Opinion for the court filed PER CURIAM.
The five appellants challenge their convictions and sentences on various counts of *339 criminal activity involving drugs, guns and violence. For the reasons set out below, we affirm their convictions and their sentences in toto.
I. Facts
This case is a story of mayhem and disorder in and around the 200 block of K Street, Southwest, in the District of Columbia from the 1980s until 1998. Underlying the violence was appellants’ organized and massive business of selling drugs, for which they stand convicted of participating in a narcotics conspiracy to distribute over 1,000 kilograms of marijuana. According to evidence believed by a jury, that drug business led to an astonishing amount of violence and a seemingly complete repudiation of civil society and respect for human life. Individual appellants in this case, sometimes acting in concert, stand convicted of the murders of eleven people: Melody Anderson, Anthony Fortune, Alonzo Gaskins, Chrishauna Gladden, Maurice Hallman, Leonard Hy-son, Terita Lucas, Darnell Mack, Teresa Thomas, Donnell Whitfield, and Larry Wright. Some appellants also were convicted for numerous attempted murders, crimes of violence, and firearms offenses. All appellants were convicted for a racketeering conspiracy.
The beginning of the end of the KL Street drug network came in late 1995, when the Federal Bureau of Investigation (“FBI” or “Bureau”) started a comprehensive investigation into illegal drug sales in the area. FBI Special Agents set up an observation post from an apartment overlooking the 200 blocks of K and L Streets, Southwest, and started videotaping drug transactions, sometimes taping transactions they initiated through undercover work but often capturing unsolicited purchases. FBI video cameras captured appellants Vincent Hill, Jerome Martin, Samuel Carson, and Sean Coates in the midst of drug transactions, and an undercover Metropolitan Police Department (“MPD”) officer made several controlled purchases of marijuana from appellants Hill and Martin. Appellant William Sweeney was incarcerated when some of these purchases took place.
The FBI’s investigation lasted three years and suggested a long history of drug-dealing and an extraordinary breadth of violent acts. Crucial to the government’s case was testimony from former associates of appellants and nearby residents — testimony that was undoubtedly difficult to obtain given evidence, as discussed below, that some of the appellants have a history of murdering or attempting to murder potential witnesses against them. Not every detail is known about appellants’ lengthy pattern of lawlessness that preceded their indictment in 1998. Largely recounting the testimony of those cooperating witnesses, we provide below a chronological overview of the vast drug activity and violent acts underlying the jury’s guilty verdicts. Our summary is by no means exhaustive of all facts underlying that activity. It serves to set the factual background upon which we later build in the analysis section of our opinion, where we address in greater detail the facts needed to understand appellants’ specific challenges.
A. Factual Background.
This story begins with the criminal actions of appellant Vincent Hill. Several associates of appellants, cooperating with the government either voluntarily or pursuant to plea agreements, testified at trial that they grew up learning to sell drugs from Hill beginning as early as ages eleven to fourteen. One cooperating witness described it as a “big brother/little brother relationship,” where he would beat up others at age eleven, get congratulated by *340 Hill, be promoted to the role of “lookout” where he could protect Hill’s drug activity, and eventually “graduat[e] into [dealing] drugs as the other guys” did. Hill would sell drugs in Southwest D.C. and have other individuals sell drugs for him, providing binoculars and walkie-talkies so that his underlings could warn him if police were approaching.
By the 1990s, appellants and a number of individuals (collectively, the “K Street dealers” or “K Street members”), were selling marijuana in and around the 200 block of K Street, Southwest, which continued through 1998. Over time, the K Street dealers developed an increasingly large and loosely organized drug-selling network. For example, as one seller described it, the group would “go in a sequence,” with each seller taking a turn in serving the next arriving buyer. If a buyer “was to pull off with somebody’s bag” and without paying, the dealers would “yell down the street” and “before that car could get out of the area somebody would have thrown a brick ... [or] bottle” and, “[i]f someone had a gun at night ... they would actually fire at the car.”
The K Street dealers sold marijuana in and around K Street throughout the morning, afternoon, and evening. During 1994 and 1995, appellant Hill made the most money out of the group, taking in approximately $200 to $1,000 per day selling drugs. By 1996, appellant Hill made roughly $3,000 to $4,000 in illicit profits per week, while appellants Coates, Martin, and Sweeney made a little less. In addition to dealing marijuana, appellants Carson and Sweeney would help supply other members of the group. Perhaps predictably, appellants’ drug-dealing was surrounded by a culture of violence and intimidation, which, according to the evidence introduced at trial, grew each year.
i. 1989.
The widespread violence that runs through this case begins in 1989 with the murder of Larry Wright, a victim in a drug-dealing turf war. A local dealer, Andre Murray, testified at trial that he and Tyrone Brawner sold drugs together at First and P Streets, Southwest, while appellant Hill, along with Wayne Perry, sold drugs in another part of the K Street neighborhood. In the beginning of the summer of 1989, Murray testified, Wright was released from prison and resumed dealing drugs, but did so on what Murray and Hill viewed as the wrong side of K Street. A short time later, on the evening of June 29, 1989, Murray heard gunshots fired and saw Hill at the corner of First and O Streets, Southwest, running away. Larry Wright had been murdered. 1
Several murders followed. In late 1989, Carson, along with another K Street dealer who cooperated with the government, James Montgomery, murdered Maurice Hallman as revenge for a previous fight. According to Montgomery, while Montgomery was “hustling” on Delaware Avenue, Southwest, Hallman punched him, at first in a playful manner and in an effort to show off to appellant Hill. Montgomery asked Hallman to stop. When he did not, Montgomery “put [his] stash down and ... came back and ... hit him ... to the body hard.” Hallman, Montgomery testified, “got mad” and hit Montgomery on the head with a gun. That altercation prompt *341 ed Montgomery to tell Hallman, in front of several witnesses, that he was “going to get him.” Appellant Carson chided Montgomery for having “threatened [Hallman] in front of other people” and suggested that “if something happened to [Hallman], then [Montgomery] would be the first one they would come and get.” Montgomery then apologized to Hallman in front of “everybody” so “everybody could see that [they] made up.”
That apology did not go far. Montgomery killed Hallman on December 19, 1989. According to his own testimony, Montgomery was in possession of Hallman’s gun and used it to lure him to an alley— “somewhere where [he] could kill him.” Carson accompanied Montgomery. Another individual, Leonard Hyson, was present and would not leave, despite Carson’s request that Hyson “go ahead about his business.” Montgomery shot Hallman until he ran out of bullets. When he was done, he saw Hyson lying on the ground, with Carson walking away. Montgomery later told Carson that when he was shooting Hallman, he had not heard Carson’s gun go off. Carson told him “that’s because he’s sharp” and that “he hit [Hyson] in the head six times before he hit the ground.” 2
ii. 1990.
Norman Yusuf Simmons, then only fifteen years-old, was kidnapped by appellant Coates and other individuals on April 28, 1990. Simmons was riding a bike in a park when two individuals approached him with semi-automatic weapons. They forced Simmons into a car, drove him to a mall, and eventually to an apartment complex. Simmons was placed into a trunk, and then into a second car. He was driven to another apartment, asked at gunpoint for contact information from his family, and then put in a closet. Simmons was eventually taken to a wooded area and bound with black electrical tape. Thereafter, his captors brought him to a parking lot, where he was informed that his family had paid a ransom.
iii. 1991.
In 1991, appellant Carson stored an AK~ 47 and other guns at the home of Teresa Thomas, with whom he was in a romantic relationship. Seventeen year-old Teresa lived with two infant daughters, her eighteen year-old sister Terita Lucas, and another woman, Crystal Bobbitt. Carson asked Thomas to return the AK-47, but according to Montgomery, Thomas “kept giving [Carson] excuses” about the gun. Appellant Martin accused Carson of “going soft over a broad” and suggested that Thomas was “going to end up letting [Carson] get killed by his own gun.” The father of one of Thomas’s daughters was a man from the 5th and 0 Street neighborhood, and apparently Martin was concerned that this man would take Carson’s guns from Thomas’s apartment and use them against him. Carson told Bobbitt that he did not “trust” the man having “a gun on him” and thus “had to stay strapped” when he visited. Bobbitt saw about five guns stored in a bag under Thomas’s bed. 3
*342 On March 22, 1991, Bobbitt returned to the apartment after having spent the previous night with family in Maryland. Entering with her child, she saw what appeared to be “all this juice in the room,” and soon discovered that she was, in fact, seeing not juice, but blood. Bobbitt found Thomas dead, with Thomas’s daughter still alive under Thomas’s body. Bobbitt ran to seek help. Police officers arrived to find Thomas and Lucas dead, with three young children alive in the apartment. There were no signs of a forced entry. Pictures of Carson that had been in the apartment were missing.
According to Montgomery, Carson initially denied being responsible for the double murder. Later, Carson described to Montgomery what happened. Carson went to Thomas’s apartment and “kept asking her about the gun,” and Thomas “kept on saying that she’ll get the gun for him, but she couldn’t get it right now because it was behind a lot of stuff, and she didn’t want to wake her kids up.” Thomas “kept giving him excuses,” and so Carson went to the bathroom, came out, and “shot her in the head.” Next, he murdered Lucas. Lucas was in her bed, and as she was “lifting up, and before she opened her eyes,” Carson “shot her in the head, and she just laid back down.” Carson then fled to a waiting car driven by Clifton Edwards.
Carson shot and killed Anthony Fortune in August 1991, after a dispute between Martin, Carson, and Fortune in a craps game. Carson described the killing to Montgomery, recalling that he had shot Fortune and after Fortune fell Carson “went over top of him [sic] and hit him some more.” A witness saw Martin and Carson earlier, and heard Martin talking about how he “didn’t like Tony Fortune robbing people, and [how Fortune] would kill your mother.” Later that evening, the witness saw Carson “walking towards Tony Fortune, shooting.” Carson “then stood over [the] top of him and shot him.” 4
Curtis Buchmon, a friend and associate of appellants Martin and Carson, was murdered on September 3, 1991. Appellants Martin and Carson, along with others, believed that Buchmon was killed in retaliation for Fortune’s murder. Martin, Montgomery, and others engaged in an initial unsuccessful attempt to, from Montgomery’s perspective, go “shoot somebody” and “get some get-back for them killing” Buchmon. They ended up shooting at a white minivan, but fled after the van sped off. On September 10, 1991, their next attempt to seek revenge ended in a shootout with the MPD. The group found two people they were looking for, but their targets began to run away. Soon thereafter, a car passed the group’s van, and began shooting at them. But Montgomery saw more shots coming at them from another direction. Someone who looked like a security guard was shooting at Martin, and Martin, along with other occupants of the van, returned fire.
The “security guard” was one of four MPD officers who witnessed the shoot-out and returned fire into the van. Police found the van abandoned in the 1300 block of 45th Place, Southeast, riddled with bullet holes. A D.C. driver’s permit issued to “Jerome Martle,” apparently belonging to *343 appellant Jerome Martin, was found in the driver’s side door. Police found six sets of fingerprints in the van, three of which matched the known fingerprints of Montgomery and appellants Martin and Carson.
iv. 1992.
Several months later, there was yet another shooting. When appellant Coates heard that a man named Michael Jones was planning to testify against one of Coates’s associates, Coates told others that “we need to get him.” Coates, along with other individuals, shot Jones multiple times on June 28, 1992. Jones survived.
v. 199S.
Coates, Sweeney, and others continued to engage in violent acts during 1993. At about 2:00 a.m. in the early morning hours of a day in October 1993, a resident of Oxon Hill, Maryland was awakened to the sound of four individuals outside. When she looked out her window, she saw four men arguing with Anthony Pryor, who was in a truck. The men demanded that Pryor get out of the truck. When Pryor complied, the men began to fight him. Pryor started to run, until he was shot twice by one of the assailants and kidnapped. The witness did not know the identity of the kidnappers, but saw the door to the trunk of the assailants’ ear left in the street after they fled with the victim. A witness living at the Arthur Cappers housing complex in the District of Columbia testified that at around 3:00 a.m. he heard noises outside. He saw a car pull up with appellant Sweeney and other individuals in it. The car “had no trunk.” Sweeney and others got out, took off their clothes, and tossed them into a trash can. Police arrived to find the car without a trunk door and various items around it. There were bloodstains on the rear bumper, and clothing items, car parts, and duct tape were scattered all around. Fingerprints from appellant Coates were found on the car. Coates later told Montgomery that he and others “had robbed ... somebody ... and ... put them in the trunk” and “the person they kidnapped” had “ended up breaking the trunk off the car.” 5
vi.1991}.
