Lead Opinion
Opinion concurring in part and concurring in the judgment filed by Senior Circuit Judge SENTELLE.
A jury convicted Dante Sheffield of unlawful possession of 100 grams or more of phencyclidine (PCP) with intent to distribute, in violation of 21 U.S.C. § 841(a) and (b)(l)(B)(iv). Based in part on its application of a career-offender enhancement, the
Sheffield challenges both his conviction and sentence, arguing that the district court erred in (i) denying his motion to suppress the PCP discovered during the search of a car in which he was a passenger, (ii) refusing to suppress statements he made following his arrest but before he received his Miranda warnings, (iii) admitting evidence of a decade-old drug conviction, (iv) denying his post-trial motion for independent testing of the drug evidence, and (v) applying the career-offender enhancement at sentencing. We affirm the judgment of conviction, but we reverse the district court’s imposition of the career-offender enhancement, vacate Sheffield’s sentence, and remand to the district court for resentencing.
I
A
On the evening of June 8, 2011, Metropolitan Police Department Detectives Christopher Smith and Michael Iannaс-chione, along with two other officers, were driving in an unmarked police car through the 2300 block of 11th Street, N.W., in Washington, D.C. Detective Smith spotted Dante Sheffield, whom he and the other officers recognized from an earlier PCP investigation in the area. The officers then observed Sheffield and an unknown male enter a ear with tinted windows. One of the officers told Detective Smith that “he wanted to at least make a contact just to see who the [unjidentified * * * male was.” Supp. App. 7. Before they did so, however, they witnessed the car “pull[ ] * * * slightly forward and ma[ke] a sharp left without using a turn signal into' an alleyway[.]” Id at 8. The officers followed closely behind the car, which then made a right turn out of the alley “without using its signal.” Id. At that point, the officers initiated a traffic stop.
All four officers approached the vehicle, two on each side of the car. After asking the occupants to roll down the windows because of the tinting, Detective Smith observed a woman, Brande Dudley, in the driver’s seat, Sheffield in the passenger seat, and the unknown male, Anthony Grant, in the rear seat. Detective Smith later testified that he had detected a “faint” but “fresh” smell of marijuana on the passenger side. Supp. App. 10. In addition, Smith noticed “numerous air fresheners all [over] the vehicle,” “on the top, the bottom, the back, the front, all over the car.” Id. After asking for Dudley’s license, the officers asked the three occupants to get out of the vehicle.
Officers then searched the inside of the vehicle. Upon unlocking and opening the armrest console, Detective Iannacchione was immediately met with “a strong chemical odor” and found an eight-ounce lemon juice bottle, “which through [their] investigation was consistent with that of storing and packaging of PCP in large quantities.” Supp. App. 11-12. Detective Iannacchione opened the cap and noticed “a strong chemical [odor] consistent with that of PCP.” Id. at 12. At that point, the officers placed all three individuals under arrest.
Sheffield then asked Detective Smith “[w]hat are we getting arrested for?” Supp. App. 12. Smith responded that the arrest was for “[wjhat was in the car,” to which Sheffield responded “[e]verything is mine.” Id. After another detective began speaking privately with Brande Dudley, Sheffield “became more irritatеd and started yelling toward their direction for her not to say nothing, that they didn’t have a strong case, they got nothing on us, don’t say anything.” Hearing Tr. 15-16 (Sept. 16, 2011).
B
1
The government indicted Sheffield on one count of unlawful possession with intent to distribute 100 grams or more of PCP, 21 U.S.C. § 841(a)(1) & (b)(l)(B)(iv). Before trial, Sheffield filed motions to suppress the physical evidence of the PCP and his statements made during his arrest.
The district court denied Sheffield’s motions to suppress. First, the court held that Dudley’s two turns made without signaling gave the officers probable cause to believe she had committed a traffic violation. The court rejected Sheffield’s argument that the traffic violations were mere pretext for a stop and search targeted at him because “the officers’ subjective motivations do not render unconstitutional a search that is otherwise justified by objective circumstances.” J.A. 70.
