UNITED STATES of America, Plaintiff-Appellee, v. Ali DARWICH, Defendant-Appellant.
No. 13-1723.
United States Court of Appeals, Sixth Circuit.
July 24, 2014.
564 Fed.Appx. 582
BEFORE: SILER and KETHLEDGE, Circuit Judges; and WATSON, District Judge.*
* The Honorable Michael H. Watson, United States District Judge for the Southern District of Ohio, sitting by designation.
“A sentence may be considered substantively unreasonable when the district court selects a sentence arbitrarily, bases the sentence on impermissible factors, or gives an unreasonable amount of weight to any pertinent factor.” Cochrane, 702 F.3d at 345 (quoting United States v. Conatser, 514 F.3d 508, 520 (6th Cir.2008)). Terry contends that his sentence was substantively unreasonable because the district court based the sentence on his new drug-trafficking offense rather than his original felon-in-possession offense.
“[T]he United States Supreme Court has specifically explained that ‘postrevocation penalties relate to the original offense,’ rather than the violation conduct.” United States v. Johnson, 640 F.3d 195, 203 (6th Cir.2011) (quoting Johnson v. United States, 529 U.S. 694, 701, 120 S.Ct. 1795, 146 L.Ed.2d 727 (2000)). As we stated in Johnson:
The violations of a defendant‘s term of supervised release are properly characterized as “breach[es] of trust” which may be “sanctioned” upon revocation. But the sanction for failing to abide by conditions of supervised release is to be distinguished from “the imposition of an appropriate punishment for any new criminal conduct” which may occur only following a conviction in a separate criminal proceeding.
Id. (quoting U.S.S.G. Ch. 7, Pt. A) (internal citation omitted).
In the instant case, the district court stated: “Also the court cannot have people on supervision dealing cocaine. That‘s just-it‘s just not possible for me to give reduced sentences to cocaine dealers while they‘re on supervision.” (emphasis added). The district court focused on Terry‘s breach of trust in failing to comply with the conditions of his supervised release and properly sanctioned him for that breach.
For the foregoing reasons, we AFFIRM Terry‘s 24-month sentence as procedurally and substantively reasonable.
OPINION
MICHAEL H. WATSON, District Judge.
Defendant-Appellant Ali Darwich (“Darwich“) was convicted of thirty-three counts of various federal crimes, including seven counts of Using Fire to Commit Fraud in violation of
I. BACKGROUND
Darwich was indicted on numerous federal crimes in connection with a fraud scheme to flood, vandalize, and set fire to several residences and businesses to collect insurance proceeds. Counts 1-12 charged Darwich with Wire Fraud, Aiding and Abetting, in violation of
At issue in this appeal is the district court‘s sentence as to Counts 28-34, which charge Darwich with using fire to commit a felony in violation of
(h) Whoever—
(1) uses fire or an explosive to commit any felony which may be prosecuted in a court of the United States ... shall, in addition to the punishment provided for such felony, be sentenced to imprisonment for 10 years. In the case of a second or subsequent conviction under this subsection, such person shall be sentenced to imprisonment for 20 years. Notwithstanding any other provision of law ... the term of imprisonment imposed under this subsection [shall not] run concurrently with any other term of imprisonment including that imposed for the
felony in which the explosive was used or carried.
