USA v. Bernard Edmond
Filing
OPINION and JUDGMENT filed : The judgment of the district court are AFFIRMED. Decision for publication. Alan E. Norris, Alice M. Batchelder, and Jeffrey S. Sutton (AUTHORING), Circuit Judges. [14-2426, 14-2427, 14-2428]
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RECOMMENDED FOR FULL-TEXT PUBLICATION
Pursuant to Sixth Circuit I.O.P. 32.1(b)
File Name: 16a0055p.06
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
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UNITED STATES OF AMERICA,
Plaintiff-Appellee,
v.
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│
│
│
│
>
BERNARD EDMOND (14-2426); FRANK HARPER (142427); PHILLIP HARPER (14-2428),
Defendants-Appellants.
│
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│
│
┘
Nos. 14-2426/2427/2428
Appeal from the United States District Court
for the Eastern District of Michigan at Detroit.
No. 2:11-cr-20188—George C. Steeh, District Judge.
Argued: January 28, 2016
Decided and Filed: March 3, 2016
Before: NORRIS, BATCHELDER, and SUTTON, Circuit Judges.
_________________
COUNSEL
ARGUED: Sanford A. Schulman, Detroit, Michigan, for Appellant in 14-2426. Daniel V.
Bradley, JONES DAY, Chicago, Illinois, for Appellant in 14-2427. Robyn B. Frankel,
Huntington Woods, Michigan, for Appellant in 14-2428. Jerome Gorgon, UNITED STATES
ATTORNEY’S OFFICE, Detroit, Michigan, for Appellee. ON BRIEF: Sanford A. Schulman,
Detroit, Michigan, for Appellant in 14-2426. Daniel V. Bradley, Morgan R. Hirst, JONES DAY,
Chicago, Illinois, for Appellant in 14-2427. Robyn B. Frankel, Huntington Woods, Michigan,
for Appellant in 14-2428. Patricia Gaedeke, UNITED STATES ATTORNEY’S OFFICE,
Detroit, Michigan, for Appellee.
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OPINION
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SUTTON, Circuit Judge. A jury convicted Frank Harper, Phillip Harper, and Bernard
Edmond of violating an assortment of criminal laws arising from a conspiracy to carjack
expensive cars and sell them. Each defendant raises a bevy of challenges to his convictions and
sentence. Seeing no merit to any of these challenges, we affirm.
I.
The carjacking scheme lasted from late 2010 to early 2011. In a typical case, one of the
Harpers would threaten a parking lot valet with a gun while other cohorts would take the keys
from a few high-end cars and drive them away. The carjackers delivered the vehicles to
intermediaries who took them to Edmond. Edmond fabricated new titles for the vehicles, altered
the appearance of the vehicles, and sold them. All told, there were five carjackings (involving
twelve cars) and one attempted carjacking.
The police eventually tracked down the three men, and a grand jury indicted them for
violating several laws. After an eleven day joint trial, the jury convicted them of multiple
carjacking offenses: Phillip of four carjackings plus one attempt, Frank of three carjackings, and
Edmond of three carjackings and one attempt. See 18 U.S.C. § 2119(1). The jury separately
convicted the three men of conspiring to commit the carjackings. See id. § 371. Because the
men used firearms in each offense, the jury also convicted them of numerous counts of using a
firearm during a crime of violence. See id. § 924(c). The jury also found Edmond guilty of
operating a chop shop and of various crimes related to creating false identification numbers for
motor vehicles. See id. §§ 511, 2312, 2321, 2322.
The trio did not get off lightly. The district court sentenced the men to extensive prison
terms: 93 years (or so) for Phillip, 63 years (or so) for Frank, and 75 years for Edmond.
Each of them appealed, sometimes raising the same challenges, sometimes separate ones.
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II.
All three men raise sufficiency-of-the-evidence challenges.
In reviewing these
challenges, we examine “the evidence in the light most favorable to the prosecution,” asking
whether “any rational trier of fact could have found the essential elements of the crime beyond a
reasonable doubt.” Jackson v. Virginia, 443 U.S. 307, 319 (1979).
A. Frank and Phillip’s carjackings and attendant firearms convictions. Frank and
Phillip claim that the government failed to introduce sufficient evidence to sustain their
carjacking convictions and their firearms convictions. As for the carjacking convictions under
§ 2119(1), the statute covers individuals who, “with the intent to cause death or serious bodily
harm take[] a motor vehicle . . . from the person or presence of another by force and violence or
by intimidation.” As for the firearms convictions under § 924(c), the statute requires that,
“during and in relation to” the carjacking, the defendant “use[d] or carrie[d] a firearm” or
“possess[ed] a firearm” “in furtherance” of the carjacking.