Second, the district court held that the search of the vehicle was lawful, citing inter alia “the smell of marijuana and the unusual number of air fresheners in the car[.]” J.A. 74. The court further held that the officers’ search of the locked armrest console was proper because there was a “ ‘fair probability’ that [the defendant] might have hidden additional drugs not necessary for his current consumption in areas out of plain sight, including the trunk of a ear” or an armrest console. Id. at 75 (quoting United States v. Turner,
Third, with respect to Sheffield’s statements that everything in the car “is mine” and that “they [don’t] have a strong case, they’ve got nothing on us,” the district court ruled that Miranda warnings were not required for their admission. The court explained that the statements “were not made in response to a question posed by the officers, nor did the officers take any action to which defendant Sheffield’s response was required or expected.” J.A. 77.
The district court separately granted the government’s motion to admit a record documenting Sheffield’s conviction in 2002 for possession with intent to distribute PCP, pursuant to Federal Rule of Evidence 404(b).
2
At trial, Detectives Smith, Iannacchione, and a third officer involved in the stop and arrest all testified to the circumstances of the traffic stop, the discovery of the PCP, and Sheffield’s statements at the time of his arrest. In addition, the jury heard testimony from the law enforcement officials who transported, stored, and tested the PCP found in the car, including “two arresting officers, who observed and seized the lemon juice bottle at the scene of the traffic stop; three other officers who established the chain of custody of the lemon juice bottle, and detailed their handling, storage, and documentation of the evidence; and a DEA forensic chemist, who testified as to his testing of the PCP evidence.” J.A. 132. The jury learned that photographs were taken of the lemon juice bottle and that the quantity and weight of the liquid was measured. Id. In addition, the jury heard that, because a DEA regulation prohibits the agency from accepting more than 28.35 grams of PCP for testing, Officer Joseph Abdalla “separated approximately one ounce of the drug evidence into a vial and gave it to [the DEA chemist]” for testing. Id. at 133. The remaining PCP was never tested; though it was introduced at trial. The jury subsequently found Sheffield guilty of possessing with intent to distribute 100 or more grams of PCP.
Treating it as a motion for a new trial in light of newly discovered evidence under Federal Rule of Criminal Procedure 33, the district court denied the motion. The court explained that testing the remaining liquid would not lead to new evidence that could produce an acquittal because (i) five officers “testified as to the smell, seizure, documentation, field testing, and storage of the drug evidence,” and Sheffield never argued that such testing was erroneous or that the witnesses were not credible, J.A. 136-137; (ii) measurement of the PCP six months after Sheffield’s arrest would “provide[] minimal probative value” because PCP evaporates over time, id. at 137; and (iii) testing the remaining PCP would not address whether the drugs presented at Sheffield’s trial were the same drugs seized at his arrest, id. at 138.
Sheffield was sentenced to 230 months of imprisonment and 96 months of supervised release. In calculating that sentence, the district court applied a career-offender еnhancement under the United States Sentencing Guidelines.
II
Sheffield first challenges the admission of the PCP discovered during the search of the car. We decide de novo whether the police had probable cause both to stop the car and to search it. See, e.g., United States v. Burroughs,
A
Given the district court’s factual findings, we hold that the officers had probable cause to stop the car in which Sheffield was riding. “As a general matter, the decision to stop an automobile is reasonable where the police have probable cause to believe that a traffic violation has occurred.” Whren v. United States,
Here, the officers had probable cause to believe that the driver of the vehicle had violated a mandatory traffic regulation because the driver twice failed to signal a turn, in contravention of. D.C. Municipal Regulations, Title 18 § 2204.3. Section 2204.3 provides that “[n]o person shall turn any vehicle * * * from a direct course or move right or left upon a roadway without giving an appropriate signal * * * if any other traffic may be affected by the movement.” In this case, the district court found that Dudley, the driver of the car in which Sheffield was riding, first “turn[ed] sharply into an alley without using a turn signal,” and then after leaving the alley “ma[de] another right turn without a turn signal” when another car was behind her. J.A. 63, 69. Under Whren, those violations of D.C. traffic law provided probable cause to stop the vehicle, see
Sheffield does not deny that those traffic infractions occurred, but argues that their
Binding precedent forecloses that argument. The test for probable cause is an objective one, focusing on whether the stop was reasonable. See Whren,
That means that, contrary to Sheffield’s argument, “ulterior motives [cannot] invalidate police conduct that is justifiable on the basis of probable cause to believe that a violation of law has occurred.” Whren,
Accordingly, the two undisputed signaling violations committed in front of the officers’ car provided an objectively reasonable basis for the officers to believe that the driver had violated the traffic laws, and that in and of itself provided probable cause to stop Dudley’s car.