In Darwich‘s pre-sentence investigation report (“PSR“), the probation officer applied
Darwich objected to the PSR‘s application of
Darwich then filed a sentencing memorandum, but he addressed only four of those six bases. He did not develop objections based on statutory construction or the Sixth Amendment. Nor did he challenge the probation officer‘s conclusion that
Darwich persisted in these four constitutional objections at sentencing. Again, however, he did not make a statutory construction argument or challenge the probation officer‘s conclusion that
The district court overruled Darwich‘s objections. It sentenced Darwich to eighty-seven months for the wire fraud, mail fraud, and conspiracy convictions, to run concurrent; ten years for the first
II. DISCUSSION
A. Counsel‘s Claim
Darwich appeals the district court‘s sentence, arguing that it erred in inter
The Government maintains that
“In determining whether we have authority to consider an argument not raised below, we distinguish between ‘waiver’ and ‘forfeiture.‘” United States v. Holland, 522 Fed.Appx. 265, 272 (6th Cir.2013). “‘Waiver’ is the intentional relinquishment or abandonment of a known right.” United States v. Hall, 373 Fed.Appx. 588, 591 (6th Cir.2010); United States v. Aparco-Centeno, 280 F.3d 1084, 1088 (6th Cir.2002). As such, “a basic failure to bring an issue to the district court‘s attention does not create waiver. Rather, waiver requires some affirmative act that shows a party has willfully declined to assert a right.” Holland, 522 Fed.Appx. at 272 (citation omitted). For example, it is well established that “the withdrawal of an objection would constitute a waiver.” Hall, 373 Fed.Appx. at 592. “But we have never held that a defendant must make an objection, then withdraw it, before [a] point can be waived.” Id. Indeed, “[a]n attorney cannot agree in open court with a judge‘s proposed course of conduct and then charge the court with error in following that course.” Aparco-Centeno, 280 F.3d at 1088 (citation omitted); see also, Hall, 373 Fed.Appx. at 592 (citing Aparco-Centeno); United States v. Smith, 749 F.3d 465, 494 (6th Cir.2014) (citing Aparco-Centeno); United States v. Turner, 436 Fed.Appx. 582, 586 (6th Cir.2011) (citing Hall). Waived claims are not reviewable. Hall, 373 Fed.Appx. at 592; Aparco-Centeno, 280 F.3d at 1088. In contrast, “[f]orfeiture occurs when a party fails ‘to make the timely assertion of a right,‘” and we review forfeited claims for plain error. United States v. Rodriguez, 544 Fed.Appx. 630, 633 (6th Cir.2013).
The record confirms that Darwich waived his claim as to the statutory interpretation of
Darwich reiterated his constitutional objections at the sentencing hearing but again did not challenge the conclusion that the statute required a mandatory minimum sentence of 130 years.3 In fact, he
We have previously found a defendant to have waived a claim under similar facts. In Hall, the defendant challenged the district court‘s application of a sentencing enhancement pursuant to the Armed Career Criminal Act. 373 Fed.Appx. at 591. Although the defendant‘s counsel had previously reserved the right to dispute the enhancement at sentencing, he instead argued that the prosecutor should have exercised more prosecutorial discretion. In so arguing, the defendant‘s counsel conceded the applicability of the enhancement and admitted that the defendant was subject to a mandatory minimum. We found this to constitute waiver of the defendant‘s argument as to the sentencing enhancement. The defendant argued that he could waive his argument only by objecting to the enhancement and then making an actual, affirmative withdrawal of that objection. He maintained that his counsel merely failed to renew his objection when given the opportunity, rendering his claim forfeited rather than waived. Id. We rejected this argument, finding that by “acknowledging] the accuracy of the court‘s [enhancement] determination and reiterating] the applicability of the statutory 15-year mandatory minimum at sentencing,” the defendant waived any claim that the enhancement should not apply. Id.
Similarly, defense counsel‘s statements in his sentencing memorandum and at the sentencing hearing in this case represent a concession in open court that the probation officer and the district court accurately interpreted
In sum, Darwich has waived any argument that the district court improperly interpreted
B. Darwich‘s Pro Se Brief
About one month after Darwich‘s counsel filed an appellate brief on Darwich‘s behalf, Darwich filed his own supplemental brief6 in which he requests we vacate his conviction and sentence on the grounds that: (1) he was subject to selective prosecution; (2) he was denied the right to a fair trial by a jury of his peers; (3) the district court erred in determining he breached his immunity agreement with the Government; and (4) the district court erred in denying him funds to obtain a private investigator.7
1. Selective Prosecution
Darwich, who is of Lebanese descent and Muslim faith, claims he was subject to selective prosecution on the basis of his ethnicity and religion. He argues the Government chose to prosecute the Arab participants in the insurance fraud scheme while foregoing prosecution of more culpable Caucasian and African American participants. Darwich moved to
Darwich also made various pro se motions discussing selective prosecution. Finding no evidence of such a claim, the district court granted the Government‘s motion in limine precluding him from discussing the issue at trial.
To the extent Darwich intends to challenge the district court‘s failure to dismiss his indictment on selective prosecution grounds, we review such a claim for clear error. United States v. Jones, 399 F.3d 640, 644 (6th Cir.2005) (citation omitted).