1. The first carjacking and related firearms convictions. The evidence showed that,
around midnight on October 14, 2010, Phillip and three cohorts stole four cars from a valet
parking lot. Phillip admitted the theft to an FBI agent. In his confession, introduced without
objection at trial, he acknowledged that (1) both of his associates carried weapons, (2) one of his
associates held a weapon at a parking attendant’s back during the carjacking, and (3) Phillip and
his associates grabbed several sets of keys and drove off with multiple cars. The intent element
of the carjacking offense is satisfied at a minimum if “a defendant brandishes a firearm
and . . . physically touches the carjacking victim.” United States v. Washington, 714 F.3d 962,
968 (6th Cir. 2013). Another witness testified that Phillip carried a loaded gun. All of this
suffices to support the carjacking and firearms convictions.
2. The second carjacking and related firearms convictions. On January 25, 2011, Frank
stole a Mercedes-Benz. The victim testified that the carjackers pointed a gun at his face and
demanded that he hand over his keys. “Pointing a gun at a person while demanding conformity
with particular action clearly implies a victim will be killed or injured if [he] refuses to comply,”
permitting the jury to find the requisite intent for the carjacking. United States v. Mack, 729 F.3d
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594, 604 (6th Cir. 2013). And because Frank provided the weapon that his cohort pointed at the
victim during the carjacking, that evidence suffices to uphold the § 924(c) firearms conviction.
3. The third carjacking and related firearms convictions. On January 31, 2011, Frank
and Phillip stole three cars from another valet service. Phillip carried a gun. He stood talking to
the valet for around five minutes while holding the gun, although the valet could not see the gun
at all times. Meanwhile, his cohorts stole the vehicles from the lot. In addition to showing that
Phillip stood with the valet brandishing a gun on and off for five minutes, the government
showed that the gun was likely loaded, providing circumstantial evidence of intent, see Mack,
729 F.3d at 603–04; see also United States v. Mack, 808 F.3d 1074, 1080 (6th Cir. 2015). As for
the firearms convictions, plenty of evidence showed advance knowledge that a gun would be
used: One brother brought a loaded firearm to the carjacking and by then Frank and Phillip had
developed a pattern of committing armed carjackings. “[I]f a defendant continues to participate
in a crime after a gun was displayed or used by a confederate,” the Supreme Court has recently
explained, “the jury can permissibly infer from his failure to object or withdraw that he had such
knowledge.” Rosemond v. United States, 134 S. Ct. 1240, 1249–50 & n.9 (2014).
4. The fourth carjacking and related firearms convictions. On February 22, 2011, Frank,
Phillip, and some cohorts stole three cars from still another valet service. Phillip held the
attendant at gunpoint, asking him where the car keys were. After they located the keys, the men
drove off with the vehicles. Like the first carjacking, this conviction stands because Phillip not
only brandished a firearm but also touched the attendant with it. Washington, 714 F.3d at 968.
Phillip’s conspicuous use of the firearm, on these facts and given the brothers’ developed pattern
of carjacking, suffices to uphold both of their § 924(c) convictions.
5. The fifth (attempted) carjacking and related firearms convictions. On March 12, 2011,
Phillip attempted, but failed, to steal a Porsche from a valet service. The valet wrestled the keys
away from Phillip but not before Phillip “reach[ed] for” a firearm that was loaded. R. 166 at 78.
This conviction holds up because, “[i]f a defendant brandishes a firearm and . . . there is direct
proof that the firearm was loaded, § 2119’s specific intent element will be satisfied.”
Washington, 714 F.3d at 968.
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There is one wrinkle with this conviction. The jury did not convict Phillip of the related
§ 924(c) firearms count, prompting Phillip to protest that the jury must not have believed that he
brought a firearm to the attempted carjacking and thus should not have convicted him of
carjacking. That is not necessarily the case. Even if Phillip did not bring a firearm to this
carjacking, the jury reasonably could have viewed Phillip’s physical fight with the valet as
indicative of “intent to cause death or serious bodily harm.” 18 U.S.C. § 2119; see United States
v. Fekete, 535 F.3d 471, 480 (6th Cir. 2008).
