
conspirators' manipulation and deceit.
Brown contends that the enhancement should not apply because
he did not know the actual victims of the scam were unusually
vulnerable. He cites United States v. Sutherland, 955 F.2d 25 (7th
Cir. 1992), for the position that a defendant must know the
specific victim was unusually vulnerable rather than merely knowing
that the scam targeted a particular group. This assertion
misstates Sutherland. In Sutherland, the Seventh Circuit ruled
that the enhancement was not warranted where the defendant
conducted a mail fraud scam targeting war veterans as a group. Id.
at 27 & n.1. The Court found that neither the victims' ages nor
their status as war veterans made them unusually vulnerable because
the scam targeted young Vietnam veterans as well as older veterans
of World War II, and there was no indication that, as a group, war
veterans are any more susceptible to fraud than the general public.
Id. The instant case presents the exact opposite situation. Not
only were the victims of the Parchman scam specifically chosen for
their age, loneliness, and gullibility, but the district court
could have reasonably concluded that lonely, elderly widows, as a
8
group, are more susceptible than the general public to this type of
fraud.3 We conclude the district court did not err in finding the
women targeted by the scam were "vulnerable victims" under section
3A1.1. Furthermore, we have no reason to doubt that Brown, as a
worker at Parchman, knew or should have known that the scam
targeted this type of victim.
D. Abuse of Position of Public Trust
Section 3B1.3 provides an enhancement of two offense levels
"[i]f the defendant abused a position of public or private trust,
or used a special skill, in a manner that significantly facilitated
the commission . . . of the offense." U.S.S.G. § 3B1.3. Because
the application of section 3B1.1 involves a sophisticated factual
determination, we must affirm the district court's conclusion
unless it is clearly erroneous. United States v. Brown, 941 F.2d
1300, 1304 (5th Cir.), cert. denied 112 S.Ct. 648 (1991). It is
axiomatic that the public places tremendous trust in prison
employees that they will not conspire with inmates to violate the
law. Id. at 1305. The fact that Brown's employer was a private
entity that contracted its work to the prison is relevant but not
3
Brown's claim that vulnerability can not be based on a
targeted group contradicts the intent of section 3A1.1. The
commentary indicates the adjustment for vulnerable victims would
apply "in a fraud case where the defendant marketed an
ineffective cancer cure [to cancer patients]." § 3A1.1, comment.
(n. 1). Nowhere in this example does it state that any
individual victim purchasing such a cure must be unusually
vulnerable beyond the fact that he has cancer and is seeking a
cure. In other words, the Guidelines deem cancer patients, as a
group, to be unusually vulnerable vis a vis the general public to
snake oil salesmen promising cancer cures. Similarly, as a
group, lonely, elderly widows could legitimately be considered
unusually susceptible to frauds that prey on the companionship
they miss and desire.
9
determinative. The district court found that Brown's employment
inside the prison as a food service manager afforded him the unique
opportunity to interact with inmates without being scrutinized by
prison officials. Since he, unlike members of the general public,
had access in and out of the penitentiary without being searched,
he could easily deliver the money to the inmates in furtherance of
the crime.
Brown argues that he did not occupy a position of trust
because his employment at Parchman merely provided an opportunity
to commit the offense. The Application Notes explain that "[t]he
position of trust must have contributed in some substantial way to
facilitating the crime and not merely have provided an opportunity
that could as easily have been afforded to other persons."
U.S.S.G. § 3B1.1, comment. (n. 1). As an example, the adjustment
"would not apply to an embezzlement by an ordinary bank teller."4
Id. Unlike teller embezzlement, a position of trust is not already
implicit in charges of mail fraud and money order alteration
against a prison worker (see note 4). Moreover, Brown's position
is in other respects not wholly analogous to an embezzling bank
teller. As the Ninth Circuit has stated:
"[T]he primary trait that distinguishes a person in a
position of trust from one who is not is the extent to
which the position provides the freedom to commit a
difficult-to-detect wrong." United States v. Hill, 915
4
We have observed in some decisions a reluctance to broadly
analogize from the so-called "bank teller exception," either
limiting the scope of its application or suggesting that a
teller's position of trust is already implicit in the charge of
embezzlement, and thus already included in the offense level.
Brown, 941 F.2d at 1305 n.6 (citing United States v. Drabeck, 905
F.2d 1304, 1306-07 (9th Cir. 1990)).
10
F.2d 502, 506 (9th Cir. 1990).