B
We likewise hold that, given the district court’s factual findings, probable cause existеd to search the car after the stop.
1
To begin with, the government argues that Sheffield lacks Fourth Amendment “standing” to challenge the search of the vehicle because he was just a passenger in a car that did not belong to him. But that argument is forfeited because the government failed to raise it in district court.
To be clear, Fourth Amendment “standing” is not really a “standing” inquiry at all. Ordinarily in federal cases, “standing” refers to the jurisdictional requirement that a plaintiff have a sufficient stake in the outcome of the case to be entitled to litigate it. See Susan B. Anthony List v. Driehaus, — U.S. -,
Fourth Amendment “standing,” by contrast, has nothing to do with jurisdiction. Fourth Amendment standing instead limits the assertion of Fourth Amendment rights to those who have an individualized expectation of privacy in the searched property: “[Suppression of the product of a Fourth Amendment violation can be succеssfully urged only by those whose rights were violated by the search itself, not by those who are aggrieved solely by the
So understood, Fourth Amendment standing is merely an aspect of the substantive merits of a Fourth Amendment claim, inquiring whether the party invoking the Amendment has a privacy interest that was invaded. As the Supreme Court has explained, it would serve no “useful analytical purpose to consider this principle a matter of standing, distinct from the merits of a defendant’s Fourth Amendment claim.” Rakas v. Illinois,
As a non-jurisdictional principle of substantive law, Fourth Amendment “standing” is subject to ordinary rules of waiver and forfeiture, as a number of circuits have held. See United States v. Golson,
Two decades ago, this court indicated otherwise, allowing the government to raise a Fourth Amendment standing objection for the first time on appeal. In United States v. Caicedo-Llanos, this court held that “we are powerless to rule on Fourth Amendment rights which do not belong to the parties before us,”
Since those decisions, the Supreme Court’s ruling in Minnesota v. Carter,
Carter thus confirms our jurisdiction to decide this case on the merits be
2
While the Fourth Amendment generally requires the police to obtain a warrant for a search, motor vehicles are different both because of their mobility and the government’s extensive regulation of their use. See Pennsylvania v. Labron,
In this case, the smell of marijuana, in conjunction with other evidence of drug use, provided probable cause to believe the vehicle contained drug сontraband, which in turn supported a search of the car’s compartments. In United States v. Turner,
In this case, the district court found that one officer smelled the “faint” scent of “fresh marijuana,” and saw an abnormally large number of air fresheners throughout the car, which in the officers’ experience was consistent with efforts to disguise narcotics odors. J.A. 73. Finding no clear error in those fact findings, we hold that the officers had probable cause. See United States v. Ortiz,
Ill
Sheffield next challenges the admission into evidence of his statement to
“Miranda warnings are required where a suspect in custody is subjected to interrogation.” United States v. Vinton,
There is no dispute that Sheffield was not being questioned at the time of the statements. Rather, unrefuted testimony establishes that Sheffield himself started talking on his own, asking “[w]hat are we getting arrested for?” Supp. App. 12. Detective Smith responded not with a question, but with the matter-of-fact statement: “[w]hat was in the car.” Id. Without anything further from the officers, Sheffield then declared: “Everything is mine.” Id.
So too for Sheffield’s statement that “they [don’t] have a strong case.” He made that statement after another officer spoke to Brande Dudley in a separate conversation to which Sheffield was not even a party.
Sheffield argues that the officer’s statement to Ms. Dudley that she would be taken back to the station and that she might lose her vehicle was intended to elicit a response from Sheffield. Pet. Br. 34. But such a commonplace explanation given to a third party, which was not made in a manner designed for Sheffield to even overhear, cannot amount to an interrogation of Sheffield. In United States v. Morton,
That same answer applies here, especially where one of the officer’s statements was not even made to Sheffield. Instеad, in both instances, it was Sheffield who “initiated the conversation * * * and concede[d] that [the officer] did not ask h[im] any questions.” Morton,
IV
Sheffield argues that the district court improperly allowed the government to admit “other crimes” evidence under Federal Rule of Evidence 404(b). Specifically, he objects to the jury being told that, “[i]n February 2002, Defendant Dante Sheffield was convicted of a possession with intent to distribute Phencyclidine, PCP in the District of Columbia Superior Court.” Supp. App. 52. We agree that the district court erred in admitting that evidence, but the error was harmless.