6. The sixth carjacking and related firearms convictions. On March 20, 2011, Phillip
helped steal one more car. An attendant testified that the carjacker “pulled a gun” on him and
ran over another attendant while speeding away in the pilfered car. R. 165 at 90. That evidence
suffices to convict Phillip of carjacking and the attendant firearms crime given that he admits he
was present for all aspects of the carjacking.
B. Edmond’s convictions. Edmond raises sufficiency challenges of his own. As with his
co-conspirators, the shared objects of their conspiracy lead to shared convictions.
1. The conspiracy and carjacking convictions. The jury convicted Edmond of one count
of conspiring to commit carjackings, three carjackings through a co-conspirator theory of
liability, and one attempted carjacking, also through a co-conspirator theory. To prove the
conspiracy charge, the government had to show: “(1) that the conspiracy was willfully formed
and was existing at or about the time alleged; (2) that the defendant voluntarily became a
member of the conspiracy; (3) that one of the conspirators knowingly committed an overt act;
and (4) that the overt act was knowingly done in furtherance of the conspiracy.” United States v.
McGahee, 257 F.3d 520, 530 (6th Cir. 2001).
The evidence met these requirements. As to the first two elements, the defendants
intentionally formed a conspiracy, and Edmond willfully participated in it through an assortment
of acts. He bought and sold cars carjacked by the Harpers and their cohorts. He falsified titles
and vehicle identification numbers and paid others to do so. He knew that the cars had been
carjacked.
And he paid more for stolen vehicles that included the keys, a premium that
encouraged carjackings, as opposed to less dangerous forms of vehicle theft. Obtaining the keys
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often means taking them physically from a person, as most individuals do not lightly part with
the keys to expensive pieces of property.
As to the third and fourth elements, Edmond’s co-conspirators knowingly committed the
overt acts (carjackings and an attempted carjacking), and they did so to further the ends of the
conspiracy. The same evidence that supports the brothers’ carjacking convictions supports these
elements. Faced with considerable evidence of Edmond’s pivotal role in the conspiracy, the jury
had good reason to find that the carjackings were “reasonably foresee[able]” results of the
conspiracy. Pinkerton v. United States, 328 U.S. 640, 648 (1946).
Edmond protests that he never participated in any such conspiracy. That is wishful
thinking on the law and the facts. “[A] tacit or mutual understanding among the parties is
sufficient to show a conspiratorial agreement,” United States v. Bavers, 787 F.2d 1022, 1026 (6th
Cir. 1985)—and abundant evidence alluded to above shows just that.
2. The firearms convictions. Consistent with United States v. Odom, 13 F.3d 949, 959
(6th Cir. 1994), the district court instructed the jury that it could convict Edmond of the § 924(c)
violations under a co-conspirator theory of liability. The question for the jury was this: Was the
use of a firearm in connection with the carjackings reasonably foreseeable? See United States v.
Myers, 102 F.3d 227, 237 (6th Cir. 1996). Ample evidence showed that it was. Edmond
understood how the carjackings were carried out, and he created a market for cars with keys, the
theft of which often requires the use of violence or firearms. Successful carjackings turn on
threats, which, to succeed, turn on the possibility that the threat can be acted on.
What’s more, Edmond admitted that “he knew about [the carjackings]” and that he “paid
somebody to . . . tell somebody to get some cars.” R. 167 at 144. True, Edmond protested that
he “didn’t know that they were going to [get the cars] the way . . . they were doing it.” Id. But
Edmond’s actions told a different story: He continued to engage in buying, converting, and
selling carjacked cars even after becoming aware of the violent nature of the carjackings. On
this record, the jury readily could find that Edmond reasonably foresaw that the carjackings
would be committed with the aid of firearms.
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Even if that is true, Edmond points out, the jury instructions offered two paths to
conviction: Pinkerton co-conspirator liability or aiding and abetting liability. That is a problem,
he says, because the district court did not correctly state the advance-knowledge requirement for
aiding and abetting. See Rosemond, 134 S. Ct. at 1249–51. Any such mistake would not alter
the conviction. As Edmond concedes, his argument faces plain error review because he did not
raise the point below. Given the abundant evidence that would permit the jury to convict on the
Pinkerton co-conspirator theory, any error in the aiding and abetting instructions did not
prejudice him and thus did not affect his substantial rights. See Puckett v. United States,
556 U.S. 129, 135 (2009). In the aftermath of Rosemond, several circuits have addressed this
situation—where the judge gave a correct Pinkerton instruction and a faulty aiding and abetting
instruction—and each one upheld the convictions so long as the Pinkerton theory supported
them. See United States v. Young, 561 F. App’x 85, 92 (2d Cir. 2014); United States v. Stubbs,
578 F. App’x 114, 118 n.6 (3d Cir. 2014); United States v. Saunders, 605 F. App’x 285, 288–89
(5th Cir. 2015) (per curiam); United States v. Rodriguez, 591 F. App’x 897, 904–05 (11th Cir.