On September 26, 1994, a witness heard several gunshots fired outside his home on K Street and saw appellant Sweeney running away from a craps game with a gun in his hand. The witness went outside and saw Donnell Whitfield dying. Another government witness talked to Sweeney pri- or to Whitfield’s death, and Sweeney indicated that Whitfield had “smacked him” at a club and that he planned to kill Whitfield because of that incident. Sweeney told the witness after the shooting that he had, in fact, killed Whitfield. 6
*344 vii. 1995.
K Street member Donald Nichols testified that in 1995 appellant Hill informed appellant Martin, along with Nichols, Swit-zer, Paul Franklin, and Gary Price, that James Coulter “needed to be killed because he was hot.” Coulter was shot in May 1995. After Coulter was shot, Nichols heard Hill tell Martin that Martin “should have used two guns” and lament the fact that Martin’s gun had jammed. Montgomery later heard Martin telling Coates and Carson, “they keep trying to push it on me,” and that “they [were] trying to say that [Martin] had something to do with [Coulter] getting shot.” Martin claimed, however, that “they can’t prove it” because he “had a mask on.” Martin attempted to discourage witnesses from testifying about the shooting of Coulter. Later, Hill told an MPD Detective that “all your snitches are going to die, including your little buddy who is over at the hospital now with four holes in him under the name of John Doe ... in Room 2299.” Coulter was in the hospital, registered under the name of John Doe, in what was supposed to have been an undisclosed room.
viii. 1996.
On June 26, 1996, a witness for the government standing in the 200 block of K Street saw Carson shoot Ulysses English. Another witness heard shots fired, saw English fall, and saw Carson running away. Carson was upset, Montgomery recounted at trial, that English told Buch-mon’s killers where Carson’s mother resided. Carson told Montgomery that if Montgomery saw English in the K Street neighborhood, he should let him know, or, “if [Montgomery] s[aw] him in a good position, to hit him” — that is, to “kill him.” When English survived, Carson told Montgomery that he did not think English “was going to snitch.”
A few months later, on August 30, 1996, Demetrius Hunter was approached by Carson and Coates about where they could buy approximately seven pounds of marijuana. Hunter took Carson and Coates, along with Ronald Horns, to an apartment in Northeast Washington, D.C. The four went into the apartment and met individuals Hunter referred to as “a Jamaican named Mark” and “a Jamaican named Joe.” Joe informed the group that he did not have all the marijuana they needed in the apartment and offered to get it from another location. Carson gave Joe $5,000 and left with Joe to retrieve the marijuana. The residents of the apartment started “playing” with firearms, according to Hunter, when Coates received a call from Carson. Carson informed Coates that he had been sitting in front of another apartment building waiting for Joe to return, but Joe was nowhere to be found. Carson returned with Raymond Washington, and Mark asked Carson and Washington to come back the next day. Mark, whose real name was Popa Mark Phillip, did not “know what’s up with Joe” because Joe had “never do[ne] that before.” But as the group began to head out, Carson pulled out a gun and opened fire on Mark and, Hunter recounted, “another Jamaican.” Washington pulled out a gun as well. The group fled the building, but Washington continued to chase Mark outside and then shot him.
A robbery that year by K Street members resulted in the triple murders of Alonzo Gaskins, Darnell Mack, and Melody Anderson. Carson, Sweeney, and other K *345 Street members went to Las Vegas in 1996 to see the Evander Holyfield/Mike Tyson boxing match. Carson saw Gaskins win about $50,000 in Las Vegas. Carson, Montgomery, and Sweeney discussed robbing Gaskins, hoping to get $250,000 and divide it three ways. They planned to use money from the Gaskins robbery to kill Thomas Fields and others from a nearby neighborhood on L Street.
Montgomery explained that the group conducted significant surveillance on Gas-kins in Temple Hills, Maryland. Then, on the day of the attempted robbery, Sweeney brought a .40 caliber Glock firearm and a stun gun, and after further preparation, the group arrived at Gaskins’s craps house. Montgomery and Sweeney jumped out of the group’s van, but Coates stayed behind. Without attempting to rob Gas-kins, Sweeney shot Gaskins, shot Mack, and then shot Anderson on his way out. When confronted by Montgomery as to why he started shooting everyone, Sweeney claimed that Gaskins was reaching for a weapon, which Montgomery disputed. 7
A feud with individuals from L Street also developed in 1996. K Street member Charles Edwards was killed by L Street member Joey Simmons in July 1996 because Edwards had publicly expressed, according to a government witness, “where he could sell his weed,” telling others that “nobody runs no blocks” and he “can sell this weed anywhere.” Simmons and Ron-aid Sowells, another L Street member, were shot in response to Edwards’s shooting. Appellants Hill and Carson, along with other K Street members, were also shot during the feud.
On October 30, 1996, Coates shot So-wells at the Anacostia Metro Station. An associate of Sowells, Eric Gordon, previously shot Coates’s associate and co-defendant, Hill, and Sowells was now in the same car that he had used to drive Gordon to and from that shooting. Carson pulled up to Sowells’s car and Coates began firing. Sowells returned fire until his gun jammed. Coates later admitted to Montgomery that he shot Sowells with Montgomery’s gun. 8
The year 1996 continued to be violent. K Street members attempted to kill several witnesses, resulting in one murder. During this time period, appellant Martin, along with Antonio Knight, had been arrested for murdering Curtis Edwards, who had been in a car with Keith Jones and Richard Burton. While in jail pending trial, Martin kept in contact with Paul Franklin. According to Franklin, in discussing the Edwards murder, Martin spoke “of two people, a female by the name of Robin, and a guy by the name of Flip.” Martin wanted to know where Robin lived and wanted Franklin to pass that information on to Carson, which he did. Although Franklin was aware that Martin *346 “wanted Robin dead” and that Robin was a witness at Martin’s trial, Franklin testified that he showed Carson where Robin’s home was. Montgomery also testified that Franklin told him Martin was trying to get in contact with Montgomery and needed Montgomery “to get on top of some witnesses for him.” 9 Carson enlisted Montgomery’s help in murdering Flip, but they were ultimately unsuccessful. 10
Appellant Carson was concerned, Montgomery recounted, that they “needed to stay on top” of “getting at these witnesses” and needed to “approach it like a full time job.” One day, Carson picked up Montgomery, bought some gardening gloves at Safeway so they would not leave fingerprints, got his gun, and left to find Robin and one other witness, Chrissy. Carson and Montgomery went to 37th Place, where they heard Robin and Chris-sy would be at a party, and went inside a vacant house to wait for their arrival. Chrissy, whose real name was Chrishauna Gladden, arrived with several friends. According to Montgomery, about an hour later when Chrissy left the party, Carson ran out, put his hood on, and fired several shots into Chrissy. Chrishauna Gladden died that night of October 5, 1996. An FBI Special Agent working on the Edwards case testified that other witnesses “were scared to death” after the murder of Gladden and several refused to testify. Martin and Knight were acquitted.
Around the same time, Maurice Proctor, indicted with appellants in this case, and Kenneth Adams were charged for a 1994 murder of Phil Clayborne, who was believed to be testifying against two K Street members. According to Arthur Rice, an inmate incarcerated with Proctor, Proctor suspected that now Adams “was cooperating [with the police] because he kept leaving the jail for no reason.” After Adams was released from prison, Rice and Proctor got on the phone with Carson, who believed Adams was living in Northern Virginia.
As described by Montgomery, Carson eventually got Adams’s phone number and was able to retrieve his address in Centre-ville, Virginia. Carson and Montgomery made six to eight trips to Centreville in planning and attempting to murder Adams, sometimes accompanied by Sweeney and Coates. Montgomery testified at trial about various attempts being thwarted. 11 The K Street members’ attempt on Adams’s life eventually ended when a cooperating witness informed the government that the K Street group knew Adams was in Centreville and was planning to kill him.
ix. 1997.
K Street members sought to kill yet another government witness in 1997, but this time proved successful. When the FBI opened its investigation in 1995, Robert Smith, one of the main suppliers of marijuana to Southwest, was immediately a focus of the Bureau’s inquiry. Smith was arrested after a sting operation and *347 agreed to cooperate, describing for the FBI his drug-related activities and several crimes of violence committed by appellant Sweeney, his relative, and Sweeney’s associates. An FBI Special Agent conducting the investigation testified that Smith and the Bureau tried “to make sure that nobody on the street thought that [Smith] was cooperating.” That effort proved unsuccessful. After Sweeney was arrested for the triple murders in Temple Hills, he realized, according to Montgomery’s testimony, that Smith was the only person he told about the murders. Carson told Montgomery that if the group “hit [Smith], then [the government] don’t have no case, but eventually, they was going to come and get us, if we don’t hit” Smith. After that, Carson and Montgomery would look for Smith when they were out and about in Southwest. Although they saw him a number of times, he was never alone.
On June 16, 1997, Carson borrowed Montgomery’s car. Later, Montgomery heard that Smith had been shot on Half Street, Southwest. Carson returned that evening and, after discussing the fact that Smith had been killed, told Montgomery, “man, trust me, we’re all right,” and returned Montgomery’s car keys. Carson directed Montgomery to stay away “from up Half Street” and “not to drive” the car if he “didn’t have to.” Smith was shot eleven times, seven of which were in the head.
B. Procedural Background.
On September 18, 1998, appellants and several others were indicted on counts of narcotics conspiracy, racketeering conspiracy, murder and other crimes of violence, nareotics trafficking, and weapons possession. Appellants moved to sever various counts and defendants, but their motions were denied. A jury trial commenced on November 15, 2000 and deliberations began on July 9, 2001. The district court dismissed pursuant to Federal Rule of Criminal Procedure 23(b)(3) one juror, which appellants challenge on appeal. Throughout July and August 2001, the jury returned guilty verdicts against appellants on numerous counts and not guilty verdicts on several counts, and found some racketeering acts proven and others not proven. Each appellant moved for a new trial or sought to join a co-defendant’s motion for a new trial. The district court denied appellants’ motions. Appellants filed timely notices of appeal, invoking our jurisdiction to review the judgments of conviction pursuant to 28 U.S.C. § 1291.
II. Dismissal of Juror During Deliberations
First, each of the five appellants challenges his conviction on the grounds that the district court erred in dismissing Juror No. 3 during deliberations and in permitting the remaining eleven jurors to deliberate to verdict pursuant to Federal Rule of Criminal Procedure 23(b). At the time of the trial, Rule 23(b) (since amended 12 ) provided in relevant part:
(b) Jury of Less than Twelve. Juries shall be of 12 but at any time before verdict the parties may stipulate in writing with the approval of the court that the jury shall consist of any number less than 12 or that a valid verdict may be returned by a jury of less than 12 should the court find it necessary to excuse one *348 or more jurors for any just cause after trial commences. Even absent such stipulation, if the court finds it necessary to excuse a juror for just cause after the jury has retired to consider its verdict, in the discretion of the court a valid verdict may be returned by the remaining 11 jurors.
The district court’s decision under this rule to dismiss a juror or to continue with an eleven-member jury is reviewed for abuse of discretion.
See United States v. Ginyard,
The jury began deliberations on July 9, 2001 and the district court dismissed the alternate jurors at that time. On Thursday July 19, 2001 the judge infonned counsel he had learned from U.S. Deputy Marshall Terry Adams that Juror No. 3 had “transported himself to the Veterans Administration Hospital with symptoms of chest pains and a tingling sensation in one arm, which were to him sufficiently suggestive that he was having coronary problems.” 7/19/01am Tr. 3. The court also told counsel that Deputy Adams was going to the hospital to “try to ascertain more information about the situation” and then excused the jury until the following Monday, July 23, when “hopefully they wfould] be able to resume their deliberations ... with Juror Number 3 present.” Id. at 4. He stated that, if Juror No. 3 was not present when the jury returned on July 23, he would ask the parties to stipulate to proceeding with an eleven-person jury but, “failing such a stipulation,” he would “exercise [his] prerogative under Rule 23(b) to have the jury of 11 continue to deliberate and take their verdict.” Id. He then explained the situation to the other jurors and excused them until Monday morning. On Monday morning, Juror No. 3 was present and deliberations continued.