We review the district court’s decision to admit evidence under Rules 403 and 404(b) for an abuse of discretion. See Henderson v. George Washington University,
“Convictions are supposed to rest on evidence relevant to the crime charged, not on evidence of other, unrelated bad acts suggesting nothing more than a tendency or propensity to engage in criminality.” United States v. McGill,
In addition to Rule 404(b)’s specific limitations on the admission of evidence of prior bad acts, “Federal Rule of Evidence 403 permits a court to exclude otherwise-relevant evidence ‘if its probative value is substantially outweighed by a danger of unfair prejudice, confusing the issues, misleading the jury, undue delay, wasting time, or needlessly presenting cumulative evidence.’ ” McGill,
When it comes to evidence of prior drug dealings, we have recognized that “[a] defendant’s hands-on experience in the drug trade cannot alone prove that he possessed drugs on any given occasion.” United States v. Crowder,
But even general rules have their limits, and “evidence of a prior conviction is subject to analysis under Rule 403 for ' relative probative value and for prejudicial risk of misuse as propensity evidence,” Old Chief v. United States,
“Wrongly admitted evidence, however, does not always compel reversal.” McGill,
Admission of the stale conviction was harmless for three reasons. First, the bad-act evidence “was neither so dramatic nor compelling as to rivet the jury’s attention on [Sheffield’s] bad character[.]” United States v. Brown,
Second, “the district court took caution to guard the space between the permissible and impermissible inferences by instructing the jury to consider the evidence only for its proper purpose.” United States v. Mitchell,
If you find that Mr. Sheffield was previously convicted of possession with intent to distribute PCP, you may use this evidence only for the limited purpose of determining whether the Government has proved beyond a reasonable doubt that Mr. Sheffield intended to possess [the] PCP found in this case knowingly and on purpose and not by mistake or accident.
You may not use this evidence for any other purpose. Mr. Sheffield is only on trial for the crimes charged. You may not use this evidence to conclude that Mr. Sheffield has a bad character or that he has a criminal personality. The law does not allow you to convict a defendant simply because you believe he may have done bad things not specifically charged as crimes in this case.
Supp. App. 74-75. And during final jury instructions, the district court reiterated the рurpose of the Rule 404(b) evidence:
*309 You have heard evidence by way of a stipulation that Mr. Sheffield was previously convicted of possession with intent to distribute PCP. * * * You may use this evidence only for the limited purpose of determining whether the Government has proved beyond a reasonable doubt that Dante Sheffield intended to possess the PCP found in his case knowingly and on purpose and not by mistake or accident.
You may not use this evidence for any other purpose, Dante Sheffield is only on trial for the crime charged.
You may not use this evidence to conclude that the defendant has a bad character or that he has a criminal personality. The law does not allow you to convict a defendant simply because you believe he may have done bad things not specifically charged as crimes in this case.
Id. at 124. Absent evidence to the contrary, the jury is presumed to have followed that instruction, and Sheffield offers no such contradictory evidence. Brown,
Third and finally, “[t]he most significant factor that negates the error’s impact is the weight and nature of the evidenсe against [the defendant].” United States v. Williams,
Y
Turning to the post-trial stage of the proceedings, Sheffield challenges the district court’s denial of his motion for independent testing of the portion of the seized PCP that was not submitted to the DEA for analysis. The district court treated that as a motion for a new trial because the motion sought to challenge the jury finding that Sheffield was guilty of “unlawfully, knowingly and intentionally possessing] with intent to distribute” PCP in “the amount of * * * 100 grams or more,” J.A. 12,120.