2015) (per curiam); see also Musacchio v. United States, 136 S. Ct. 709, 715–16 (2016).
3. Interstate transportation of stolen motor vehicles. Edmond challenges his conviction
for transporting a stolen motor vehicle between States. See 18 U.S.C. § 2312. To convict, the
jury had to find that Edmond (or someone he was aiding and abetting) “transported the motor
vehicle in interstate commerce” and knew it was stolen. United States v. Bishop, 434 F.2d 1284,
1287 (6th Cir. 1970). The evidence supports this conviction: (1) The car was stolen in Detroit;
(2) Edmond and a cohort traveled from Michigan to Toledo, Ohio, where they used a stolen
Michigan title to obtain a clean Ohio title; and (3) the car was sold to an Ohio resident.
III.
Edmond and the Harpers raise several pretrial, trial-related, and constitutional claims.
None has merit.
A. Grand jury challenge. Edmond argues that the district court should have granted his
post-trial motion to dismiss his indictment because the prosecutor presented false testimony to
the grand jury. Raised for the first time after trial, this motion was untimely, see Fed. R. Crim.
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P. 12(b)(3)(A)(v), and Edmond did not show the district court cause to excuse that untimeliness,
id. 12(c)(3). Even had Edmond raised the argument when he should have, any prosecutorial
misconduct before the grand jury was necessarily harmless given Edmond’s subsequent
conviction by the petit jury. United States v. Brown, 332 F.3d 363, 375 (6th Cir. 2003); Fed. R.
Crim. P. 52(a).
B. Handwriting expert. Edmond claims that the district court abused its discretion when
it rejected his request to obtain a handwriting expert.
Invoking 18 U.S.C. § 3006A(e)(1),
Edmond asked for a court-appointed handwriting expert to “cross-examine [government witness
Justin Bowman] as it relates to his out of court identification of the defendant purportedly by
examining a Michigan Drivers License photo that the Government maintains is the defendant
and bears his signature.” R. 248 at 4. This license, he argued, “had someone else’s photograph
and bore his forged signature.” Id. at 1.
A defendant may obtain a court-appointed handwriting expert if “(1) such services are
necessary to mount a plausible defense, and (2) without such authorization, [his] case would be
prejudiced.” United States v. Gilmore, 282 F.3d 398, 406 (6th Cir. 2002). The court did not
abuse its discretion in denying the motion, because Edmond did not meet either condition. As
for the first one, Edmond did not need the services of a handwriting expert.
After the
government agreed to Edmond’s request not to use the driver’s license at trial, any need to
analyze the license’s signature disappeared. Edmond objects that, if Bowman had made “an
erroneous out of court identification,” that fact “would [have] be[en] helpful to the trier of fact.”
Edmond’s Br. 24. But Edmond fails to show how this fact was “necessary to mount a plausible
defense.” Gilmore, 282 F.3d at 406. As for the second condition, no prejudice arose. Bowman
had no problem identifying Edmond in court, and he testified that he had “seen” him regularly.
R. 168 at 43. The defense did not raise any misidentification arguments at trial.
C. Jury challenge. Edmond and Phillip Harper claim that the district court violated their
rights under the Jury Selection and Service Act (28 U.S.C. §§ 1861–1869) and the Sixth
Amendment because the jury pool did not include a cross-section of Detroit residents and
African Americans.
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As for the statutory claims, the duo filed their challenges under the Jury Selection and
Service Act late. The Act requires challenges to the jury pool to be raised “before the voir dire
examination begins, or within seven days after the defendant discovered or could have
discovered” the grounds for the challenge, whichever is earlier. 28 U.S.C. § 1867(a). Neither
Edmond nor Phillip challenged the jury pool before trial. Although two defense attorneys
mentioned the lack of Detroit residents during jury selection, neither of them asked the court to
do anything about it.