On Tuesday July 24, 2001 the judge assembled counsel and placed Deputy Adams on the witness stand to describe “difficulties ... with respect to Juror No. 3.” 7/24/01pm Tr. 4. Adams testified that, after Juror No. 3 left for the hospital the previous Thursday, Juror No. 17 informed Adams that “in the last couple of weeks” Juror No. 3 told her “he had experienced some mental health issues in the past and had been treated for them” and that “he was experiencing difficulty with his supervisor” about not reporting to work on days the jurors were not in court. Id. at 4-5. Juror No. 3 had also informed Juror No. 17, Adams recounted, that he “bought a ‘thing’ and planned to do ‘her’ — an unidentified ‘her’ — and himself.” Id. at 5. She explained to Adams that she “took the word ‘thing’ to mean ‘gun.’ ” Id. In response to Adams’s questioning of her, Juror No. 17 further explained she had not reported the conversation earlier because she was “scared.” Id. at 6. Later the same day (the previous Thursday), Adams testified, Juror No. 3 called Adams from his cell phone and reported he had seen a doctor and had a “secondary appointment for that afternoon in the same hospital” in the “mental hygiene unit.” Id. at 6. At the judge’s request, Adams then drove to the hospital and brought Juror No. 3 back to the courthouse for questioning. At this point the judge interrupted Adams’s testimony to state on the record that upon his return to the courthouse on Thursday, Juror No. 3 admitted he had not experienced chest pains and arm tingling, as he had informed Adams, but had “personal problems,” which “were, to a certain extent, being exacerbated by pressure from his supervisor to work when he was not on *349 jury service.” Id. at 7. Juror No. 3 assured the court, however, he was prepared to return to deliberate on Monday.
Adams resumed his testimony and stated that earlier that Tuesday afternoon he received a phone call from a member of his staff advising that Juror No. 3 wished to see the courthouse nurse. The nurse checked the juror’s vital signs and reported they were normal. Later that afternoon, Adams was again approached by Juror No. 17, accompanied this time by Juror No. 1, the foreman. The two jurors “relayed some concern about Juror No. 3’s health and overall well-being” and informed Adams that “everyone on the jury had the same concern.” Id. at 9. When they asked Adams to relay their concerns to the judge, he told them they should write a note and he would deliver it to the judge. They expressed reluctance because they were “receiving pressure from Juror Number 3 not to do so,” explaining that he “was making comments referencing homicide, and suicide and certain violent tendencies.” Id. Adams repeated that they should communicate to the judge through a written note, which they did shortly before the judge summoned counsel. The judge informed counsel that the note stated “in essence”: “We wish to speak to you directly on a matter of considerable importance, and we wish to do so right away.” Id. at 10. It was signed by Juror No. 1 and Juror No. 17. After informing counsel of the note, the judge brought Juror No. 1 and Juror No. 17 into the courtroom.
The judge asked Juror No. 1 to act as “spokesperson.” 7/24/02pm Tr. 10. Juror No. 1 expressed concern that because of “external factors, his job and other concerns that are mounting on him to the point that he is visibly despondent and is concerned for his safety,” Juror No. 3 was “just not contributing to the deliberations” and was “not fully there as far as being involved with the deliberations.” Id. at 11-12. Juror No. 17 stated in turn that Juror No. 3 admitted he was “having problems staying focused because of problems with his job.” Id. at 12. Both jurors responded affirmatively when the judge asked: “If [Juror No. 3] were to be excused from further deliberations, do you think that you would be able to progress more rapidly with respect to reaching a verdict?” Id. at 12.
The following morning, Wednesday July 25, 2001, defense counsel requested that the court “bring Juror Number 3 out individually and have the court conduct somewhat of an open-ended voir dire of the juror” to determine whether the testimony regarding his conduct was accurate. 7/25/01am Tr. 4-5. They also informed the court that “on the state of this record” they were “opposing the striking of this juror.” Id. at 5. The government suggested recalling Adams to put on the record various disclosures Juror No. 3 had made to him (as recounted by Adams in a conversation with government counsel the preceding evening) — specifically that Juror No. 3 had had a drinking problem, had taken trazodone hydrochloride, a medication administered for depression, had recently been in possession of a gun and lived in a neighborhood with a crime problem — which admissions, the government argued, were “directly at odds with what he revealed in his jury questionnaire.” Id. at 6.
Adams returned to the witness stand and confirmed that Juror No. 3 had made the disclosures the government identified. He also expanded on his conversation the day before with Juror No. 1 and Juror No. 17, testifying they told him Juror No. 3 had warned them they “had better not write a note” to the judge and “had better not turn him in.” Id. at 10. Juror No. 17, who was “animated and agitated,” told *350 Adams she took the warning as a “threat” and was “scared to write a note.” Id. at 11. Adams further testified that, during his conversation with the two jurors, Juror No. 3 “kept running back and forth” between the jury room and where Adams was speaking with the other two jurors, urging them to continue deliberating. Id. One of the other two jurors — Adams was not sure which — told Juror No. 3 he “need[ed] to take care of this matter” and Juror No. 3 “started talking about his supervisor at work,” repeating “she is just messing, she is just messing with me.” Id. at 11-12. Then, getting “real agitated,” he said “I just want to hit something” and made a motion in the air with his arm as if to do just that. Id. at 12.
After questioning Adams, defense counsel sought to question Juror No. 1 and Juror No. 17 to determine whether the latter had expressed fear of Juror No. 3, whether Juror No. 3 was in fact having difficulty participating in deliberations and, if so, whether the difficulty was the result of a personality conflict or of differing views of the case. When the judge declined, defense counsel asked that the judge question Juror No. 3 on whether he felt he could meaningfully participate in the deliberations. The judge denied this request as well, explaining that he had “already asked that of him in chambers when he was brought ... from the hospital” and “notwithstanding his own belief to the effect that he can participate, that, in fact, he cannot.” Id. at 41.
When Juror No. 3 was brought to the courtroom, the judge questioned him briefly about the subjects earlier noted by the government. Juror No. 3 acknowledged that (1) “as of last Thursday” he was “a patient at the mental hygiene unit at the V.A. Hospital” and that he was taking trazodone prescribed for him there; (2) “in years past” he had had a “drinking problem,” (3) he had recently kept a firearm for his brother, who was homeless, and (4) he lived in “a generally bad neighborhood.” Id. at 47-49. Juror No. 3 then left the courtroom. After brief argument by defense counsel opposing dismissal, the judge announced: “I am going to exercise discretion under Rule 23(b), and I’m going to excuse Juror Number 3 from further participation.” Id. at 50. The judge then brought Juror No. 3 into the courtroom and informed him he was dismissed. The remaining jurors were summoned and told that Juror No. 3 had been excused “for primarily concerns ... with respect to his health.” Id. at 54. The judge then expressed the “hope” that the remaining 11 jurors would, “with a fair degree of alacrity, be able to reach a verdict.” Id. at 54. The eleven remaining jurors resumed deliberating and returned verdicts against all of the defendants (but not on all of the counts) over a ten-day period from July 26 to August 15, 2001.
Each defendant filed a motion for mistrial based on the dismissal of Juror No. 3. The court denied the motions in an order filed August 16, 2001. The order states in part:
Notwithstanding his expressed willingness to continue his service as juror, in light of his deceptive answers to voir dire questions the Court was unwilling to credit Juror No. 3’s assurances that he was able to do so, and in conjunction with the testimony of the jury foreman and the female juror in whom Juror No. 3 had confided, the Court concluded that just cause existed to dismiss Juror No. 3.
United States v. Hill, Crim. Action No. 98-329, at 4 (D.D.C. filed Aug. 16, 2001) (8/16/01 Mem. & Order). In the order the court specifically found that Juror No. 3 had “given incorrect answers” on his voir dire questionnaire when he answered “in *351 the negative” questions “about personal or familial alcohol abuse, mental health medications, firearm possession and neighborhood crime problems” because the juror had “in the past, abused alcohol,” had “recently been in possession of a firearm,” lived in a “crime-ridden neighborhood” and was “currently taking the anti-depressant medication for a mental condition that he shares with his brothers.” Id. at 4, 3 & n. 4; see also Joint Appendix 967-71 (Juror No. 3 questionnaire responses). The appellants offer six grounds for reversing the district court’s decisions to dismiss Juror No. 3 and proceed with an 11-member jury under Rule 23. We address and reject each ground seriatim.
First, the appellants argue that the court failed to make an adequate inquiry into Juror No. 3’s fitness to continue deliberating, noting specifically that, because the judge questioned Juror No. 3 in camera, there is no record evidence to support a finding of “just cause” to dismiss him. In pressing this challenge, the appellants rely on two decisions which we find distinguishable.
In
United States v. Patterson,
Second, the appellants claim that there is no basis for the court’s “finding that Juror No. 3 was, in effect, mentally incapable of continuing to participate in the deliberative process,” contending that such a finding requires more detailed evidence of a juror’s mental condition than exists in this record. Br. of Appellants 35. The *352 district court, however, did not dismiss Juror No. 3 based on mental incapacity. The court relied on a combination of factors — including that Juror No. 3 had lied about his symptoms before visiting the hospital, provided inaccurate voir dire responses about mental health treatment and was, according to Juror No. 1 and Juror No. 17, distracted and unfocused (and even threatening) during deliberations. These findings are amply supported by the evidence. See 8/16/01 Mem. & Order.
Third, the appellants claim that the trial judge improperly dismissed Juror No. 3 because he was impeding conviction. We reject this contention as well. It is true that the trial court “may not dismiss a juror during deliberations if the request for discharge stems from doubts the juror harbors about the sufficiency of the government’s evidence.”
United States v. Brown,
Fourth, the appellants object to the court’s finding that Juror No. 3’s voir dire responses on the questionnaire were “deceptive.” 8/16/01 Mem. & Order at 4. They argue first that the United States Supreme Court’s decision in
McDonough Power Equipment, Inc. v. Greenwood,
The appellants also assert the trial court’s “deceptive” finding is unsupported but the record belies this claim. Adams’s testimony regarding his conversation with Juror No. 3 supports the judge’s findings that, contrary to his voir dire responses, Juror No. 3 abused alcohol, handled a gun, lived in a dangerous neighborhood and had received mental health treatment. According to Adams, Juror No. 3 disclosed to Adams that he (1) “used to drink real bad,” “really hit that bottle” and “had a problem” before he quit drinking 13 years earlier, 7/25/01am Tr. 15; (2) was “on tra-zodone,” which is “used to treat depression,” id. at 19-20; (3) “used to have a ‘thing,’ ” meaning a .44 magnum revolver, id. at 16; and (4) had the revolver because he “lived in a real bad neighborhood, and he had been robbed at gunpoint,” id. Further, the testimony of Juror No. 3 himself confirmed each of these facts. See id. at 47-49, 16
Fifth, the appellants argue summarily that, even if there was good cause to dismiss Juror No. 3, the court should have declared a mistrial rather than proceed with jury deliberations. We find no error in the judge’s decision to continue. As we stated in
United States v. Harrington,
Finally, the appellants assert that the judge’s and Adams’s
ex parte
contacts with the jurors violated the appellants’ rights under the United States Constitution’s Fifth Amendment Due Process Clause and Sixth Amendment’s Confrontation Clause and under Federal Rule of Criminal Procedure 43. We reject this argument as well. We are inclined to agree with the government that these claims are governed by plain error review because, although defense counsel sought to examine the jurors further, they made no objection specifically based on the
ex parte
nature of the communications between the jurors and Adams and the judge.
See United States v. Yarborough,
III. Judicial Bias
The appellants also seek reversal of their convictions on the ground that the district court’s conduct of the trial proceedings displayed what they characterize
*355
as “an extensive pattern of bias and lack of even-handedness that infected the entire nine-month proceeding” and that the judge’s obvious bias prevented them from receiving a fair trial. Br. of Appellants 51. We disagree. “The threshold for a showing of bias is high,”
United States v. Edmond,
First, the appellants object to discrete, allegedly biased rulings by the trial judge which (1) set the timing of disclosure of exculpatory material under
Brady v. Maryland,
Second, the appellants cite allegedly biased procedural decisions by the trial judge during both voir dire and trial. Initially, we note that the appellants have not appealed any of the individual procedures as error by itself but instead assert that cumulatively (and in conjunction with rul *356 ings and comments) they show impermissible bias. We do not agree.