We review a district court’s denial of a motion for new trial for an abuse of discretion. See United States v. Johnson,
The district court reasonably concluded that testing the remaining liquid in the lemon juice bottle was unlikely to produce an acquittal. The jury heard ample, detailed, and unrebutted testimony describing the transportation and testing
The jury also heard Officer Abdalla testify about how he tested and processed the PCP. He first photographed the lemon juice bottle and then conducted a field test by sticking a tester directly into the lemon juice bottle’s liquid, which came back positive for PCP. Trial Tr. 201-202 (Nov. 29, 2011). Officer Abdalla then weighed -the PCP using two different measurement techniques. Id. at 211-212. He determined that the lemon juice bottle contained approximately 195.9-198.7 grams of liquid. Supp. App. 96. Officer Abdalla next undertook “the remediation process,” in which he took “a bulk amount of the liquid * * * [and] remov[ed] one ounce from that bulk substance, plac[ing] it into a small glass vial and then * * * submitted [it] to the Drug Enforcement Administration chemist for analysis.” Id. at 85-86. Officer Abdalla explained that extracting out a single-ounce vial was necessary because the DEA lab would not “accept any more than a one ounce sample from any seizure of PCP.” Id. at 87.
After that, the jury heard testimony about the DEA’s testing process. Officer Abdalla gave the one-ounce vial to a detective, who placed it in a heat-sealed package for submission to the DEA lab. The detective placed the vial “into a secure evidence property box * * * where it [was] then * * * transported to [the] DEA lab for analysis.” Supp. App. 48. At the DEA, Richard Isaacs, a forensic chemist, tested the liquid in the vial and determined that the vial contained 25.9 grams of liquid that was 16.9% PCP. Isaacs also testified that, when he received the vial, the heat seal was intact.
Finally, at the beginning of trial, the remaining PCP was made available in the courthouse for Sheffield and his attorney to inspect. The lemon juice bottle was ultimately admitted into evidence, along with five photographs of the bottle, its contents, and its wеight, all of which were taken the night of Sheffield’s arrest.
Notably, Sheffield did not challenge any of that testimony at trial. He never argued, for example, that the testing process was flawed, that those witnesses were not credible, or that the chain of custody was interrupted.
The jury, in sum, considered the unre-butted “testimony of five Metropolitan Police Department officers who testified as to the smell, seizure, documentation, field testing, and storage of the drug evidence,” viewed “photographs of the lemon juice bottle and its contents that were taken shortly after the evidence was seized” that indicated “the weight of the liquid, its quantity, and the amount separated for DEA testing,” and heard “the testimony of the DEA forensic chemist who tested the liquid sample and identified the liquid as PCP.” J.A. 136-137. Given that extensive trial record addressing the handling and testing of the liquid found in the lemon juice bottle and the scientific determinations that it was PCP and of its amount, the district court did not abuse its discretion in concluding that further testing of the remaining seven ounces of PCP had no
Other factors governing motions for a new trial reinforce the district court’s judgment. To begin with, the evidence Sheffield’s motion sought could have been obtained before the district court issued its judgment. Specifically, Sheffield could have sought independent testing of the PCP before trial, but he did not. Resp. Br. 48. Furthermore, to the extent that Sheffield seeks to double check the measurements the various officers performed, those goals would not be served by testing the remaining seven ounces of liquid now because it is undisputed that “some of the remaining seven ounces of PCP [would have] evaporated over time despite being sealed in a plastic bottle and a heat-sealed evidence bag.” J.A. 129.
Finally, Sheffield suggests that, under California v. Trombetta,
For all of those reasons, the district court did not abuse its discretion when it denied Sheffield’s motion to test the PCP evidence.
VI
Lastly, Sheffield challenges the district court’s imposition of a sentence enhancement for being a career offender. The district court invoked a Sentencing Guidelines provision to increase Sheffield’s sentence based on a determination that he “ha[d] at least two prior felony convictions of either a crime of violence or a controlled substance offense.” U.S.S.G. § 4Bl.l(a). Specifically, the government introduced evidence that Sheffield had previously been convicted of possession with intent to distribute PCP and attempted robbery in the District of Columbia. Applying the career-offender enhancement increased Sheffield’s Guidelines offense level from 26 to 37, which in turn moved his original Guidelines range of 92 to 115 months up to 360 months to life in prison. The district court ultimately sentenced Sheffield to 230 months in prison.
Sheffield argues that the career-offender enhancement was erroneously applied because his attemрted robbery conviction does not qualify as a crime of violence under Sentencing Guideline 4Bl.l(a). Although we typically review de novo a district court’s determination that a defendant’s “conviction qualified as a crime of violence,” In re Sealed Case,
Unfortunately, the district court never specified which clause of the “crime of violence” definition it believed applied to Sheffield’s attempted robbery conviction. Nor did the Presentence Report or the government’s sentencing memorandum. See Gov’t Sentencing Mem. ¶ 7. At the sentencing hearing, the district court stated only that “your 2007 conviction for attempted robbery * * * qualifies you under the Guidelines as a career offender under the Guideline Section 4Bl.l(b).” Sentencing Tr. 12.