And no one said a word about a shortage of African American
representation on the jury. Edmond and Phillip did not challenge the jury pool until their motion
for a new trial. Because they could have discovered any possible problems with the jury pool
before trial, they missed the deadline for filing these claims. United States v. Ovalle, 136 F.3d
1092, 1098–1100 (6th Cir. 1998). Even if the district court had the power to excuse compliance
with the seven-day requirement (an issue we need not resolve today), Edmond and Phillip gave
the district court no explanation for doing so, foreclosing any right to review here. See id.;
United States v. Tarnowski, 583 F.2d 903, 904 n.1 (6th Cir. 1978).
As for the constitutional challenges, the two men face a related, but not identical,
problem. Criminal Rule 12(b) requires defendants to raise constitutional challenges to a jury’s
composition before trial. See Fed. R. Crim. P. 12(b)(3); see also Shotwell Mfg. Co. v. United
States, 371 U.S. 341, 362–63 (1963); Ovalle, 136 F.3d at 1107. If defendants fail to do so, they
must show cause, Fed. R. Crim. P. 12(c)(3), which “often requires developing and analyzing
facts” to assess whether the defendant can justify the late filing, United States v. Soto, 794 F.3d
635, 655 (6th Cir. 2015), and prejudice, Davis v. United States, 411 U.S. 233, 244–45 (1973).
We review a district court’s refusal to find cause and prejudice to excuse an untimely challenge
for abuse of discretion. Soto, 794 F.3d at 655.
As with their statutory challenge, Edmond and Phillip first raised a constitutional jury
pool challenge in their motion for a new trial. The district court denied the challenge, noting that
Edmond and Phillip did not show cause for raising the point after trial. Because we agree that
Edmond and Phillip have failed to show (or for that matter even argue) cause and prejudice, the
district court did not abuse its discretion in rejecting this post-trial motion.
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To the extent Edmond and Phillip raise new constitutional arguments on appeal about the
jury pool’s composition, plain error review applies. Soto, 794 F.3d at 655; see United States v.
Olano, 507 U.S. 725, 732–35 (1993). Before the 2014 amendment to Criminal Rule 12, some
courts took the view that the term “waiver” in the prior rule meant that a failure to raise a
covered argument before the district court meant that plain error review was not available under
Criminal Rule 52. As Soto explains, the 2014 amendment to Criminal Rule 12 removed the term
“waiver” and left no foothold for prohibiting plain error review of Rule 12 arguments raised for
the first time on appeal. See 794 F.3d at 648–55. So far as we can tell, all of the courts of
appeals’ holdings on this point agree that the amended Rule 12 allows appellate review of such
arguments. See United States v. Soto, 799 F.3d 68, 86–88 & n.10 (1st Cir. 2015); United States
v. Daniels, 803 F.3d 335, 352 (7th Cir. 2015); United States v. Anderson, 783 F.3d 727, 740–41
(8th Cir. 2015); United States v. Sperrazza, 804 F.3d 1113, 1118–19, 1126 (11th Cir. 2015);
United States v. Burroughs, 810 F.3d 833, 838 (D.C. Cir. 2016).
That leaves one other issue that Soto resolved but over which disagreement lingers. What
is the standard of appellate review for claims raised for the first time in the courts of appeals? Is
it plain error or good cause? Soto ably explains why plain error review is the correct standard,
especially in light of the district-court-centric nature of Criminal Rule 12 and the 2014
amendment to it. Not all courts of appeals have agreed. At this point, some have concluded that
plain error review applies. See Soto, 794 F.3d at 652–55; Sperrazza, 804 F.3d at 1118–19, 1126.
Some have applied good cause review alone. See Anderson, 783 F.3d at 740–41. Some have
decisions pointing in both directions. Compare Daniels, 803 F.3d at 352, and United States v.
McMillian, 786 F.3d 630, 636 & n.4 (7th Cir. 2015), with United States v. Acox, 595 F.3d 729,
731–32 (7th Cir. 2010). And some have noted the division of authority without taking a stand on
it. See Burroughs, 810 F.3d at 838; see also United States v. Soto, 799 F.3d 68, 86 & n.10 (1st
Cir. 2015); United States v. Ibarra-Diaz, 805 F.3d 908, 931 & n.13 (10th Cir. 2015).
We of course adhere to our court’s well-reasoned approach in Soto, but it is worth
offering two practical observations about this division of authority.
