OPINION OF THE COURT
In' these appeals, Alphonso Brooks and Charles Reed, the appellants, challenge their convictions for participating in a conspiracy to manufacture and distribute con
I
The indictment in this case charges that a number of persons engaged in a single conspiracy to manufacture and distribute methamphetamine, a non-narcotic controlled substance, in violation of 21 U.S.C. § 846. One member of the group, Robert Barron, became a government witness and the other nine were indicted. Barron appears to have been the chief distributor. He received the drugs from two sources: from Reed, one of the appellants here, and from Rick Jones. Brooks, the other appellant, worked with Jones as a chemist, helping to manufacture the drugs and to obtain the needed supplies. The other defendants were distributors of the drugs; none of them has appealed. 1
On August 5, 1981, the appellants and their seven co-defendants were indicted. The appellants were charged in the conspiracy count only. Five days after the indictment was filed, the defendants were arraigned. On September 8, counsel for Reed moved to extend the time for filing pre-trial motions. This motion was granted on September 29. On October 1, the court sua sponte ordered a further continuance, concluding that the “ends of justice” served by granting the continuance outweighed the interest of the defendants and the public in a speedy trial because of the complicated nature of the case and the fact that some of the defendants had not yet obtained counsel. A trial date of February 16, 1982 was eventually set. 2 Prior to trial, counsel for both Brooks and Reed moved to have the case dismissed for violation of the Speedy Trial Act. These motions were denied by the district court, and the case proceeded to trial before a jury. Both Brooks and Reed were found guilty.
Brooks and Reed raise several challenges to their convictions. Although we have considered all of their claims, only two will be discussed in detail. They first argue that the court’s sua sponte continuance deprived them of their rights under the Speedy Trial Act. Second, they allege that the proof adduced at trial did not establish that Reed was part of the same conspiracy as Brooks and Jones; rather, appellants claim that they were two separate and competing drug manufacturers. Inasmuch as the indictment charged a single, unified conspiracy, Brooks and Reed assert that this was a prejudicial variance which warrants setting aside their convictions.
II
Since the defendants were arraigned on August 10, 1981, if no time were excluded between that date and the date of trial, the Speedy Trial Act would have required trial to commence no later than October 19,1981 —seventy days from the date of the arraignment.
See
18 U.S.C. § 3161(c). On October 1, 1981, the district court granted the continuance that is at issue here, and the trial did not begin until February 16, 1982—190 days after the defendants’ first appearance in court. Brooks and Reed argue that the delay time caused by the continuance is not excludible under the Act, because the district court did not properly set forth its reasons for granting the continuance. Even if the court’s statements explaining the delay do satisfy the statute’s procedural requirements, the appellants further contend that the reasons set forth by the trial court are substantively insufficient to justify a continuance. If they are
Congress enacted the Speedy Trial Act to “give effect to the Sixth Amendment right to a speedy trial” by setting specified time limits after arraignment or indictment within which criminal trials must be commenced. 3 H.R.Rep. No. 1508, 93d Cong., 2d Sess. (1974), reprinted in 1974 U.S.Code Cong., & Ad.News 7401, 7402. A defendant must be brought to trial within seventy days following his indictment or first appearance before the court, whichever occurs later. 18 U.S.C. § 3161(c). 4 If this deadline is not met, the Act requires the district court to dismiss the indictment, either with or without prejudice. 18 U.S.C. § 3162(a)(2). Certain periods of delay are excluded from the calculation of the seventy-day time limit, including “[a]ny period of delay resulting from a continuance ... if the judge granted such continuance on the basis of his findings that the ends of justice served by taking such action outweigh the best interest of the public and the defendant in a speedy trial.” 18 U.S.C. § 3161(h)(8)(A). The Act provides that the district court may grant such a continuance sua sponte. Id.
The district court is required to set out its reasons for granting an “ends of justice” continuance on the record, either orally or in writing. 18 U.S.C. § 3161(h)(8)(A). If this is not done, the time is not excludible.