The record, however, leaves only the residual clause as a possible basis for finding that attempted robbery constituted a crime of violence. That is because the government “carries the burden of proving any facts that may be relevant in sentencing.” United States v. Price,
The district court committed plain error by concluding that Sheffield’s attempted robbery conviction supported an enhanced sentence. In Johnson v. United States, — U.S. -,
While this case involves the Sentencing Guidelines rather than ACCA, the government agrees with Sheffield that Johnson’s rationale equally requires resentencing in this direct appeal. See Gov’t Supp. Br. 4 n.3 (“[T]he government has consistently
Furthermore, constitutional challenges may be brought against the Guidelines even though they are only advisory. See Peugh v. United States, — U.S. -,
So too with a constitutional vagueness challenge. Where the Guidelines “exert controlling influence on the sentence that the court will impose,” Peugh,
Finally, the district court’s plain error unquestionably affected Sheffield’s substantial rights. See Olano,
Nor can the increase be sustained on the alternative ground of relying on the “elements clause.” That clause requires a conviction to be based on a crime that “has as an element the use, attempted use, or threatened use of physical force against the person of another.” U.S.S.G. § 4B1.2(a). Importantly, “[i]n determining
Under that test, D.C.’s attempted robbery statute is not categorically a crime that “has as an element the use, attempted use, or threatened use of physical force against the person of another,” § 4B1.2. At the time Sheffield was convicted, D.C.’s “[a]ttempt to commit robbery” provision read: “Whoever attempts to commit robbery, as defined in § 22-2801, by an overt act, shall be imprisoned for not more than 3 years or be fined not more than $500, or both.” D.C. Code § 22-2802. The robbery statute, in turn, defines the offense as: “by force or violence, whether against resistance or by sudden or stealthy seizure or snatching, or by putting in fear, * * * tak[ing] from the person or immediate actual possession of another anything of value[J” Id. § 22-2801.
As the “stealthy seizure” clause indicates, D.C.’s robbery statute includes “offenses that fail to qualify as crimes of violence under section 4B1.2.” In re Sealed Case,
There is just one more wrinkle in this inquiry. The Supreme Court has allowed for a “modified categorical approach” to identifying crimes of violence for offenses that do not categorically satisfy the elements clause in those rare instances when that statutory offense is “divisible.” A statute is divisible if it “list[s] potential offense elements in the alternative, [and thus] renders opaque which element played a part in the defendant’s conviction.” Descamps,
But D.C.’s attempted robbery statute is not divisible — that is, it does not set out “multiрle, alternative versions of the crime” that include both violent and nonviolent elements. Descamps,
The same cannot be said, though, of D.C.’s attempted robbery statute. That statute does not include those same alternative versions of the crime. “The elements of attempted robbery are that (1) the defendant committed an act which was reasonably adapted to the commission of the offense of robbery, (2) at the time the act was committed, the defendant acted with the specific intent to commit the offense of robbery, and (3) the act went beyond mere preparation, and carried the project forward to within dangerous proximity of the criminal end to be sought.” Robinson v. United States,
Thus, tо convict a defendant of attempted robbery, D.C. law requires a jury to find beyond a reasonable doubt only that the defendant committed an act in furtherance of and with the specific intent to commit generic robbery, not any specific type of robbery (whether violent or stealthy). Nothing in the statutory text or case law requires a jury, in convicting a defendant of attempted robbery, to first find that the defendant committed one of multiple alternative elements, one of which is a crime of violence under the elements clause. Quite the contrary, attempted robbery is a loosely defined crime, with an expansive overt act requirement that is not tied to any specific type of robbery — violent or otherwise. Indeed, in Jones v. United States,
Because attempted robbery is an indivisible crime, we may not consult documents — such as the indictment or plea colloquy — to determine whether Sheffield’s offense qualifies as a crime of violence. See Mathis,
In sum, the district court’s plain error under the residual clause affected Sheffield’s substantial rights because his sentence cannot be saved under the elements clause. The unlawfulness of his sentence necessarily affects the fundamental fairness and integrity of his conviction. Sheffield is entitled to a resentencing without the career-offender enhancement.