The first is that the
difference between the two standards is not apt to drive case outcomes frequently. Keep in mind
that the “good cause” standard requires the defendant to establish cause and prejudice. Davis,
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411 U.S. at 243–45. The different standards will lead to different outcomes only in those cases
where the defendant can show cause for the error and prejudice from it but, through it all, not
plain error. That is not likely to be a large set of cases.
The second point narrows the set of affected defendants further, perhaps indeed to nil.
The most likely explanation for failing to raise a Criminal Rule 12 objection until appeal will be
ineffective assistance of counsel, which implicates an analogous cause and prejudice standard.
See Strickland v. Washington, 466 U.S. 668, 687 (1984). Criminal Rule 12 now requires only
that the party raise a defense or objection before trial “if the basis for the motion is then
reasonably available and the motion can be determined without a trial on the merits.” Fed. R.
Crim. P. 12(b)(3). Given that requirement, it is difficult to think of too many overlooked
defenses and objections covered by the Rule that will not involve ineffective assistance. That
will leave appellate courts in familiar territory—addressing a claim for plain error review in the
direct criminal appeal (giving the defendant one chance to right the wrong) and knowing full
well that an ineffective assistance claim under the cause and prejudice standard later may be in
the offing (giving the defendant a second chance to right the wrong). For the same reason that
appellate courts often insist that the facts and circumstances surrounding a cause-and-prejudice
argument under Strickland be developed initially in the district court, it makes sense to do the
same for a cause-and-prejudice argument related to a Criminal Rule 12 failure.
With this digression behind us, we can turn to whether the defendants have shown plain
error. They have not. Indeed, no error, let alone a plain one, occurred. To show a cognizable
violation of the Sixth Amendment, Edmond and Phillip initially had to establish “(1) that the
group alleged to be excluded is a ‘distinctive’ group in the community; (2) that the representation
of this group in venires . . . is not fair and reasonable in relation to the number of such persons in
the community; and (3) that this underrepresentation is due to systematic exclusion of the group
in the jury-selection process.” Duren v. Missouri, 439 U.S. 357, 364 (1979). Edmond and
Phillip fall short in each respect. They did not show that citizens of Detroit are a distinct racial,
religious, or other cognizable group.
They did not show that representation of African
Americans or residents of Detroit is unfair or unreasonable in jury pools in general. And they
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did not show that any underrepresentation stemmed from systematic exclusion. Given this shell
of a jury pool claim, their challenge necessarily fails.
D. Admission of evidence about another shooting. Frank claims that the district court
went astray when it admitted this evidence. At trial, Stratford Newton, a government witness
indicted as a co-conspirator, testified that in December 2010 he picked up Frank in a carjacked
vehicle and drove the vehicle as Frank fired shots into a neighboring car with a gun that was used
at various carjackings throughout the conspiracy. The government did not charge Frank with
this offense, but it did warn him before trial that it planned to introduce the incident as intrinsic
acts evidence. See United States v. Churn, 800 F.3d 768, 778–79 (6th Cir. 2015). Over Frank’s
objection, the district court admitted the evidence because it was “intertwine[d] with the
conspiracy” and would “tend to demonstrate that . . . [Frank] was in possession of the same gun
and car that was used to commit some of the other carjackings.” R. 242 at 27.
A district court may admit uncharged background evidence as long as it is “inextricably
intertwined” with the underlying offense. United States v. Hardy, 228 F.3d 745, 748 (6th Cir.
2000).
This theory of admission goes by many, maybe too many, names:
res gestae,
background evidence, intrinsic acts, intrinsic evidence. See Churn, 800 F.3d at 779. No matter
the name (we prefer “intrinsic acts”), the idea is the same: Intrinsic acts “are part of a single
criminal episode,” United States v. Barnes, 49 F.3d 1144, 1149 (6th Cir. 1995), meaning they
“ha[ve] a causal, temporal or spatial connection with the charged offense,” Hardy, 228 F.3d at
748. Courts may admit evidence via this route if it (1) “is a prelude to the charged offense”;
(2) “is directly probative of the charged offense”; (3) “arises from the same events as the charged
offense”; (4) “forms an integral part of a witness’s testimony”; or (5) “completes the story of the
charged offense.” Id.
The district court did not abuse its discretion in admitting the evidence. Although the
shooting did not arise in the context of a carjacking, it still “ha[d] a causal, temporal or spatial
connection with the charged offense[s].” Id. Frank was riding in a vehicle that had itself
recently been carjacked and was used in the commission of a carjacking. He fired a weapon that
a co-conspirator would use later that day to carjack a vehicle, and the incident occurred the day
after one carjacking and the day before another.