“Prosecutors have great discretion when determining which cases to prosecute.” United States v. Brimite, 102 Fed.Appx. 952, 955 (6th Cir.2004) (citation omitted). “As long as the prosecutor has probable cause to believe that an accused has committed an offense defined by statute, decisions regarding whether to prosecute and what charges to file generally rest entirely within the prosecutor‘s discretion.” Id. (citation omitted). “However, the decision to prosecute may not be based on a defendant‘s race, sex, religion, or exercise of a statutory or constitutional right.” Id. (citation omitted).
To prevail on a selective prosecution claim, a defendant must show that the federal prosecutorial policy had both a discriminatory effect and a discriminatory intent. To establish discriminatory intent in a case alleging selective prosecution based on race, a claimant must show that the prosecutorial policy was motivated by racial animus; to establish discriminatory effect, the claimant must demonstrate that similarly situated individuals of a different race were not similarly prosecuted. Jones, 399 F.3d at 645 (citation omitted).
Darwich has failed to establish either discriminatory intent or discriminatory effect. Regarding discriminatory intent, Darwich claims that the Government prosecuted him only because it believed he was funding a terrorist organization in Lebanon, not because it was interested in prosecuting the fraud scheme. Darwich fails to support this bare allegation. Rather, the evidence before the district court, including Darwich‘s statements to investigators, establishes that the Government had probable cause to believe that Darwich played a pivotal role in the insurance fraud scheme. Regarding discriminatory effect, Darwich alleges that the Government chose not to prosecute the more culpable Caucasian and African-American participants in the fraud scheme and specifically points to the Government‘s decision not to prosecute Sydney Chavetz. However, Darwich presents no evidence indicating any of these individuals were similarly situated as is required to establish discriminatory effect.
In sum, Darwich‘s unsubstantiated claims that he was targeted for prosecution as an Arab Muslim are insufficient to establish selective prosecution, and therefore, the district court did not clearly err in failing to dismiss the indictment on that ground.
To the extent Darwich intends to challenge the district court‘s order granting the Government‘s motion in limine precluding him from discussing selective prosecution at trial, we find the district court correctly granted the Government‘s motion in limine, as “the defense of selective prosecution is a matter that is inde
We therefore decline to vacate Darwich‘s conviction or sentence on the ground of selective prosecution.
2. Right to a Fair Trial by a Jury of his Peers
a. Batson Claim
Darwich next argues that the Government‘s peremptory challenge to the only “Arabic” juror violated his rights as outlined in Batson v. Kentucky, 476 U.S. 79, 106 S.Ct. 1712, 90 L.Ed.2d 69 (1986).
“In Batson v. Kentucky ... the Supreme Court held that the Equal Protection Clause forbids the prosecution‘s use of peremptory challenges to exclude jurors on the basis of race.” United States v. Simon, 422 Fed.Appx. 489, 493 (6th Cir.2011).
When a party raises a Batson challenge, courts must perform a three-step analysis. First, the trial court must determine whether the defendant has made a prima facie showing that the prosecutor exercised a peremptory challenge on the basis of race.... Once a prima facie case is established, the burden shifts to the prosecutor to present a race-neutral explanation for striking the juror in question.... [A]s a final step, reviewing courts must assess the prosecutor‘s credibility, weigh the strength of the prosecution‘s asserted justification against the defendant‘s prima facie case, and determine whether a defendant has carried his burden of proving purposeful discrimination in light of all relevant circumstances, including comparative juror analysis and arguments related to pretext. Id. (internal quotation marks and citations omitted). “On direct review, ‘the trial court‘s decision on the ultimate question of discriminatory intent represents a finding of fact of the sort accorded great deference on appeal’ and will not be overturned unless clearly erroneous.” United States v. Odeneal, 517 F.3d 406, 419 (6th Cir.2008) (citation omitted).
Darwich claims that: (1) he objected to the Government‘s peremptory challenge to the only “Arabic” juror in the venire based on discrimination; (2) the district court overruled his objection on the ground that another Arabic speaking juror remained; and (3) in doing so, the district court accepted the Government‘s explanation for its strike without a meaningful review.
In order to review this claim, we require a transcript of voir dire.