The appellants object to a number of procedures the judge adopted during voir dire: empaneling an anonymous jury, having the United States Marshals Service transport jurors to the courthouse from undisclosed locations, moving the defendants to distant sites, refusing to permit the defendants to change from prison garb to civilian dress on the first day of jury selection and limiting defense counsel’s interrogation of prospective jurors. Addressing the last first, “ ‘the trial court retains great latitude in deciding what questions should be asked on voir dire’ ” and his “administration of this process ‘is not easily subject to appellate review.’ ”
Edmond,
With regard to the trial itself, the appellants object in particular to restrictions the court imposed on defense counsel’s use of testimony of government witnesses, such as limiting “collateral impeachment” (for bias, prejudice, motive, inconsistent statements, etc.) to one defense counsel per witness, 2/6/01am Tr. 4-5; permitting only one defense counsel to argue each objection at the bench, 2/14/01pm Tr. 17; and imposing short time limits on defense counsel’s cross-examination of two witnesses, l/22/01pm Tr. 48-49, 4/26/01am Tr. 34-85. “[A] district judge has wide discretion in monitoring the flow of a criminal trial.”
United States v. Donato,
This brings us to the third alleged basis for finding bias: negative comments by the trial judge. As examples, the appellants point to a series of comments made during voir dire that, to them, manifested the judge’s belief that defense counsel was attempting to disqualify qualified witnesses.
See, e.g.,
ll/29/00pm Tr. 37 (counsel’s function is not “[t]o badger a prospective juror into giving answers that would disqualify her”);
id.
at 38 (“[S]ome counsel are seriously encroaching upon improper voir dire. I observe again, your function is not to intimidate the prospective juror into giving an answer that you hope will operate to disqualify that juror.”); ll/30/00pm Tr. 47 (characterizing counsel’s question as “inappropriate”); 12/04/00am Tr. 73 (telling counsel he was “arguing with the juror”); 12/05/00pm Tr. 39 (counsel’s questions “invite[d] [prospective juror] to take advantage of the possibility of being excused for this trial by demonstrating bias or prejudice”); 12/05/00pm Tr. 46-47 (telling counsel he
*358
was “trying to deliberately force a juror into disqualifying himself’ and had “made it perfectly clear that [counsel] ha[d] no desire to have him here, even though he has indicated that he is perfectly capable of fulfilling his obligations as a juror”). While some of these utterances may have been “impolitic,” as the appellants assert, they appear to reflect the judge’s genuine (and not altogether groundless) perception that defense counsel was overzealous in questioning specific jurors whom they considered unfavorable to the defense case. As such, they were legitimate attempts to control defense counsel and prevent their abuse of voir dire, however they may have been perceived by defense counsel. Thus, they do not of themselves establish judicial bias.
See Donato,
The appellants complain that the district court improperly “demeaned” and “threatened” defense counsel during trial when he cut them off and instructed them to be seated, see, e.g., 2/01/01am Tr. 63; referred to (and admonished against) “frivolous” objections, see, e.g., l/24/01am Tr. 18, 2/5/01pm Tr. 60, 2/14/01pm Tr. 39; suggested they were attempting to delay the trial or cause a mistrial, see, e.g., 2/5/01pm Tr. 58, 60; warned of possible contempt citations, see, e.g., id. at 57-58; and in fact cited two defense lawyers for contempt, 2/06/01am Tr. 90; 6/21/01am Tr. 29 (although he vacated the citations after the trial). The appellants argue that these remarks, taken together, reveal such bias on the part of the trial judge that they could not, and did not, receive a fair trial. Again, we disagree.
As the Supreme Court has observed:
[J]udicial remarks during the course of a trial that are critical or disapproving of, or even hostile to, counsel, the parties, or their cases, ordinarily do not support a bias or partiality challenge. They may do so if they reveal an opinion that derives from an extrajudicial source; and they will do so if they reveal such a high degree of favoritism or antagonism as to make fair judgment impossible.... Not establishing bias or partiality, however, are expressions of impatience, dissatisfaction, annoyance, and even anger, that are within the bounds of what imperfect men and women, even after having been confirmed as federal judges, sometimes display. A judge’s ordinary efforts at courtroom administration— even a stern and short-tempered judge’s ordinary efforts at courtroom administration — remain immune.
Liteky,
There are other reasons as well to reject the appellants’ claims that the judge’s comments reflected reversible bias. First, the cited utterances were aimed at defense counsel’s conduct and not at the defendants themselves or at the merits of the ease.
See id.
at 1101 (“ ‘[Rjeversal is not mandated where ... rebukes of defense counsel reflected not upon the merits of the case but rather on the way it was being handled.’ ” (quoting
United States v. DiTommaso,
In
Donato,
the court offered two bases to distinguish the judge’s conduct there from what occurred in
United States v. Edmond
and
United States v. Logan,
in which we rejected bias challenges. The same distinctions hold here. First, the court observed in
Donato
that the “negative comments” “were more concentrated, frequent, and critical than in either of those cases.”
*360
In sum, considering the challenged rulings, procedures and comments together in the context of a long and difficult trial, we are not persuaded that “ ‘the judge’s behavior was so prejudicial that it denied [the defendant] a fair, as opposed to perfect, trial.’ ”
Logan,
IV. Confrontation Clause Challenges
“In all criminal prosecutions, the accused shall enjoy the right ... to be confronted with the witnesses against him ....” U.S. CONST, amend. VI. Appellants Sweeney, Carson, and Coates contend that their rights under this clause were violated when the district court allowed Special Agent Vincent Lisi to testify about statements made by Robert “Butchie” Smith.
Before trial, the government moved to admit, through law enforcement officers and other witnesses, statements made by persons allegedly murdered by members of the K-Street organization. Among the statements were Smith’s. Smith was a main target of the initial investigation into the Southwest organization in 1995. Law enforcement officers thought he was a major marijuana supplier in the area. During a June 1996 undercover operation, Special Agent Lisi and other officers filmed Smith selling drugs to a cooperating witness. The officers arrested Smith on December 5, 1996, took him to the FBI’s offices, and showed him the video tape. Smith then waived his Miranda rights and expressed his willingness to talk with Special Agent Lisi about various crimes in the Southwest area.
Smith told Special Agent Lisi about his interactions with numerous conspiracy members and his conversations with Sweeney. He first detailed his drug sources and drug operation. Smith explained that he normally supplied marijuana to three individuals who in turn sold it on the street. He did this to insulate himself from detection. Smith also sold marijuana directly to Coates, Hill, and Sweeney, among other conspiracy members. Smith described the murders and other violent crimes Sweeney and his associates committed. He then entered into a plea agreement with the government and was released a day after his arrest in order to give the impression that he was not a cooperating witness. He later returned to court and pled guilty to conspiracy to possess and distribute narcotics.
During his initial detention and then while acting as an informant for the government, Smith told Special Agent Lisi of the attempted murder of Michael Jones, the hunt for Kenny Adams, the kidnapping of Anthony Pryor, the murder of Donnell Whitfield, and the murders of Alonzo Gas-kins, Darnell Mack, and Melody Anderson. Smith said that he learned of these events and the details surrounding them from his conversations with Sweeney. In support of admitting Smith’s and Sweeney’s statements, the government adduced the following evidence.
While being detained by the Prince George’s County, Maryland, Police Department for the triple murders of Gas-kins, Mack, and Anderson, Sweeney began to suspect that Smith had divulged information to the authorities. Prince George’s *361 County Police Officers apparently aroused Sweeney’s suspicions when they included in their statement of probable cause, filed at Sweeney’s initial appearance, information about the triple murders, information attributed to a confidential FBI source. The probable-cause statement explained that Sweeney had told this informant about the murders and that only the investigators and perpetrators of the offense knew the information.
According to James Montgomery, whose testimony fills in the remaining details, Sweeney asked Carson and Montgomery to visit him while in jail. Montgomery did not go, but Carson visited Sweeney and reported his conversation to Montgomery. Carson asked Sweeney whom he told about the triple murders; Sweeney said that he told Smith about it and that Smith was cooperating with the FBI. 21 Carson explained to Montgomery that without Smith the government would have no case against Sweeney for the triple murders.
In the following months, Carson and Montgomery planned and attempted several times to track down Smith and kill him. Montgomery and Carson looked for Smith whenever they happened to visit an area Smith frequented and would sometimes drive through those areas for the sole purpose of tracking him down. They spotted Smith several times in the open but could “do nothing to him in front of ... everybody.” On one occasion, Carson and Montgomery found Smith on Half Street, Southwest. They hurried to Carson’s house, where Carson retrieved his sweat suit, gun, and gun belt, and then took a circuitous route back to Half Street. Carson ran up an alley to catch Smith from behind, while Montgomery waited in the car, but the tactic proved unsuccessful.
On June 16, 1997, while Montgomery was selling marijuana on Second Street, Carson approached Montgomery, took his car keys, and left in Montgomery’s car. Some time later, Montgomery learned that Smith had been shot on Half Street. Montgomery then rode a bicycle to the corner of Half and 0 Streets. There he heard that Smith had been killed, which, according to Montgomery, came as a great relief, because he — like the other conspirators — was concerned that Smith was an informant. After learning of Smith’s death, Montgomery rode back to Second Street, Southwest. Carson returned later that evening in Montgomery’s car, parking it in an alley. As soon as Montgomery saw Carson, he said “you know them peoples got hit,” to which Carson responded “yeah, I know.... [Wje’re all right.” Montgomery asked if Carson knew about whom he was talking. Carson said “trust me, we’re all right,” and gave Montgomery his keys back. Carson then instructed Montgomery to “stay from up Half Street” with his car “and not to drive it if [he] didn’t have to.” From a prior experience with Carson, Montgomery understood Carson’s instruction to be a warning that someone might identify his car in relation to Smith’s murder if Montgomery took the car near Half Street.
Relying on this evidence, most of which consisted of Montgomery’s testimony, the government argued that the appellants forfeited their Sixth Amendment right to confront Smith. The Confrontation Clause secures a criminal defendant’s right to confront witnesses against him through cross-examination.
See, e.g., Delaware v. Van
*362
Arsdall,
The appellants objected on several grounds. They disputed whether a defendant could forfeit his confrontation rights based on misconduct committed by a co-conspirator and whether there was a factual predicate for such forfeiture and for the admissibility of Sweeney’s statements to Smith. The district court overruled the objections, finding that “Smith was a co-conspirator and that the information imparted to Mr. Smith by Mr. Sweeney was in furtherance of that conspiracy.” As a legal matter, the court agreed with the government that a defendant forfeits his right to confront a witness if his cocon-spirators caused the unavailability of that witness through misconduct and if their action was within the scope and in furtherance of the conspiracy, as well as reasonably foreseeable to conspirators. The court found that Sweeney “was directly involved in procuring the absence of ... Smith as a witness by ... inducing a co-conspirator to kill” him, and that “Carson’s murder of Smith, either alone or in conjunction with others, made [Smith] unavailable as a witness for the government in this case.” “[T]hese co-conspirators,” the district court said, forfeited “their confrontation and hearsay objections to statements about acts in furtherance of, within the scope and reasonably foreseeable to all of them.”
Sweeney, Carson, and Coates argue that the district court erred in concluding that a defendant may forfeit his rights under the Confrontation Clause and Federal Rule of Evidence 804(b)(6) when a co-conspirator’s misconduct causes a witness’s absence. They also claim the court’s predicate factual findings — that Carson or some other conspirator caused Smith’s absence — were clearly erroneous. The district court was required to find the necessary facts by a preponderance of the evidence.
White,
Although the Confrontation Clause secures important rights, those rights are not absolute. The rule has long been that defendants through misconduct may forfeit their right to confront witnesses against them.