The shooting was a prelude to, directly
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probative of, and developed the story of the carjacking conspiracy. See id. Nor is it fair to say
that the evidence was admitted for prohibited “propensity” reasons. See United States v. Gomez,
763 F.3d 845, 855–56 (7th Cir. 2014) (en banc).
The district court also had a good reason for denying any Evidence Rule 403 objection to
the evidence. The incident was highly probative. It established the relationship between Frank
and Newton (who was part of the conspiracy), and it tied Frank to the weapon used to commit a
number of carjackings. Nor was it unduly prejudicial. The testimony covered just four pages of
the trial transcript in an eleven day trial and the jury already had heard considerable
unchallenged evidence about Frank’s involvement in other violent incidents, including the
carjackings themselves. And as just shown, the government offered legitimate grounds for
admitting the evidence. See id. at 856–57.
Frank insists that the December 2010 shooting was not intertwined with his involvement
in the conspiracy because the first overt act in his indictment did not occur until January 25,
2011, nearly a month after the shooting. But Frank was also charged with participating in the
carjacking conspiracy, which began in January 2009. Evidence about Frank’s involvement with
carjacked cars, friendship with co-conspirator Newton, and use of this particular weapon thus
had a “causal, temporal [and] spatial connection” to the conspiracy. See Hardy, 228 F.3d at 748.
Frank adds that the shooting was not inextricably intertwined with the charged crimes
and that it was not necessary to the government’s story.
But Frank gives these terms a
construction our caselaw cannot bear. Intrinsic acts may be admitted when evidence “provides
background information, establishes a nexus between individuals, or completes the story of the
charged offense.” United States v. Gibbs, 797 F.3d 416, 424 (6th Cir. 2015). The December
2010 shooting does all of that and then some.
E.
Prosecutorial misconduct.
Frank argues that the government presented false
testimony at trial when it called FBI Agent Alan Southard, who had investigated Frank’s case.
During his investigation, Southard prepared a large number of pretrial reports about information
that he anticipated might become testimony at trial. Frank argues that Southard’s testimony at
trial contradicted statements in these reports.
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One problem with this argument is that Frank did not raise it below. At trial, Frank
raised only a claim under Brady v. Maryland, 373 U.S. 83 (1963), arguing that the government
improperly refused to disclose evidence about changes in Southard’s pretrial reports until the
middle of trial. Frank’s appellate counsel abandoned that argument, and now tries to transform it
into a knowing-presentation-of-false-testimony claim. The metamorphosis fails. A suppressionof-the-evidence claim under Brady and a knowing-presentation-of-false-testimony claim require
different showings. See Rosencrantz v. Lafler, 568 F.3d 577, 583–84 (6th Cir. 2009). Frank did
not raise this argument below; plain error review applies. United States v. Carter, 236 F.3d 777,
783 (6th Cir. 2001).
There was no error to start.
To show knowing presentation of false testimony, a
defendant must prove that the statements the government elicited were “actually false.” United
States v. Lochmondy, 890 F.2d 817, 822 (6th Cir. 1989). We do not permit a defendant to point
only to “mere inconsistencies in testimony by government witnesses” because these “do not
establish knowing use of false testimony.” Id. That is all Frank does, however. He argues that
(1) Southard, sitting at trial and hearing testimony from government witness Stratford Newton,
realized there were discrepancies between Newton’s statements at trial and the statements he had
previously made to Southard (memorialized in Southard’s pretrial reports), and (2) to rehabilitate
Newton, Southard decided to lie on the stand, saying that some statements in his pretrial reports
were incorrect. But these “bare allegations” do not show that the government “knowing[ly]
present[ed] [] false testimony.” See United States v. Fields, 763 F.3d 443, 463 (6th Cir. 2014).
Southard’s inconsistencies also have reasonable explanations. He may have misheard
some statements while preparing his pretrial reports, and he might have realized some of his
mistakes only much later while preparing for trial. With nothing more than speculation, Frank
fails to carry his burden of proof to show that Southard perjured himself. See Lochmondy, 890
F.2d at 822.
What’s more, the (supposedly) false testimony did not affect Frank’s substantial rights.