It has been stated that the rationale underlying the "bank teller
exception" is that although the teller's position provides an
opportunity to embezzle money, reasonably diligent supervisors
could easily detect the wrongdoing after it has occurred. United
States v. Helton, 953 F.2d 867, 870 (4th Cir. 1992) ("lax
supervision alone does not convert one's job into a 'position of
trust' under § 3B1.3."). Where the wrongdoing is smuggling money
into a prison, however, there is no analogous supervision capable
of detecting the completed crime. Brown's employment provided
prison admittance without being searched and unsupervised access to
inmatesSQfactors which were indispensable for the commission of the
crime and which were unique to his employment.5 We ultimately
5
Brown argues that if his employment as a food service
manager is deemed a position of public trust then all prison
employees would automatically be subject to a similar sentence
enhancement solely on the basis of their employment. This
assertion does not accurately reflect section 3B1.3. The
enhancement only applies if the district court finds the
defendant (1) occupies a position of trust, and (2) has abused
his position in a manner that significantly facilitated the
commission or concealment of the offense. In reviewing another
scheme involving Parchman employees smuggling contraband to
inmates, we stated:
"[T]he question here is not whether any other Parchman
employee could have committed the offense, but rather
whether Brown occupied a superior positionSQrelative to
all people in a position to possess with intent to
distribute heroin (i.e., the general public)SQas a
result of his counselor role." Brown, 941 F.2d at
1305.
The 1993 amendments to section 3B1.3 further support this
presumption. The amended commentary declares that "because of
the special nature of the United States mail an adjustment for an
abuse of a position of trust will apply to any employee of the
U.S. Postal Service who engages in the theft or destruction of
undelivered United States mail." U.S.S.G. § 3B1.3, comment.
11
conclude that the district court did not clearly err in finding
that Brown occupied a position of public trust and that he abused
that position in a manner that substantially facilitated the
offense.
E. Acceptance of Responsibility
Brown argues that the district court should have reduced his
offense level by two points for acceptance of responsibility
pursuant to section 3E1.1.(a). Factors used to determine whether
the defendant has accepted responsibility include his "voluntary
surrender to authorities promptly after commission of the offense
[and] assistance to authorities in the recovery of the fruits . .
. of the offense." U.S.S.G. § 3E1.1, comment. (n.1(d),(e)). Brown
argues that the district court should have granted a reduction for
acceptance of responsibility because he voluntarily appeared at the
police station, returned the uncashed money orders, and confessed
his participation in the conspiracy. However, because the district
court "is in a unique position to evaluate a defendant's acceptance
of responsibility. . . . the determination of the sentencing judge
is entitled to great deference on review." U.S.S.G. § 3E1.1,
comment. (n.5). Therefore, we review the district court's decision
under a standard even more deferential than a pure clear error
standard. United States v. Watson, 988 F.2d 544, 551 (5th Cir.
1993), petition for cert. filed, (July 29, 1993) (No. 93-5407).
The adjustment for acceptance of responsibility "is not
intended to apply to a defendant who puts the government to its
(n.1) (effective Nov. 1, 1993) (emphasis added).
12
burden of proof at trial by denying the essential factual elements
of guilt." U.S.S.G. § 3E1.1, comment. (n.2). The commentary
provides an exception for "rare situations" where:
"[A] defendant may clearly demonstrate an acceptance of
responsibility for his criminal conduct even though he
exercises his constitutional right to a trial . . . to
assert and preserve issues that do not relate to factual
guilt (e.g., to make a constitutional challenge to a
statute or a challenge to the applicability of a statute
to his conduct)." Id.
This case plainly does not present one of those rare situations.
The district court did not clearly err in denying a reduction for
acceptance of responsibility.
II. Refusal to Dismiss Count Two
Brown asserts that the district court erred in refusing to
dismiss count two (aiding and abetting mail fraud) because it
required proof of the same set of operative facts as count one
(conspiracy). The courts have consistently ruled that the
commission of a substantive crime and a conspiracy to commit that
crime are separate and distinct offenses. Pinkerton v. United
States, 328 U.S. 640, 643, 66 S.Ct 1180, 1182 (1946). Wharton's
Rule,6 however, prohibits conviction for both the substantive
offense and conspiracy to commit that offense if the substantive
offense necessarily requires the participation and cooperation of
more than one person. United States v. Payan, 992 F.2d 1387, 1389
6
Wharton's Rule states that "[a]n agreement by two persons to
commit a particular crime cannot be prosecuted as a conspiracy
when the crime is of such a nature as to necessarily require the
participation of two persons for its commission." 1 R. Anderson,
Wharton's Criminal Law and Procedure, § 89, at 191 (1957); see
generally Iannelli v. United States, 95 S.Ct. 1284, 1288 & n.5
(1975).