See Snyder v. Massachusetts,
Appellants do not dispute any of this. Their quarrel is with allowing the misconduct of a coconspirator to cause the forfeiture of a defendant’s right — a subject we address in a moment — and with the district court’s underlying factual findings. As to the facts, the district court found that Carson murdered Smith, “either alone or in conjunction with others,” and that this “made [Smith] unavailable as a witness for the government.” Ample evidence supported this finding. Montgomery testified at length about his and Carson’s activities leading up to Smith’s murder; their motive for killing Smith; their ongoing hunt for him; their failed opportunities; Carson’s use of Montgomery’s car just before Smith’s murder; Carson’s return after the murder; his acknowledgment of Smith’s murder and his assurance that they were “all right”; his instruction to Montgomery not to drive near the murder scene; and Montgomery’s understanding that Carson meant that, if he did drive near the scene, observers might identify the car in relation to the murder. The appellants insist that because the government offered no eyewitness to Smith’s murder, Montgomery’s testimony was inherently suspect. But no rule of law required the government to produce an eyewitness, assuming there was one despite Montgomery’s and Carson’s desire to eliminate Smith without anyone watching. The district court evaluated Montgomery’s credibility and credited his testimony, and there is no basis for our disturbing the court’s judgment.
See United States v. Scriber,
Sweeney and Coates — not Carson, of course — argue that a defendant’s forfeiture, either under. the Confrontation Clause or Rule 804(b)(6), cannot result
*364
from a coconspirator’s causing a witness to be absent from trial. Yet the reasons why a defendant forfeits his confrontation rights apply with equal force to a defendant whose coconspirators render the witness unavailable, so long as their misconduct was within the scope of the conspiracy and reasonably foreseeable to the defendant, as it was here.
23
Suppose several individuals enter into a conspiracy, and, as part of the conspiracy, they agree to kill all potential witnesses against them. All members of the conspiracy would be criminally responsible for the resulting murder of a witness,
see Pinkerton v. United States,
Carson and Coates have additional arguments. They say that if Smith had been alive, he would not have been permitted to testify about the statements Sweeney made to him and that the district court therefore erred in allowing Smith’s statements (concerning Sweeney’s) to come in against them through Special Agent Lisi. Their theory is that Smith was not a co-conspirator and that, even if he were, Sweeney’s statements to him were not in furtherance of the conspiracy. As they see it, admitting the statements Sweeney made to Smith violated the Sixth Amendment rule set down in
Bruton v. United States,
*365
Statements satisfying the coconspirator non-hearsay rule under Federal Rule of Evidence 801(d)(2)(E) may be admitted against co-defendants without violating the Confrontation Clause.
See Bourjaily v. United States,
The district court concluded that Smith was a coconspirator with Sweeney, Carson, and Coates and that Sweeney’s statements to him were made during the course of and in furtherance of the conspiracy.
26
Rule 801(d)(2)(E) requires that the declarant be in a conspiracy with those against whom the statements are offered. Fed.R.Evid. 801(d)(2)(E);
see, e.g., Bourjaily,
Carson and Coates acknowledge that Smith sold drugs to members of the conspiracy, including Reginald Switzer, Arthur Rice, Eric Jones, Vincent Hill, Paul Taylor, Sean Coates, Gary Price, and William Sweeney. They contend, however, that Smith’s real drug “operation” involved selling drugs to three individuals
27
not connected to the conspiracy who resold the narcotics in Southwest Washington, D.C., and that this sporadic “buyer/seller relationship with some of the defendants” did not make him a coconspirator. Br. of Appellants 104-05. While the evidence may not have shown that Smith was a principal member of the conspiracy or that he had a relationship with every conspiracy member, neither is required to make him a coconspirator.
See Childress,
Smith explained to Special Agent Lisi that although he dealt primarily with three individuals in an attempt to insulate himself from exposure, “there were people that he did deal with personally, some people that he knew.” He directly distributed marijuana to Sweeney, Coates, and Hill, among other members of the conspiracy. Montgomery said that he believed Smith was “supplying marijuana to [K Street] Southwest.” As an example, he discussed an occasion in which Eric Jones, an acknowledged coconspirator, intended to purchase ten pounds of marijuana from Smith. Although Montgomery was not sure whether Jones actually obtained that amount from Smith, the fact that Smith sold drugs to conspiracy members — and that he was always an available source to them — was supported by Arthur Rice, another coconspirator. Rice explained that, while Smith may not have been a major “supplier,” members of the conspiracy “could go to him and get stuff .... I mean he had a lot of it. He could get his hands on a lot of it.” Rice said that Smith had supplied or helped him obtain drugs “[m]ore than once.” On one occasion, Smith gave Rice marijuana to help him get reestablished in the marijuana business after being released from jail. Smith helped out coconspirators in other ways. While Sweeney and Rice were in jail together, Smith sent both of them money orders. He also helped pay for Rice’s legal representation when Rice was arrested for the murder of a rival gang member.
See Tarantino,
United States v. Morris,
We now turn to Carson and Coates’s claim that Sweeney’s statements to Smith were not made “during the course and in furtherance of the conspiracy” and, for that reason, are inadmissible under Rule 801(d)(2)(E). Sweeney’s statements to Smith about various crimes committed by conspiracy members did not further the conspiracy, the argument goes, because they consisted of “idle chatter,” bragging, or mere narratives of past events. The appellants are correct, as a general matter, that statements of that sort are usually not “in furtherance” of a conspiracy.
See Tarantino,
Sweeney’s statements to Smith described various kidnappings, murders, attempts to intimidate witnesses, and other acts of violence committed by conspiracy members. What Sweeney said was not, as these appellants assert, mere narrative or idle chatter. He was updating Smith on the conspiracy’s status, motivating his continued participation, and providing him with background information. For example, Sweeney discussed with Smith the shootings or attempted shootings of Michael Jones and Kenny Adams. Both Jones and Adams were going to testify against members of the conspiracy, and Sweeney detailed the conspiracy members’ attempts to silence them. Though describing events that had transpired, this information could have served several functions: to update Smith on eliminated threats — that is, to give the “all clear”; to remind Smith to keep an ear open for more threats; to encourage him to weed out other witnesses against them; and to make sure Smith did not consider turning against the conspiracy (that is, to motivate his continued participation). All of this served to further the conspiracy’s goals of selling drugs and evading capture. Other statements advanced the conspiracy in another way. Sweeney’s descriptions of Anthony Pryor’s kidnaping and the triple murders of Gaskins, Mack, and Anderson updated Smith on the status of conspiracy members. With an understanding of what conspiracy members faced, Smith could help protect those members from law enforcement or other dangers. By protecting the various components of the conspiracy, Smith naturally would be advancing the conspiracy.
Because the district court properly found that Sweeney’s statements were in furtherance of the conspiracy, the statements were non-hearsay coconspirator statements, admissible under Rule 801(d)(2)(E) without violating the Confrontation Clause.
V. Convictions under 18 U.S.C. § 1959
All five appellants attack their convictions for violating 18 U.S.C. § 1959, the statute prohibiting violent crimes in aid of racketeering activity. They contend that § 1959 is facially unconstitutional because it exceeds Congress’s Commerce Clause authority. Carson and Coates alternatively argue that even if the statute is constitutional, the evidence at trial was insufficient to convict them of violating it.
As relevant here, § 1959 prohibits any person from “murder[ing], kidnap[ping],” or committing any other “crime of violence” in exchange for “anything of pecuniary value from an enterprise engaged in racketeering activity” or to “gain[] entrance to or maintain[ ] or increas[e] position” in such an enterprise. Id. § 1959(a). “ ‘[Racketeering activity’ ” is defined as it is in the RICO statute, id. § 1959(b)(1); see id. § 1961, and “ ‘enterprise’ ” is defined to include any “legal entity, and any union or group of individuals associated in *368 fact although not a legal entity, which is engaged in, or the activities of which affect, interstate or foreign commerce,” id. § 1959(b)(2).
Each defendant was indicted for violating § 1959 by committing various violent crimes in furtherance of the RICO conspiracy charged in Count 2. 28 Carson, Coates, and Sweeney were each convicted on three counts of violating § 1959 for their roles in the triple murders of Alonzo Gaskins, Darnell Mack, and Melody Anderson. Carson was also convicted of violating this section for the attempted murder of Ulysses English and the murder of Chrishauna Gladden. Coates and Sweeney were each convicted under § 1959 for the attempted murder of Anthony Pryor. Coates was also convicted for the attempted murder of Ronald Sowells, and Sweeney for the murder of Donnell Whitfield. Martin was convicted for the attempted murder of James Coulter in aid of racketeering.
Relying on
United States v. Lopez,
The government correctly points out that the appellant did not raise this argument below. “It is the general rule, of course, that a federal appellate court does not consider an issue not passed upon below.”
Singleton v. Wulff,
In any event, it is impossible to see how a statute regulating conduct within the District of Columbia could exceed congressional authority under the Commerce Clause. As in the U.S. Territories, Congress has plenary authority in the District of Columbia.
See
U.S. Const, art. I, § 8, cl. 17; U.S. Const, art. IV, § 3, cl. 2;
see also, e.g., Binns v. United States,
Carson and Coates attack some of their § 1959 convictions for insufficient evidence. We review sufficiency-of-the-evidence challenges “in the light most favorable to the government, drawing no distinction between direct and eircumstan-
*369
tial evidence, and giving full play to the right of the jury to determine credibility, weigh the evidence and draw justifiable inferences of fact.”
United States v. Dykes,
Section 1959 requires a jury to find two elements in addition to the violent criminal activity. The first is “an enterprise engaged in racketeering activity.” 18 U.S.C. § 1959(a). The second is that a defendant committed the violent crime with one of three motives: (1) “as consideration for ... anything of pecuniary value” from such an enterprise, (2) “as consideration for a promise ... to pay” something of value from such an enterprise, or (3) “for the purpose of gaining entrance to or maintaining or increasing position in an enterprise engaged in racketeering activity.”
Id.
This third element — the only one at issue here — may be shown if “the defendant committed his violent crime because he knew it was expected of him by reason of his membership in the enterprise or that he committed it in furtherance of that membership.”
United States v. Concepcion,
The subject of Carson’s claim is his § 1959 conviction for the shooting of Ulysses English. On the morning of June 26, 1994, several people witnessed Carson shoot English while English sold drugs on K Street. English apparently associated with the 58th-Street crew, a rival of the K-Street organization. Before English’s shooting, Carson informed Montgomery that he “was almost certain that [English] had told Keith Holmes” and other people from 58th Street, Southeast, “where [Carson’s] mother live[d].” At trial Montgomery explained the significance of this: gang members generally kept this type of information secret to protect themselves and their families from rivals. The fact that people from 58th Street knew this information concerned both Carson and Montgomery, who worried that something might happen to Carson or his family. Carson told Montgomery to keep an eye out for English and to “hit him” if he saw “him in a good position.” On the day English was shot, Carson approached Montgomery, who was selling marijuana, and told him that “something was about to happen.” Not long after this, at least two people saw Carson shoot English and run off.
Carson argues that the shooting of English was done out of concern for Carson’s safety, that it was “unrelated to possession
*370
with intent to distribute or distribution of drugs,” and that it was therefore not done to maintain or increase his position in the enterprise. Br. of Appellants 128. Viewed in the light most favorable to the government, the evidence proved that English was a member of a rival organization battling the K-Street enterprise and that English had potentially put Carson and his family in danger. Threatened by a rival gang member, Carson took the action that “was expected of him by reason of his membership.”
Concepcion,
The subject of Coates’s claim is the triple murders of Gaskins, Mack, and Anderson. The murders resulted from a robbery that went sour. After Carson and Sweeney saw Gaskins win $50,000 in Las Vegas, Carson, Sweeney, and Montgomery discussed robbing Gaskins of his winnings and using the money to purchase guns to aid them in their dispute with members of a rival gang and to supplement the slowdown in marijuana sales. Gaskins had returned to his home in Temple Hills, Maryland. Carson, Sweeney, and Montgomery approached the house to commit the robbery, but did not see Gaskins’s car and did not know whether he was inside. In light of this, they decided to pick up Coates, who knew Gaskins, gambled at his house on occasion, and could enter the house to ensure that Gaskins was there. When they returned to Gaskins’s house with Coates, they saw Gaskins and Mack leave with two women. The four defendants left for Montgomery’s mother’s house, made masks to cover their faces, stole a license plate to put on the rental van they were using, and returned to Gaskins’s house. Gaskins arrived with Mack and the two women. The four appellants circled around to the back of the house and parked the van in the parking lot. Montgomery and Sweeney jumped out of the van and rushed up to Gaskins’s place. Coates, who was unarmed, remained in the van. As Gaskins, Mack, and the two women entered the house, Sweeney, with a gun, and Montgomery, with a stun gun, rushed in, pushing everyone inside except Anderson (one of the women), who remained outside. Gaskins reached for something and Sweeney shot him. Sweeney then shot Mack and fled the house, shooting Anderson on his way out.