See United States v. Carrasquillo,
(i) Whether the failure to grant such a continuance in the proceeding would be likely to make a continuation of such proceeding impossible, or result in a miscarriage of justice.
(ii) Whether the case is so unusual or so complex, due to the number of defendants, the nature of the prosecution, or the existence of novel questions of fact or law, that it is unreasonable to expect adequate preparation for pretrial proceedings or for the trial itself within the time limits established by this section.
* * * * * *
18 U.S.C. § 3161(h)(8)(B).
Two purposes are served by the requirement that district courts set forth their reasons for granting an “ends of justice” continuance. First, Congress wanted to insure that a district judge would give careful consideration when balancing the need for delay against “the interest of the defendant and of society in achieving speedy trial.” S.Rep. No. 1021, 93d Cong., 2d Sess. 39 (1974). Second, the requirement provides a record so that an appellate court may review the decision.
United States v. Molt,
The first reason printed on the form is “[t]he failure to grant such a continuance ... would be likely to make a continuation of such proceeding impossible, or result in a miscarriage of justice.” This is one of the factors Congress insists that the court consider. It is, however, a highly subjective and extremely broad guideline. It supplies the appellate court with little or no indication of the factual basis which prompted the district judge to grant the continuance. 5
A second reason is provided by the form: that “[t]he case taken as a whole is so unusual and so complex, due to the number of defendants or the nature of the prosecution and other complexity, that it is unreasonable to expect adequate preparation within the periods of time established.” This provision is more helpful to a reviewing court than the first reason, since it does give some indication of the problems raised by the actual situation presented. Because the statement combines several factual concerns, however, not all of which may be relevant to the district court’s decision in any given case, it still may not be sufficient, by itself, to provide clear enough explication of the district court’s reasoning to enable an appellate court properly to review the decision to grant a continuance. For the reason set forth below, we need not reach the difficult question whether this statement alone is a sufficiently articulated “reason” to satisfy the statute.
In the present case, the form, when read together with the later statement made by the district court explaining in greater detail its reasons for granting the continuance, satisfies the requirements of the Act. Four months after the continuance was issued, the appellants each moved to have the indictment dismissed, alleging that the court had failed to comply with the provisions of the Speedy Trial Act. In a memorandum order dated February 9,1982, the district court explained in great detail the basis for its initial decision. It emphasized that this was a complex case which alleged a drug manufacturing and distribution conspiracy involving nine people at various levels of production, and four substantive counts of possession and distribution at different times involving various members of the conspiracy. The court also noted that, at arraignment, not all defendants had yet secured counsel. In addition, it appeared that discovery had not been completed by the time the continuance was granted.
The memorandum opinion by the district court was not issued until after the seventy-day period for trial would have run, if the period of the continuance was not considered excludible time. Appellants contend that the district court cannot, after the seventy days has passed, justify previous periods of delay and thereby extend the Speedy Trial Act deadline. For this proposition, they rely on our opinion in
United States v. Carrasquillo,
Although the district court must decide initially whether to grant a continuance, we did not, in
Carrasquillo,
require that the reasons for the decision be entered on the record at the same time that the decision is made. The language of the statute does not specify when the court’s findings must be recorded, and the purposes of the statute are satisfied by a subsequent articulation. The judge’s later statements explaining his decision serve both to create a record for review and to demonstrate that he has given the matter the careful consideration which the Act requires. We therefore agree with our colleagues on the District of Columbia and Eighth Circuits that the Act does not require a contemporaneous recording of reasons.
United States v. Clifford,
Appellants argue that the trial court’s actions, even if they comply with the “reasons” requirement, are factually insufficient to justify the continuance that was granted. The district court determined that the case was too complex to go to trial within seventy days, and that additional time was also necessary because not all defendants had yet retained counsel. Our inquiry is limited to the question whether the district court abused its discretion in granting this continuance.
See United States v. Faison,
Ill
Brooks and Reed also argue that there was a prejudicial variance between the indictment and the proof that was advanced at trial. The indictment charged a single conspiracy, but the appellants claim that the evidence established that at least two conspiracies existed, one involving Jones and Brooks,
7
and another involving Reed.