There is no “reasonable probability,” United States v. Marcus, 560 U.S. 258, 262 (2010), that
Southard’s statements led to a faulty conviction. Defense counsel had a full opportunity to crossexamine Southard at trial about the difference between his pretrial reports and his testimony at
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trial, questioning his motives and trying to undermine his credibility. And to some extent they
did so. The alleged inconsistencies thus were laid bare to the jury. That too suffices to withstand
plain error review.
Frank makes a separate prosecutorial-misconduct argument, claiming that the
government modified another witness’s statement “mid-trial in a way that substantially impaired
Frank Harper’s ability to support his defense.” Frank’s Br. 51. This argument too was not raised
below, and it too does not satisfy the requisites of plain error. Frank does not offer a single
citation to the record to support his claim, and it is not our job to perform the task for him by
searching high and low through the record. The claim fails.
F. Use of a Pinkerton conspiracy instruction. The court instructed the jury that it could
use a Pinkerton co-conspirator theory of liability to convict on the § 924(c) firearms charges.
Phillip argues that the Supreme Court’s decision in Rosemond v. United States, 134 S. Ct. 1240
(2014), an aiding and abetting case, changed the requirements for finding a conspiracy under
Pinkerton.
He maintains that Rosemond created “new, and more stringent, rules for co-
conspirator liability.” United States v. Adams, 789 F.3d 713, 714 (7th Cir. 2015). But “that’s not
what . . . Rosemond . . . held.” Id.
Rosemond dealt with the aiding and abetting theory of liability for § 924(c), not with the
Pinkerton co-conspirator theory of liability. The two theories are distinct, and we allow the use
of either theory to reach a § 924(c) conviction. See Napier v. United States, 159 F.3d 956, 960
(6th Cir. 1998). Rosemond aiding and abetting liability requires, in part, “intent [to] facilitat[e]
the offense’s commission” and “advance knowledge” that a firearm will be used to commit the
offense. Rosemond, 134 S. Ct. at 1245, 1251. Pinkerton conspiracy liability does not have the
intent or knowledge requirements; once a person has joined the conspiracy, Pinkerton requires
only reasonable foreseeability of the crimes committed by co-conspirators. See United States v.
Swiney, 203 F.3d 397, 401–02 (6th Cir. 2000). Rosemond did not alter the Pinkerton framework,
as at least one circuit has already concluded. See Adams, 789 F.3d at 714.
Phillip raises a second challenge to the Pinkerton instruction, claiming it violated his
Fifth Amendment grand jury guarantee by constructively amending the indictment. He claims
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that his indictment charged him only with committing § 924(c) crimes and did not charge him
with conspiracy to commit them. But we have rejected this argument before, holding that “a
district court may properly provide a Pinkerton instruction regarding a substantive offense, even
when the defendant is not charged with the offense of conspiracy” with respect to that specific
offense. United States v. Budd, 496 F.3d 517, 528 (6th Cir. 2007).
G. Double jeopardy challenge. Edmond claims that his conviction for operating a chop
shop violated the Double Jeopardy Clause because Michigan had already convicted him of a
similar violation under state law.
But the Double Jeopardy Clause bars only successive
prosecutions by a single sovereign, federal or State. Heath v. Alabama, 474 U.S. 82, 88–89
(1985).
IV.
Edmond and Phillip also challenge their sentences. In calculating each sentence, the
district court first imposed mandatory sentences for their firearms convictions under § 924(c):
55 years for Edmond and 80 years for Phillip. It then determined the guidelines-recommended
sentences for their other convictions and did not lower their ultimate guidelines-related sentences
to account for their mandatory sentences. Edmond and Phillip claim that the court abused its
discretion when it refused to consider the length of their mandatory firearms sentences when
calculating their guidelines sentences, which led to a 75-year sentence for Edmond and a roughly
93-year sentence for Phillip.
United States v. Franklin, 499 F.3d 578 (6th Cir. 2007), governs. It establishes that,
when considering convictions under § 924(c) along with other counts, “[t]he sentencing court
must determine an appropriate sentence for the underlying crimes without consideration of the
§ 924(c) sentence.”
Id. at 586.
Nor does it matter that the district court’s rationale for
considering the mandatory and guidelines sentences separately was a faulty one. The district
court reasoned that separate consideration was appropriate because it was possible that the
mandatory sentences could be “affected by some future action by Congress or by the Court of
Appeals.” R. 233 at 25. While Franklin was the only explanation the district court needed, it
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reached the right outcome anyway. Getting to the right place via the wrong road is not reversible
error.
For these reasons, we affirm.
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