Like Carson, Coates contends that there was insufficient evidence that his involvement in the triple murders was for the purpose of maintaining or increasing his position in the enterprise. He argues that he did not know of, or share in, the other appellants’ plan to rob Gaskins in order to buy weapons for the enterprise or to make up for the organization’s lagging marijuana sales. Nor was the robbery connected to the organization’s “core business of drug dealing,” according to Coates. Br. of Appellants 130. None of these assertions
*371
change the fact that Coates was involved in the triple murders in order to maintain or increase his position in the K-Street enterprise. Although the attempted robbery was unlike their other drug activities, Sweeney, Carson, and Montgomery planned to rob Gaskins in order to supply the enterprise with arms and supplement the enterprise’s income. Coates joined Sweeney, Carson, and Montgomery “because he knew it was expected of him by reason of his membership in the enterprise.”
Concepcion,
United States v. Thai,
VI. Joinder
Carson and Martin claim that several first-degree murder charges under D.C.Code § 22-2401 (1996) and various criminal charges related to events that occurred on, or in connection with, 37th Street, Southeast, were misjoined with the broader narcotics and RICO conspiracy charges. They contend that the prosecution failed to prove a sufficient relationship between these joined charges and the broader claims asserted in the indictment.
The superseding indictment filed on March 25, 1999, 31 contained 101 counts. Among these were charges against Carson and Martin for first-degree murder in violation of D.C.Code § 22-2401 (1996). The charges related to Carson’s alleged murder of Maurice Hallman, Leonard Hyson, Teresa Thomas, and Terita Lucas, and Carson and Martin’s murder of Anthony Fortune, Carson participated in the murder of Hallman and Hyson, according to the government, as retaliation for an attack on a member of the K-Street organization. The government alleged that Carson murdered Thomas and Lucas because they gave a rival drug dealer a bag of guns Carson had stored at Thomas’s apartment. And according to the government, Carson and Martin killed Anthony Fortune, who had robbed Martin, to protect the organization’s violent reputation and ward off future affronts to it or its members. For *372 tune’s murder was particularly important because the organization was trying to move into his area.
The indictment also charged Carson and Martin with various racketeering acts underlying the RICO conspiracy charged in Count 2. These racketeering acts included murdering Anthony Fortune and Curtis Edward and assaulting with intent to murder Keith Bradley, Jimmy Thomas, Richard Burton, Keith Jones, and Officers Adrian Treadwell, Edward McDonald, Marc Little, and Alvin Ray. All of these counts arose out of events on 37th Street, which, as the government alleged, became an extension of the K-Street organization when some conspirators moved there. Carson and Martin’s murder of Fortune begat a rivalry between the K-Street organization and a gang from 58th Street, leading to numerous drive-by shootings. This in turn led, on one occasion, to a shoot-out between Carson, Martin, and police officers, and, on another occasion, to Martin firing into Edwards’s car (in which Burton and Jones were riding) on the mistaken belief that Edwards was part of the 58th-Street gang. Related to the shoot-out with police was the charge against Martin for assaulting, resisting, and interfering with a police officer while using a dangerous weapon. See D.C.Code § 22-505(b) (1996).
Carson and Martin filed a pretrial motion to sever these counts under Federal Rule of Criminal Procedure 14, contending among other things that the counts were misjoined under Rule 8 with the other counts, particularly the narcotics and RICO conspiracy counts. Carson and Martin argued, as they do on appeal, that the D.C.Code offenses and the charges related to 37th Street were distinct and unrelated to the alleged RICO and narcotics conspiracies. The district court denied the motion. The jury returned guilty verdicts on the first-degree murder counts and on the single count of assaulting, resisting, and interfering with a police officer. It also found the racketeering acts proven.
Carson and Martin’s Rule 8 argument here differs from their pretrial argument in a material respect: rather than arguing that the counts, as alleged, were misjoined as a legal matter, they contend that join-der was inappropriate because the evidence at trial failed to prove a sufficient connection between these counts and the broader narcotics and RICO conspiracy counts to satisfy the standards of Rule 8. This change in their argument is important because Rule 8 governs only the initial joinder of counts and defendants: “the only issue under Rule 8 is whether joinder was proper at the beginning of trial.”
United States v. Clarke,
The question[s] of the propriety of join-der under Rule 8 and of refusal to grant relief from prejudicial joinder under Rule 14 are quite different in nature .... The former is a question of law, subject to full appellate review .... In contrast, the grant of relief under Rule 14 lies within the discretion of the trial judge and refusal to sever counts ... properly joined under Rule 8 will be reversed only if discretion was abused
United States v. Werner,
We have no doubt that the district court correctly permitted the joinder of the D.C.Code offenses and the charges related to 37th Street under Rule ' 8(b).
34
The indictment alleged that all of these counts were overt acts in furtherance of the narcotics conspiracy and predicate acts in furtherance of the RICO conspiracy. This provided the necessary link to satisfy Rule 8(b).
35
See Irizarry,
Carson and Martin’s argument, however, focuses on evidence at trial. As such, the argument is under Rule 14, not Rule 8.
See Irizarry,
“The first hurdle in obtaining a severance under Rule 14 is a showing of prejudice,”
United States v. Lane,
Carson and Martin’s first point — that there was a risk of prejudice from the likelihood of evidentiary “spillover” or juror confusion — fails to account for the district court’s limiting instructions to the jury. The district court “was acutely aware of the possibility of prejudice and was strict in his charge.”
Schaffer,
Carson and Martin contend that had they been tried separately, they could have better defended against the government’s allegations through more effective cross-examination and impeachment of various witnesses. This is insufficient under Rule 14 because “it is well settled that defendants are not entitled to severance merely because they may have a better chance of acquittal in separate trials.”
Zafiro,
Martin has an additional argument— that even if the 37th-Street counts were properly joined, the evidence proved the existence of multiple conspiracies, rather than the narcotics conspiracy alleged in the indictment, and that this variance between the evidence and the indictment requires reversal.
See United States v. Childress,
Martin contends that his activities related to 37th Street established a “separate and totally unrelated conspiracy” as opposed to the narcotics conspiracy alleged in the indictment. Br. of Appellants 161. We disagree. As the government sug
*376
gests, Martin attempts artificially to “split one conspiracy into two based simply on geographic lines.” Br. for Appellee 164. There was sufficient evidence for the jury to conclude that Martin’s activities were part of a single conspiracy, not separate ones. Charles Bender testified that 37th Street and those associated with it were basically an extension of the K-Street organization. Others so testified. Martin’s assertions that he was not involved in the charged conspiracy and that he never worked in tandem with others in selling drugs is contrary to the evidence, which showed that he frequently sold drugs on K Street and that he participated in the “rotation” system with other members. That is, he would alternate between selling marijuana to customers (sometimes by completing a sale for a coconspirator and handing over the money) and keeping watch for police and others who could disrupt the conspiracy’s activities. This was sufficient for the jury to conclude that Martin had a common goal with the others, that Martin and others were interdependent, and that the participants overlapped.
See Graham,
to enrich the members of the conspiracy; to create, maintain, and control a market place for the distribution of its controlled substances; to enforce discipline among members of the conspiracy; to collect monies owed to members of the conspiracy; to protect the conspiracy and its members from detection, apprehension and prosecution by law enforcement; to intimidate and prevent persons from testifying as witnesses in criminal prosecutions against members of the conspiracy; to prevent, thwart, and retaliate against acts of violence perpetrated by rivals against the conspiracy and its members; and to promote and enhance the reputation and standing of the enterprise and its members.
The evidence at trial did not materially vary from the conspiracy count alleged in the indictment, and so there is no basis to upset Martin’s convictions.
VII. Rule 804(b)(1)
Appellants next argue that the district court abused its discretion by refusing to admit into evidence the transcript testimony of two witnesses who had appeared before a Maryland grand jury investigating the triple murders of Alonzo Gaskins, Darnell Mack, and Melody Anderson. Appellants contend that this testimony would have supported their story that they were not involved with the triple murders. Because this hearsay testimony was not within the exception for former testimony, we conclude that the district court did not abuse its discretion by barring its use at trial.
On December 10, 1996, less than one month after the triple murders, the State Attorney for Prince George’s County called Cheree Owens and her fiancé John Pinkney to testify before a state grand jury investigating the crime. Owens and Pinkney testified that they lived down the street from the home where the triple murders were committed. Owens testified that, approximately two weeks after the triple murders, she overheard Dennis Green talking on his cell phone while he was visiting in her home. Owens heard Green say “that they should have came [sic] around there ... because [we] just took three people out of the street.” 36 *377 According to Owens, the person with whom Green was speaking “must have asked him who is ‘we,’ ” because Green responded, “me, California, and Free, and the rest of the guys.” The conversation scared Owens and, after Green left her home the next day, she told Pinkney what she heard. Pinkney testified that after Owens told him about this conversation, he told Green not to return. For reasons not clear from the testimony, Green became upset with Owens and Pinkney, threatened them, and tried to extort money from them. Green told Owens that after he was “finish[ed] with you all, a whole lot of’ people were “going to wind up dead around here.”
Around the same time that the Maryland grand jury was hearing from Owens and Pinkney, federal officials were beginning to make a connection between the K Street gang and the triple murders. After the FBI arrested Robert Smith on December 5, 1996, for selling four pounds of marijuana, Smith agreed to tell the FBI what he knew about the K Street group and at some point during his interviews told Special Agent Lisi that “Shorty and them” committed the “triple.” “Shorty” was one of Sweeney’s nicknames. Using this information, the government began to build its case for the appellants’ involvement in the triple murders. On September 18, 1998, a federal grand jury in the District of Columbia charged Carson, Sweeney, and Coates with the three murders and other crimes. The government filed a superceding indictment on March 25,1999.
After the United States Marshals Service and an investigator hired by Sweeney’s attorney could not locate Owens and Pinkney to call them as witnesses during the trial, Sweeney and Carson moved to admit into evidence the transcript of the Maryland grand jury testimony of Owens and Pinkney. Presumably, Sweeney and Carson hoped that the grand jury testimony would help show that Dennis Green and his associates committed the triple murders and not them. Sweeney argued that the grand jury testimony was admissible under Federal Rule of Evidence 804(b)(1), which allows for an exception to the hearsay rule for “former testimony” when the declarant is “unavailable as a witness” and “the party against whom the testimony is now offered ... had an opportunity and similar motive to develop the testimony by ... examination.”
The government opposed the motion and argued that the Rule 804(b)(1) exception did not apply because, although neither Owens nor Pinkney was available as a witness at trial, the government — the “party against whom the testimony is now offered” — would not have had a “similar motive to develop the testimony” of Owens and Pinkney before the Maryland grand jury as it had at trial. By the time of the trial, the federal prosecutors believed that Owens and Pinkney were falsely implicating Green in their grand jury testimony. When they appeared before the grand jury, in the earliest stages of the investigation into the triple murders, neither the government nor Maryland “had [any] reason to believe ... that the witnesses were falsely implicating Mr. Green.” It was only much later that the government came “to believe that [it was] being used by Pinckney [sic] and Owens.” The government explained:
This belief [that Pinkney and Owens were “using” the government] was based on the fact that Pinckney [sic] and Owens were given a considerable amount of money that was to be used for their relocation and was meant to last several *378 weeks. The pair went through the funds in a matter of days and then demanded additional funds. The police also learned that Pinckney [sic] and Owens owed Dennis Green — the person they implicated in the triple murder— money for drugs. After investigating more fully, the police found nothing to corroborate the stories of Pinckney [sic] and Owens. A short time later, Pinck-ney [sic] and Owens seemingly disappeared.
The district court agreed with the government that the motive of the State’s Attorney to develop the testimony of Pink-ney and Owens before the grand jury and the government’s motive to develop their testimony at trial were not “similar” and therefore denied the appellants’ motion.