A variance would occur if the evidence at trial proves the existence only of multiple conspiracies when the indictment has charged a single conspiracy. If the variance has affected substantial rights of the accused, it is prejudicial and the conviction must be reversed.
Kotteakos v. United States,
The key witness connecting Reed with Jones and Brooks was Barron, the distributor who had become a government witness. He testified that Reed and Jones had, prior to the conspiracy, been partners in distributing heroin. This statement is undisputed. There is some conflicting testimony whether that relationship was severed prior to the beginning of the conspiracy. Barron purchased methamphetamine from both Reed and Jones several times during the period covered by the indictment, although he never saw the two manufacturers together. Barron also testified that he often purchased the drugs at a small store in Philadelphia that he believed was operated jointly by Jones and Reed, and it appears from his testimony that he bought methamphetamine from both of them at that location. He discussed the dealings he had with each of them with the other many times. Also, on at least one occasion, Barron went to Jones to purchase drugs and Jones sent him to Reed instead. Finally, Barron testified that during one
While this evidence does not establish that Jones and Reed were actually partners, it is sufficient to sustain a finding that they were, in essence, “joint venturers.” Each operated his own laboratory, but they shared a distribution network. Their “common goal” was to facilitate the sale of the entire supply of methamphetamine. This is not the same as two thieves who happen to use the same “fence,” an arrangement which in Kotteakos was determined not to be a single conspiracy. In the “fence” situation, neither thief may be affected by the existence of the other, whereas it appears that the drug dealers here actually worked to assist each other’s business.
In
United States v. Kenny,
It is possible to read the evidence to suggest that the appellants acted independently, as they now contend. Our role, however, is not to say how we would have construed the testimony had we been the factfinder. Instead, we must ascertain whether, in the light most favorable to the government, there is substantial evidence in the record to support the jury’s finding that a single conspiracy existed. We conclude that there is.
IV
Appellants mount a series of additional attacks on their convictions. Brooks claims that the district court erred in refusing to grant a continuance, and in charging the jury concerning multiple conspiracies. Reed challenges the district court’s denial of his requests for a severance and the jury instruction on accomplice testimony. After giving careful consideration to each of these claims, we conclude that they are without merit. Accordingly, the convictions of Brooks and Reed will be affirmed.
Notes
. Prior to trial, guilty pleas were entered by four of the defendants, and the government dropped charges against two others.
. The court’s original order did not specify when the trial would begin.
. The Sixth Amendment provides: “In all criminal prosecutions, the accused shall enjoy the right to a speedy and public trial ...” U.S. Const, amend. VI. The protections of the Act go beyond those secured by the amendment, since the Constitution does not require that a trial commence within a specified time.
See Barker v. Wingo,
. During the first year the Act was in effect, the period within which the defendant had to be brought to trial was 180 days. During the second year it was 120 days, and in the third year, eighty days. 18 U.S.C. § 3161(g). The Act originally provided that, after this three-year phase-in period, trials had to commence within sixty days. This section was amended in 1979 to establish the current seventy-day time limit.
. We need not reach the issue whether such a statement standing alone would suffice because, in our case, more appears.
. To the extent that appellants base their claims on the Eastern District of Pennsylvania’s 1980 “Plan for Prompt Disposition of Criminal Cases,” we direct attention to Section II(10)(a) of the Plan which states: “Nothing in this plan shall be construed to require that a case be dismissed or a defendant released from custody in circumstances in which such action would not be required by 18 U.S.C. §§ 3162 and 3164.” (footnote omitted). It appears that the appellants did not raise the issue of the Eastern District Plan before the trial court.
. Brooks also asserts that there was insuffi
. Because we determine that the evidence is sufficient to support a finding that Reed and Jones acted together, we need not address appellants’ questionable proposition that competitors cannot be co-conspirators. We note in passing, however, that the antitrust laws assume that such conspiracies can occur. See,
e.g., Goldfarb v. Virginia State Bar,