Absent a transcript or statement of recollection, we cannot verify that Darwich “made a proper objection, preserving the issue for appeal[,] or examine the explanation, if any, the district court may have provided for its decision on the record.” Id. Accordingly, the record before us does not allow for a review of this claim, and therefore, the issue is waived. See id. (internal quotations and citations omitted); see also, Lane v. City of Jackson, 86 Fed.Appx. 874, 874 (6th Cir.2004) (finding the appellant waived his sufficiency of the evidence claim where he did not supply the court with a trial transcript, move for the preparation of a transcript at the government‘s expense, or prepare an appropriate statement of evidence under
b. Fair Cross-Section Claim
Darwich also argues he was denied his Sixth Amendment right to a jury chosen from a fair cross-section of the community. “Whether a defendant has been denied his right to a jury selected from a fair cross-section of the community is a mixed question of law and fact, which we review de novo.” United States v. Suggs, 531 Fed.Appx. 609, 618 (6th Cir.2013) (citation omitted).
The Sixth Amendment requires that a jury venire represent a fair cross-section of the community. Id.
To show a prima facie violation of this requirement, [a defendant] must demonstrate “(1) that the group alleged to be excluded is a ‘distinctive’ group in the community; (2) that the representation of this group in venires from which juries are selected 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, 99 S.Ct. 664, 58 L.Ed.2d 579 (1979). Exclusion is “systematic” if it is “inherent in the particular jury-selection process utilized.” Id. at 366. Once a defendant establishes a prima facie case, the government has the burden to justify the “infringement by showing attainment of a fair cross section to be incompatible with a significant state interest.” Id. at 368.
Darwich claims he asserted a fair cross-section objection at the same time that he asserted his Batson objection. Without a transcript of voir dire, however, we cannot determine whether Darwich in fact made a proper objection that is preserved for appeal. Nevertheless, even assuming he did, his claim fails on the merits.
Darwich claims that his jury pool did not consist of a fair cross-section of eligible Arab and Muslim peers and that the jury selection procedures in the Eastern District of Michigan systematically exclude Arab and Muslim citizens from the district‘s jury pools. Darwich‘s claim fails because he has not presented any evidence of the elements required to establish a prima facie violation. Rather, his entire argument is based on conclusory allega
3. Breach of Immunity Agreement
Darwich next argues the district court erred in determining that he breached his immunity agreement with the Government.
Two main types of immunity the Government may offer a suspect in return for his disclosure of information are transactional immunity and use immunity. Transactional immunity “is full immunity from prosecution for any offenses to which [the suspect‘s] testimony relates.” United States v. Fitch, 964 F.2d 571, 575 (6th Cir.1992) (citation omitted). In contrast, use immunity precludes only the use of the suspect‘s statements in a prosecution against him. Kastigar v. United States, 406 U.S. 441, 453, 92 S.Ct. 1653, 32 L.Ed.2d 212 (1972). An immunity agreement granting a defendant use immunity is commonly referred to as a Kastigar agreement. “The conditions that will constitute a breach of the immunity agreement are governed by the agreement itself.” Fitch, 964 F.2d at 574 (citation omitted). The Government bears the burden of proving a breach, and the breach must be material and substantial. Id. (citation omitted). “Although an inadvertent omission or oversight would not rise to the level of a materially false statement so as to constitute a breach of the agreement, a bad faith, intentional, substantial omission ... does constitute a materially false statement and thereby a breach of an agreement.” Id. (citation omitted).
On May 13, 2009, Darwich signed a document granting him some level of immunity from prosecution. On May 22, 2009, FBI agents interviewed Darwich. Thereafter, Darwich was charged with one count of conspiracy to commit arson and two counts of arson.
Darwich moved to dismiss the indictment, or in the alternative limit the admissibility of any statement he made to law enforcement at the May 22nd meeting, on the ground that he believed the Government granted him transactional immunity. The district court held an evidentiary hearing to determine: (1) the type of immunity agreement that existed between the Government and Darwich; and (2) whether Darwich breached that immunity agreement. The Government argued that the document Darwich signed on May 13th was a Kastigar agreement granting him use immunity and that Darwich breached that agreement by making materially false statements and omissions during his May 22nd proffer. Darwich attempted to establish that he signed a document granting him transactional immunity. He argued that the Government conspired with his counsel to either forge his signature on a separate Kastigar agreement or change the substance of the transactional immunity agreement after he signed it.