The appellants challenge this ruling. We review a trial court’s refusal to admit grand jury testimony of unavailable witnesses for abuse of discretion,
United States v. Miller,
The district court here held that the Rule 804(b)(1) exception did not apply, stating that “in the absence of an identity of motive on the part of the government, that testimony is not admissible.” We agree. Even were it possible to consider the United States and Maryland a single party for purposes of Rule 804(b)(1), and, as we discuss below, we do not see how they could be on these facts, the appellants have failed to show how the motive to develop the testimony of Owens and Pink-ney before the grand jury was similar to the motive to develop their testimony at trial. Rule 804(b)(1) provides that “the party against whom the testimony is ... offered [must have] had an opportunity and similar motive to develop the testimony by direct, cross, or redirect examination.” Fed.R.Evid. 804(b)(1) (emphasis added).
In
Salerno,
We agree with our sister Circuits that district courts should apply a fact-specific inquiry to determine whether prosecutors had a similar motive to develop the testimony at the grand jury proceeding as they would have at trial.
Battle ex rel. Battle v. Mem’l Hosp. at Gulfport,
Our decision in
United States v. Miller,
We further note that the district court could have refused to admit the evidence for a more simple reason — the “party against whom the testimony is now offered,” the United States, never “had an opportunity” to “develop the testimony” of Pinkney or Owens before the Maryland grand jury. Maryland and the United States are separate sovereigns and, in the absence of evidence that the United States controlled the Maryland investigation, they should not be treated as the same party for purposes of Rule 804(b)(1). Maryland had the opportunity to develop the testimony of Owens and Pinkney before the grand jury. The United States did not. In
United States v. Peterson,
The Second Circuit held that the defendant could not take advantage of Rule 804(b)(1) by creating his own unavailability,
id.
at 13, but addressing the issue before us, held that the defendant could not use the “former testimony” exception because the United States was not a party to the state grand jury proceedings.
Id.
at 12. The Court relied upon the reasoning in
Heath v. Alabama,
In unusual circumstances not present here, separate sovereigns may be treated as one for the purposes of the Rule 804(b)(1) exception. In
United States v. Rashed,
That same reasoning applies here. If federal authorities control the actions of a state prosecutor before the grand jury, it may well be that the state and the federal governments should not be considered separate sovereigns for the purposes of Rule 804(b)(1). But here, the appellants have offered no evidence that the state authorities who directed the testimony before the Maryland grand jury were in any way controlled or even used by federal authorities. The only evidence the defendants point to is testimony from FBI Special Agent Lisi: “We [the FBI] tried to keep them [the Prince George’s County Police] involved. Their primary focus was the triple murder. We tried to let them know everything we [had] on the triple murder.” This showing falls far short of the mark we set in Rashed. It fails to suggest federal control over the Maryland prosecutor and providing information to Maryland authorities does not of itself turn the state grand jury proceeding into a “tool” for federal authorities.
VIII. Sentencing
Finally, we turn to the appellants’ challenges to their sentences under
United States v. Booker,
The district court sentenced the appellants to lengthy terms of imprisonment. Each received at least a life sentence, which, for some appellants, was mandated by statute apart from the United States Sentencing Guidelines (“Guidelines”). Each also received consecutive sentences beyond life imprisonment, some again mandated by statute but others set at the trial court’s discretion. All together, Carson received a life sentence followed by 220 years of consecutive time, 85 years of which were mandated by statute. 37 Both Sweeney and Coates received a life sentence followed by 85 years of statutorily-mandated consecutive time. 38 Hill initially received two consecutive life sentences. After the district court determined, however, that the Guidelines did not allow consecutive life sentences on federal counts, Hill received a life sentence followed by a consecutive sentence of 20-years-to-life. 39 Martin received a life sentence followed by 28-years-to-life of consecutive time, 5 years of which were mandated by federal statute. 40
In setting these sentences, the district court treated the Guidelines as mandatory. It made no statements regarding what it might have done were the Guidelines only
*383
advisory, nor did it provide alternative sentences. None of the appellants objected. At issue before us is whether the district court’s sentencing of the appellants is consistent with
United States v. Booker,
In
Apprendi v. New Jersey,
The government acknowledges that the district court applied the Guidelines to the appellants as if they were mandatory. That is error under
Booker. See Coles,
We have distinguished between those misapplications of the Guidelines in which a sentencing court increases a “sentence beyond the maximum that could have been imposed based solely on the facts reflected in the jury verdict,” which, because they violate the Sixth Amendment are constitutional
Booker
errors, and those cases in which the court’s error was only the mandatory, as opposed to advisory, treatment of the Guidelines.
See United States v. Simpson,
In Coles, we contemplated three potential outcomes of this review. First, “there undoubtedly will be some cases in which a reviewing court will be confident that a defendant has suffered no prejudice” such as where the judge imposes a “sentence at the statutory maximum and [states] that if he could he would have imposed an even longer sentence.” Id. at 769 (citation omitted). In those cases, we affirm the sen *384 tence. Second, “there will be some cases in which we are confident that the defendant suffered prejudice [such as] where the ... judge indicated on the record that, but for the Guidelines, she would have imposed a lower sentence.” Id. In those cases, we remand for full resentencing. 42 Third, as was the ease in Coles, there will be cases where “the record simply is not sufficient for an appellate court to determinate prejudice with any confidence.” Id. In those cases, we undertake the now-familiar Coles remand:
[W]e conclude that, because the record is insufficient to determine whether the error was prejudicial, we will remand the record to the District Court so that it may determine whether it would have imposed a different sentence materially more favorable to the defendant had it been fully aware of the post-Booker sentencing regime. In making this determination, the District Court need not determine what that sentence would have been. And while the District Court should obtain the views of counsel, at least in writing, [it] need not require the presence of the Defendant.
Id. at 770 (citations and quotation marks omitted). 43
The purpose of a
Coles
remand is to determine whether a trial court’s non-constitutional
Booker
error affected a defendant’s substantial rights.
Id.
at 767. As the Seventh Circuit stated, in language we relied upon in
Coles:
“The only practical way (and it happens also to be the shortest, the easiest, the quickest, and the surest way) to determine whether the kind of plain error argued in these cases has actually occurred is to ask the district judge.”
United States v. Paladino,
Appellants’ central argument is that the “record of [their] sentencing proceeding is the paradigm case for a remand for rede-termination because of its lack of clarity regarding the effect of a mandatory sentencing scheme on the decision of the district judge.” We disagree. No remand is needed for Carson, Coates, and Sweeney because the Violent Crime in Aid of Racketeering statute (VICAR), 18 U.S.C. § 1959(a)(1), and not the Guidelines, mandates that each of them receives a life sentence for their convictions.
Booker
cannot help them. They would not receive a “materially different” and “more favorable” sentence after
Booker. See Coles,
A. Samuel Carson, William Sweeney, Sean Coates.
No review of the record on remand is needed to know with certainty that Carson, Coates, and Sweeney would not have *385 received materially different and more favorable sentences under Booker than those imposed by the trial court before Booker. VICAR itself imposes a mandatory life sentence quite apart from anything required by the Guidelines. See 18 U.S.C. § 1959(a)(1). 44 The district court, ruling before Booker, mistakenly applied the Guidelines as if they were mandatory and sentenced Carson, Coates, and Sweeney each to multiple concurrent life sentences for their convictions of murder in the aid of racketeering. That was a mistake without consequence. No remand is needed because its inevitable outcome would be the imposition (again) of life sentences, only this time required by the mandatory language of VICAR instead of the Guidelines. See id.
Under
Coles,
a remand is inappropriate in those cases in which a statute requires the imposition of a sentence that is not materially different and more favorable than the sentence announced by the trial court under a mistakenly mandatory application of the Guidelines. “In assessing whether a district court committed prejudicial error under
Booker,
an appellate court must determine what the sentencing court would have done had it not committed the error.”
Coles,
B. Vincent Hill and Jerome Martin.
No remand is needed for Hill and Martin either. The district court, again applying the Guidelines as if they were mandatory, sentenced Hill and Martin to life sentences for their federal convictions. When it came to sentencing the two for their D.C. convictions, the district court had discretion to impose sentences either concurrent with or consecutive to the life sentences for their federal convictions. The district court exercised its discretion and chose the more severe option that added consecutive sentences onto their life terms. That choice makes us confident that Hill and Martin would have fared no
*386
better had the district court viewed the Guidelines as only advisory. A mandatory application of the Guidelines, though mistaken, does not, by itself, trigger a
Coles
remand. The touchstone of our analysis is whether we can, from the record, confidently predict what the trial court would have done under
Booker.
Our decision in
United States v. Smith,
In United States v. Smith, the trial court, treating the Guidelines as mandatory, twice exercised its discretion to make an upward departure to impose a prison term that exceeded what the Guidelines called for. 46 Id. at 499. The case reached us on a Booker challenge to the mandatory use of the Guidelines. We held that although the trial court erred, there was no need to remand the case for resentencing because the two discretionary upward departures made us confident that the trial court was not compelled by the Guidelines to impose a sentence more severe than its independent judgment would have determined most appropriate in a world governed by Booker. Id. If anything, the mandatory guidelines seemed to have placed a cap on the defendant’s sentence. We are confident that had the trial court acted under Booker, the defendant’s sentence would have been at least as severe as it was before Booker. Where the record supports that confidence, there is no need for a Coles remand.
Like the upward departures in
Smith,
the district court’s decision to impose consecutive sentences for Hill and Martin tacked on to the sentences they had already received convinces us that they were not prejudiced by the court’s mistaken view of the Guidelines.
Id.
“[Cjonfident that the sentence would not have been lower” for either Hill or Martin in a post-
Booker
sentencing regime, we affirm their sentences.
See Gomez,
For the foregoing reasons, we affirm all of the appellants’ convictions and the sentences imposed therefor. 48
So ordered.
Notes
. An eyewitness, Reginald Switzer, testified to seeing Hill stand behind Wright just before Wright was shot. Another individual recounted that shortly after the shooting, Hill had blood on the lower part of his leg, and remarked that "if anybody come looking for me, I was right here gambling with you all.” In threatening people in the neighborhood in later years, Hill made various statements suggesting he had killed Wright.
. Another individual, Raymond Washington, repeatedly discussed with others the death of Hallman and Hyson. Montgomery told Carson that Washington was "running his mouth about that situation.” Montgomery thought "that [they] should kill” Washington, which Carson did not initially want to do himself. But one day, when Montgomery believed Washington was "in a good position” such that he could "hit him where he is now,” Carson told Montgomery: "[i]f you can do it, then do it.” When Montgomery got his gun, Washington was gone, and Montgomery "just left it alone” after that.
. One of Thomas’s friends testified that she spoke with Thomas the night Thomas was *342 killed. Thomas appeared to be "very fussy” and "frantic.” Thomas had recently broken up with Carson, and the friend recalled seeing Thomas, a week earlier, take a "quite heavy” gym bag from under her bed and run with it downstairs.
. Years later, Arthur Rice indicated to Carson that he had always thought Martin shot Fortune and had recently heard that it was Carson. Carson laughed, and responded: "well, now you know.”
. Another witness testified that, before Pryor's kidnapping, he had heard of a plan, led by appellant Hill, to kidnap Pryor because "[h]e had plenty of money” and "[t]hey wanted the money.” Sweeney later suggested to a cellmate that Hill "kept playing him all the time,” promising assailants in the Pryor kidnapping, for example, $5,000 for their participation, yet they received nothing.
. Montgomery recounted that Sweeney later bragged to Montgomery and appellants Carson and Coates about having “hit [Whitfield] a few times” and having gone "over top of him and hit him some more,” after Whitfield previously "smacked [Sweeney] in the face.” The term "hit,” Montgomery explained, was usually used by the group to mean that someone "shot” someone. Two other witnesses recounted that Sweeney made substantially the same admission to them. A firearms expert testified that ammunition casings recovered from the scene of the Whitfield murder matched a gun recovered from Sweeney's grandmother’s house. The expert concluded that bullets recovered from the scene and Whitfield’s body "could have been fired” from that gun, but was not able to “positively de *344 termine” that this had been the case. The expert noted that the serial number on the barrel of the gun did not match the serial number on the frame of the gun, which “suggests that this barrel ... could have been replaced.”