13
(5th Cir. 1993). A conviction based solely on aider and abetter
liability would appear to require the involvement of at least two
persons since one cannot aid and abet oneself. Nevertheless, we
have recently held that Wharton's Rule does not bar separate
convictions for aiding and abetting an offense and conspiring to
commit that offense. Id. The aiding and abetting statute, 18
U.S.C. § 2, does not define an offense, but simply provides that
one who aids or abets the commission of a substantive offense is
punishable as a principal. Id. at 1390. In applying Wharton's
Rule, we consider whether "it is impossible under any circumstances
to commit the substantive offense without cooperative action." Id.
Clearly, a single individual acting alone is capable of committing
mail fraud as defined by 18 U.S.C. § 1343. Thus, the district
court properly refused to dismiss count two.
III. Admission of Evidence: Other Money Orders and Cash
Over the defendant's objection, the district court allowed the
government to introduce evidence of other money orders sent to
Lomoriello and cash mailed to Brown's address. We review such an
evidentiary ruling under an abuse of discretion standard. United
States v. Vasquez, 953 F.2d 176, 182 (5th Cir.), cert. denied, 112
S.Ct. 2288 (1992). First, Lomoriello testified that she received
a second set of money orders from Johnny Clark, again representing
himself as Sims's case worker. This time, however, Sims instructed
her to transfer the money to Wanda Newman in Oxford, Mississippi,
rather than to Jackie Brown. The district court admitted the
second set of money orders to show how the postal authorities were
alerted to the scheme and to show that Sims wanted to continue to
14
do business with Lomoriello. The court did not elaborate further,
however, on the basis for its determination. The government argues
that these money orders were properly admitted under Fed.R.Evid
404(b) as evidence of other crimes, wrongs or acts used to show a
common scheme initiated by the same conspirator, Sims, and directed
at the same victim, Lomoriello. Essentially, the government
contends Brown represented one of several "spokes" emanating from
the same hub of a single conspiracy. Fortunately, our review of
this matter does not require us to resolve the merits of the
government's position. Were we to find the district court abused
its discretion by admitting this extrinsic evidence, we would still
conclude that the admission of this evidence was harmless. There
is no risk that it could have improperly been used to prove Brown
acted in conformity with such bad acts because Brown has already
confessed his involvement in the scam. The evidence against Brown
was overwhelming. His own brief states that "he immediately went
to the police station and confessed to Officer Serio and then, two
days later, again went voluntarily to the police station and again
confessed to the postal inspector and acknowledged his
participation on the witness stand . . ." and that he "confessed
his guilt to Postal Inspector Collins."
The district court also permitted Josephine Fortner to testify
that she had cashed money orders sent to her by Sims and had
forwarded the money to Jackie Brown at an address in Cleveland,
Mississippi. Brown denied ever receiving any cash from Fortner,
but admitted that he lived at the Cleveland address and that he was
the only Jackie Brown at that particular address. The court
15
instructed the jury that Fortner's testimony was admissible only as
proof of Brown's intent, state of mind, absence of mistake, and
motive or opportunity to commit the offense charged. We find that,
with these instructions, the district court acted within its
discretion in admitting Fortner's testimony.
IV. Refusal to Admit Handwriting Report
Brown contends the district court erred in refusing to admit
a handwriting report prepared by the government's analyst that
stated Brown "could not be identified or eliminated as the writer"
of the "Jackie Brown" signature on the Express Mail package receipt
sent to Brown's address by Fortner. The report stated that the
signature "evidence[d] features and characteristics consistent with
disguised writing and was possibly written with the writer's
unaccustomed (awkward) writing hand." Once again, we review the
district court's evidentiary ruling for abuse of discretion.
Vasquez, 953 F.2d at 182. In this case the analyst did not testify
and the government only presented evidence that Fortner was
instructed to (and did) send the cash to a person by the name of
Jackie Brown at an address later confirmed to be Brown's home
address. The government did not attempt to prove that the
signature on the receipt was genuine. Therefore, the information
contained in the handwriting report was not exculpatory, and, as
previously noted, the proof against Brown was overwhelming.
Accordingly, any error in this respect was harmless.
V. Admission of Brown's Written Statement
Finally, Brown asserts in passing the district court's
admission of his written statement given to Inspector Collins was
16
improper because Collins failed to give him his Miranda warnings.
This contention has not been properly raised in Brown's brief.
Even it if had been, it is wholly without merit. The law is well
settled that Miranda warnings are required only in instances of
custodial interrogation by law enforcement officials. Miranda v.
Arizona, 384 U.S. 436, 477-78 (1966). In this case, Brown was not
in custody when he gave the statement. Brown voluntarily appeared
at the police station, gave the statement, and left the station of
his own accord. The absence of custodial interrogation made
Miranda warnings unnecessary; thus, the district court properly
admitted the statement.
Conclusion
Brown has failed to show the district court below committed
any reversible error. Accordingly, his conviction and sentence are
AFFIRMED.
17