The district court ultimately determined that the agreement Darwich signed on May 13th was a Kastigar letter granting him use immunity and that Darwich failed to prove the existence of a transactional immunity agreement. Thus, it denied Darwich‘s motion to dismiss.10 The district court then determined that Darwich substantially and materially breached that Kastigar agreement by intentionally making false statements and omitting relevant facts during his May 22nd proffer. Following multiple motions by Darwich challenging these determinations, the district court granted the Government‘s motion in limine preventing Darwich from discussing the alleged transactional immunity agreement at trial.
Darwich now argues the district court erred in determining that he was not granted transactional immunity and in finding that he breached whatever immunity agreement he did have. Repeating the same argument he made before the district court, he first contends the Government granted him transactional immunity. Because he does not cogently develop an argument to that effect, however, we decline to disturb the district court‘s finding that the only immunity agreement that existed between Darwich and the Government was that for use immunity as outlined in the Kastigar letter.
Darwich next argues the district court erred in finding that he substantially and materially breached his immunity agreement. It did not. The Kastigar agreement required Darwich to “make a complete and truthful statement of his knowledge of (and role in) the matters under investigation, and to fully and truthfully answer all questions.” It explicitly
The district court found that Darwich breached the agreement by: (1) failing to provide information regarding his alias, Abdullah Derbas; (2) intentionally lying to or misleading agents regarding their investigation into the marriage of Fatima Toufaili11 and the paternity of her eldest child; (3) intentionally omitting or downplaying Toufaili‘s involvement in the arsons; (4) failing to provide any information regarding the involvement of “Tony,” “Playboy,” Rabih Ali, Mazen Mazraani, and possibly others; (5) failing to volunteer details regarding all of the properties involved in the various arsons; and (6) misrepresenting his business. The district court also pointed to Darwich‘s tape recorded post-proffer admissions to his wife that he had lied to the Government as evidence that Darwich did in fact breach the agreement by lying to federal officials.
Citing Fitch, 964 F.2d at 571, Darwich argues that his lies were just a thinly
Accordingly, to the extent Darwich challenges the district court‘s denial of his motion to dismiss the indictment based on an alleged immunity agreement, we find that the district court‘s determination that he substantially and materially breached his Kastigar agreement was not clearly erroneous. See id. at 574 (applying the clearly erroneous standard to review of district court‘s decision as to whether the defendant breached his immunity agreement). To the extent Darwich challenges the district court‘s order granting the Government‘s motion in limine precluding him from discussing the alleged transactional immunity agreement at trial, we cannot find that the district court abused its discretion in preventing discussion of an immunity agreement that it found did not exist. See Abboud, 438 F.3d at 579 (reviewing evidentiary rulings for abuse of discretion). We therefore decline to vacate Darwich‘s conviction and sentence on this ground.
4. Funds for a Private Investigator
Lastly, Darwich argues the district court denied him due process and a fair trial by denying his requests for funds for a private investigator (“PI“) pursuant to
“We review the district court‘s denial of an indigent defendant‘s request for authorization for investigative services under
Throughout the pendency of his case, Darwich made numerous motions requesting funds for a PI. The district court denied all of those motions for failure to establish necessity. Darwich does not specify the orders of which he seeks review, but we find that the district court did not abuse its discretion in denying any of Darwich‘s
The district court likewise did not abuse its discretion in denying Darwich‘s later motions for a PI. Although his later motions specified the various topics that he intended the PI to investigate and the various tasks he required the PI to undertake, a review of those reasons and tasks confirms that Darwich still failed to establish necessity because he sought “information as to issues already definitively decided by the court, information which is irrelevant, or, most prominently, information which could be obtained through Defendant‘s stand-by counsel.” Furthermore, we agree with the district court that Darwich failed to show that his stand-by counsel was incapable of completing, or at least starting, the tasks for which Darwich sought a PI.
Accordingly, although Darwich was indigent, he failed to show through any of his motions that appointment of a PI, especially in light of his stand-by counsel, was necessary to mount a plausible defense. The district court thus did not abuse its discretion in denying any of Darwich‘s motions for a PI, and we decline to vacate his judgment of conviction or sentence on this ground.
III. CONCLUSION
For the foregoing reasons, we AFFIRM the district court‘s judgment.