. Police recovered twelve .40-caliber shell casings from the scene. Sweeney’s fingerprint was found on the storm door of the house. Sweeney later complained to another inmate that Montgomery “was telling on them” about "a case that he was in in [sic] Maryland, a triple homicide.” Sweeney threatened to kill Montgomery if he encountered him. Carson later complained to another that the triple murders were about "a money issue, a robbery” and if Montgomery "would never have opened up his mouth,” they “would have beat the case.”
. Coates believed that he had killed Sowells because Sowells stopped returning fire. Coates and Montgomery fought over who would get rid of the gun, but eventually Coates showed Montgomery where the gun was, and Montgomery threw it in the Potomac River by Fort McNair. Police recovered the gun from where Montgomery disposed of it.
. An inmate incarcerated with Martin testified that Martin “said he wasn’t concerned about [the murder case against him], because he had someone that was going to take care of that.”
. After "three or four” attempts to find Flip, they gave up during their last attempt because they found a crowd of people at the location Flip was reported to be at, and, according to Montgomery, they "didn’t know exactly how many people in the crowd had guns.” Carson was concerned that they "might be outgunned.”
.For example, because the group was concerned about driving into and out of Virginia carrying a gun, they buried a gun in the woods near Adams’s home. But when they returned one day to use it, it was missing.
. The rule was amended in 2002 "as part of the general restyling of the Criminal Rules to make them more easily understood and to make style and terminology consistent throughout the rules.” Fed.R.Crim.P. 23 Advisory Comm, notes to 2002 Amendments. Among the changes, the term "just cause” was replaced with "the more familiar term 'good cause.' ” Id.
. The appellants cited Gin-yard, in a letter submitted after oral argument pursuant to District of Columbia Circuit Rule 28(j).
. It is immaterial that, as the appellants note, Br. of Appellants 34, the district judge made no finding of just cause to dismiss following his initial Thursday examination of Juror No. 3 — the judge made fully supported findings after the subsequent dismissal based on information gleaned both from the initial examination and from later testimony by Adams and the three jurors.
. When asked whether he or "any members of [his] immediate family sustained any severe injury ... whether it was an accident at home, or on the farm or at work that resulted in any disability or prolonged pain and suffering,"
. The appellants attack, in particular, the judge’s determination that Juror No. 3 had misrepresented his use of mental health drugs, asserting he admitted to taking trazo-done only since his visit to the V.A. Hospital the Thursday before he was dismissed. Juror No. 3, however, testified that the medication had "been prescribed for [him] by the mental hygiene unit," with no date specified, 7/25/0lam Tr. 48, and Adams testified that security personnel at the V.A. Hospital knew Juror No. 3 by name and that he "learn[ed] from speaking with [them]" that Juror No. 3 was "someone who had visited that part of the hospital, the mental hygiene unit, on prior occasions as a patient,” id. at 18.
.
Liteky "was
a statutory case, where the claim was that the trial judge should have recused himself.”
United States v. Donato,
. In
Edmond,
the court stated that an anonymous jury is “warranted upon a showing of 'some combination' of five separate factors": (1) "the defendant’s involvement in organized crime, (2) the defendant's participation in a group with the capacity to harm jurors, (3) the defendant's past attempts to interfere with the judicial process, (4) the potential that, if convicted, the defendant will suffer a lengthy incarceration and substantial monetary penalties, and (5) extensive publicity that could enhance the possibility that jurors' names would become public and expose them to intimidation or harassment."
. The appellants did not argue in their briefs that the attire requirement violated their constitutional right to due process,
see Estelle v. Williams,
. In fact, the judge permitted Martin’s counsel to continue cross-examination beyond the limit. See Br. of Appellants 77 n. 208; 1/23/0lam Tr. 5.
. Other witnesses, who were incarcerated with Sweeney at the time, confirmed that he had identified Smith as an informant. Reginald Switzer, for example, overheard Sweeney say that he could not believe Smith was "snitching.” And Sweeney told Charles Bender that Smith was "snitching” and that "family or not, he has got to get dealt with.”
. That Smith's statements were to Special Agent Lisi, and therefore likely testimonial, is of no moment.
See Crawford,
. Sweeney told several people, while he was in jail, that Smith was "snitching” and that "family or not, he has got to get dealt with.” Montgomery testified that while in jail Sweeney asked Carson and him to visit and that after this visit Carson stated that without Smith the government would have no case against Sweeney. Carson also related his conversation with Sweeney about Smith being the likely informant. Carson and Montgomery immediately formulated a plan to kill Smith. Montgomery also testified that the other conspirators worried, as did he, that Smith was an informant for the police. And the government adduced considerable evidence that members of the conspiracy, including Sweeney and Coates, regularly murdered or attempted to kill witnesses or informants who could testify against them.
. Our conclusion is consistent with the rulings of other circuits.
See Thompson,
.Bourjaily
relied on
Ohio
v.
Roberts,
. It was unnecessary to conclude that Smith was a coconspirator in order to admit Sweeney’s statements.
See Bourjaily,
. Carson and Coates state that Smith sold drugs to four individuals. Special Agent Lisi identified only three.
. Although Hill apparently challenges the constitutionality of § 1959, it does not appear that the jury found him guilty of violating that section. He was indicted under § 1959 for the attempted murders of Anthony Pryor, Kimberly Richardson, and Reggie Jones in aid of racketeering activity. Only the attempted murder of Anthony Pryor was submitted to the jury, and it found him not guilty.
. Section 1959(b)(2) defines "enterprise” in terms of the group’s effect on interstate commerce. But the appellants do not claim that the K-Street gang had no such effect. Their argument is instead that § 1959 exceeds Congress’s Commerce Clause authority because the provision does not require that each act of violence affect interstate commerce.
. " '[Rjacketeering activity' ” is defined by reference to 18 U.S.C. § 1961.
Id.
§ 1959(b)(1). That statute defines such activity to include “dealing in a controlled substance or listed chemical (as defined in section 102 of the Controlled Substances Act), which is chargeable under State law.” 18 U.S.C. § 1961(1)(A). The enterprise here regularly engaged in, among other things, the sale of marijuana, a controlled substance.
See, e.g., United States v. Feliciano,
. This was the indictment before the court when the defendants moved to sever. Thereafter a retyped indictment was filed on January 4, 2001, and a second retyped indictment was filed on July 2, 2001. The charges of which Carson and Martin complain were alleged in each version. The verdicts relate to the July 2 indictment.
. The government need only allege "the facts necessary to sustain joinder,” not prove them.
Halliman,
. The joinder and severance of D.C.Code offenses follows these same standards. The U.S. District Court for the District of Columbia has jurisdiction over "[a]ny offense under any law applicable exclusively to the District of Columbia” if the “offense is joined in the same information or indictment with any Federal offense.” D.C.Code § 11-502(3). To be "joined” under § 11-502 means to be "properly joined under” Rule 8.
United States v. Jackson,
. When multiple defendants are tried together, the joinder of counts is governed by Rule of Criminal Procedure 8(b), even though Rule 8(a) would appear exclusively to deal with the joinder of offenses.
See Brown,
indictment ... may charge 2 or more defendants if [the government alleges that they] have participated in the same act or transaction, or in the same series of acts or transactions, constituting an offense or offenses. The defendants may be charged in one or more counts together or separately. All defendants need not be charged in each count.
Fed.R.Crim.P. 8(b).
.Appellants suggest that Rule 8(a) governs the joinder of the D.C.Code offenses under § 11-502(3). For this, they rely on
Richardson,
which explained that "joined” under § 11-502(3) "means properly joined in accordance with Rule 8(a).’ ”
. Although the grand jury transcript states that Owens testified that Green told the person. he was speaking with that "me just took *377 three people out of the street,” the parties agree that this was a transcription error.
. The district court sentenced Carson to concurrent life sentences for each of the federal offenses: narcotics conspiracy, RICO conspiracy, attempted murder in aid of racketeering, and four counts of murder in aid of racketeering. It also imposed, consecutively, a statutorily-mandated 5-year sentence for the federal offense of use of a firearm during and in relation to attempted murder and 20 years each on four additional counts of use of a firearm during and in relation to murder. Finally, the district court imposed consecutive sentences for each of the D.C. offenses for which he was convicted: 20-years-to-life for each of five counts of first degree murder while armed, 30-years-to-life on a sixth count of first degree murder while armed, and 5 years on assault with intent to kill while armed.
. Sweeney received concurrent life sentences for each of the federal offenses: narcotics conspiracy, RICO conspiracy, and four counts of murder in aid of racketeering. Likewise, Coates received concurrent life sentences for each federal offense of narcotics conspiracy, RICO conspiracy, and three counts of murder in aid of racketeering. Each also received a 20-year concurrent sentence for the federal offense of attempted murder in aid of racketeering, as well as a statutorily-mandated 5-year consecutive sentence for tire federal offense of use of a firearm during and in relation to attempted murder, and 20 years each on four additional counts of use of a firearm during and in relation to murder.
. The district court sentenced Hill to consecutive life sentences for the federal offense of narcotics conspiracy and RICO conspiracy. It also sentenced Hill to a concurrent term of 20-years-to-life for the D.C. offense of first degree murder and an 80-year, concurrent sentence for 16 counts of the federal offense of possession with intent to distribute marijuana. Joint Appendix at 3897-98. After determining that the Guidelines did not allow consecutive life sentences on federal counts, the court imposed concurrent life sentences for the narcotics and RICO conspiracies, and then a 20 year to life sentence for the D.C. offense of first degree murder to run consecutively to federal life sentences. Finally, the district court imposed an 80 year concurrent sentence for sixteen federal counts of possession with intent to distribute marijuana.
. The district court sentenced Martin to concurrent life sentences for the narcotics conspiracy and RICO conspiracy, 15 years for distribution of marijuana, and 5 years for possession with intent to distribute marijuana. It also imposed a statutorily-mandated 5-year consecutive sentence for the federal offense of use of a firearm during and in relation to murder. Finally, the district court imposed consecutive sentences for each D.C. offense for which he was convicted: 20-years-to-life for first degree armed robbery and 40 to 120 months for assault of a police officer with a weapon.
. In
United States v. Coumaris,
. We recently clarified this standard in
United States v. Gomez
and held that "if the record establishes a
reasonable likelihood
that the sentence would have been lower, we remand for full resentencing.”
. Appellants argue that our
"Coles
decision is in error and that the rule followed by the Fourth Circuit in
[United States v. Hughes,
. Section 1959 provides:
(a) Whoever, as consideration for the receipt of, or as consideration for a promise or agreement to pay, anything of pecuniary value from an enterprise engaged in racketeering activity, or for the purpose of gaining entrance to or maintaining or increasing position in an enterprise engaged in racketeering activity, murders, kidnaps, maims, assaults with a dangerous weapon, commits assault resulting in serious bodily injury upon, or threatens to commit a crime of violence against any individual in violation of the laws of any State or the United States, or attempts or conspires so to do, shall be punished — •
(1) for murder, by death or life imprisonment, or a fine under this title, or both[.]
18 U.S.C.A. § 1959 (emphasis added). We, like the Second Circuit, reach the common sense conclusion that the VICAR statute does not permit a fine to be levied in lieu of imprisonment or death.
See United States v. James,
. Coates made two other arguments attacking his sentence: (1) the district court erred in preventing him from presenting factors outside the Sentencing Guidelines; and (2) the district court mistakenly enhanced his sentence based on judge-found facts. Because any sentencing court would be required to impose a life sentence under VICAR, these arguments also fail.
.The district judge initially imposed a sentence of 46 months by departing upwards from the Guidelines sentence. Id. at 498-99. That decision was vacated and the case remanded on grounds other than Booker. Id. The district judge then imposed a sentence of 21 months after departing upwards a second time. Id. It was upon appeal of this sentence that the defendant raised the Booker challenge to his sentence that led to our decision in Smith.
. Because we affirm Hill's sentence for his first degree murder convictions, we need not address his constitutional
Booker
challenge to his other convictions. The sentences for those convictions run concurrent to his life sentence, thus no prejudice would result from a constitutional
Booker
error by the district court.
See Coles,
. We summarily affirm the district court as to any issue not specifically addressed in this opinion.