VII
We affirm Sheffield’s conviction, but vacate his sentence and remand for resen-tencing consistent with this decision.
So ordered.
Notes
. The Eleventh Circuit appears to have had conflicting precedent on the issue. Compare United States v. Gonzalez,
. One other circuit has continued to hold that the government need not obey ordinary argument-preservation rules when it comes to Fourth Amendment standing, but has done so precisely because it is the defendant's burden to establish the invasion of a protected expectation of privacy. See United States v. Paopao,
. In a supplemental filing with this Court, the government offered United States v. McCarson,
. We accordingly need not decide whether Sheffield's conviction would in fact have qualified as a crime of violence at the time of sentencing.
. This court's determination that D.C.'s robbery statute is divisible preceded the Supreme Court's recent decision in Mathis v. United States, - U.S. -,
. Last month, the Supreme Court granted certiorari in Beckles v. United States, No. 15-8544, to decide whether Johnson applies to enhancements under Sentencing Guidelines § 4B1.2. The government, however, has conceded that Sheffield is entitled to a new sentencing and has not requested that his case be held pending Bedeles. We agree that disposition is appropriate.
Concurrence Opinion
concurring in part and concurring in the judgment:
I concur in the decision of the court, and in much of what the court’s opinion has to say. On only two points do I differ from the thinking of the majority. First, I do not join the majority’s discussion in Part IV, concluding that the district court “improperly allowed the government to admit ‘other crimes’ evidence undér Federal Rule of Evidence 404(b).” Maj. Op. at 307.
As the majority recognizes, “[w]e review the district court’s decision to admit evidence under Rules 403 and 404(b) for an abuse of discretion.” Id. (citing Henderson v. George Wash. Univ.,
we have recognized that “[a] defendant’s hands-on experience in the drug trade cannot alone prove that he possessed drugs on any given occasion.” United States v. Crowder,141 F.3d 1202 , 1208 n.5 (D.C. Cir. 1998). But “it can show that he knew how to get drugs, what they looked like, where to sell them, and so forth.” Id. Said another way, “[e]vi-dence of a defendant’s experience in dealing drugs * * * may be a ‘brick’ in the ‘wall’ of evidence needed to prove possession.” Id. Thus, the type of evidence the government introduced here— that of Sheffield’s prior PCP dealing— would generally be permissible to show that Sheffield had the requisite knowledge and intent to possess and distribute the PCP the officers found in the armrest console.
Maj. Op. at 307.
By holding that the district court nonetheless erred in admitting the evidence because, under Rule 403, “the staleness of [Sheffield’s 2002] conviction reduces its probative value such that-it is ‘substantially outweigh[ed]’ by the danger of unfair prejudice already inherent in the admission of prior-bad-act evidence,” id. at 308 (citing United States v. Bigesby,
I would add that I not only do not understand how we can properly reverse a balancing whose resolution is allocated to the district court on nothing more than our differing opinion as to the effect of “staleness,” but also do not share the majority’s view that there is staleness. Therefore, of the four judges who have viewed the question of the admission of this evidence, two circuit court judges would, apparently in their discretion, not have admitted it. The district court judge, charged with the actual duty of deciding whether or not to admit it, decided to admit it. And, finally, one of the circuit court judges supposed to review
Differing from the majority, I would find no error at all in the admission of the evidence and would deem it perfectly consistent with the exception to Rule 404(b) recognized in such cases as Crowder and with Rule 403. However, though the majority perceives an error not apparent to me, they deem it harmless. With that resolution, I join the majority’s disposition on Sheffield’s merits appeal.
I also differ from the majority with respect to the analysis supporting its conclusion'that there is plain error in the sentence. See Maj. Op. at 311-15. As I have stated on a prior occasion, “I fear that this circuit is drifting toward a jurisprudence in which there is no distinction between reviewing for ‘plain error’ and simply reviewing to determine whether the district court erred.” United States v. Head,
Briefly put, I simply do not see any definition of “plain” that requires an analysis based on a decision as to a different statutory scheme — that is the sentencing guidelines as opposed to the Armed Career Criminal Act — and as to which there was no consensus among the circuits nor controlling authority from this court or the Supreme Court.
That said, in the end, I agree with the court’s judgment as to both merits and sentencing issues, and I therefore concur.
