MEMORANDUM & ORDER
On June 15,2015, the government filed a sealed Juvenile Information against Defendant John Doe, charging him with one count of conspiracy to provide material support to a Foreign Terrorist Organization in violation of 18 U.S.C. § 2339B.
I. Background
The charges in the Juvenile Information stem from Defendant’s alleged participation in a conspiracy to provide material support to a Foreign Terrorist Organization (“FTO”),
a. Defendant’s background and relationship with Saleh
Defendant, a United States citizen, was born on [redacted text], and, prior to his arrest, lived in Queens, New York. (GX 1 ¶ 4; GX 2.) Saleh was Defendant’s Mend, who also lived in Queens before being arrested with Defendant. (GX 1 ¶¶3, 5.) Defendant and Saleh visited and prayed at the same mosque in Queens and sometimes discussed spirituality, religion and politics together, and Defendant sometimes sought “religious guidance” from Saleh.
Through judicially authorized surveillance, law enforcement learned that Defendant and Saleh discussed their admiration for ISIL and the organization’s tactics and goals. (GX 1 ¶ 14; GX 14A.) In May of 2015, Defendant sent a text-message to Saleh, stating, “I’ve been looking more into it ... we should talk in person ... Bro ... we have this Friday too so you can tell me moré about it____it just makes sense.” (GX 1 ¶ 14 (ellipses in original); GX 14A.) In response, Saleh asked Defendant, “U mean establishing Islam the same way the Prophet (saaws) did?” to which Defendant replied, ‘Yeah and dude it’s like their [sic] doing it step by step and perfectly ... The exact ways and rules of the prophet ... I was watching an inside doc on dawlah.”
On or about June 10, 2015, Defendant accessed websites related to ISIL, Islamic pronouncements about the use of violence, and the role of jihadist theology in armed conflict. (GX 1 ¶20.) Two days later, Defendant discussed religious beliefs with another individual who remarked that he wanted to help homeless people but had been “bothered” by the police for doing so. (GX 1 ¶ 21.) In response, Defendant stated that he did not “go by those laws” and was “down for the trouble,” stating, “[e]ven if I did get arrested, I’d be happy [because] we did [it] for a right reason.” (GX 1 ¶ 21 second and third alterations in original).)
b. Defendant and Saleh’s alleged plot and subsequent arrest
According to the government’s submissions, the JTTF’s investigation uncovered
On or about May 29, 2015, Defendant told Saleh that while Defendant was driving, he noticed a law enforcement vehicle following him and was able to evade and then follow the vehicle. (GX 1 ¶ 27.) Defendant told Saleh that he had 'seen law enforcement following him in the past, and believed that they were likely listening to their phone calls. (Id.) On or about June 9, 2015, Defendant also informed a third-party that he knew law enforcement was surveilling him and that his phone calls were being recorded, (GX 1 ¶ 28.) Defendant also- discussed how to evade law enforcement surveillance. (Id.)
In the early morning hours of June 19, 2015, while conducting surveillance, law enforcement observed an unnamed co-conspirator driving Defendant and Saleh in a sport utility vehicle (“SUV”). (GX 1 ¶ 32.) Law enforcement observed them visit a car-wash where they vacuumed the interi- or of the vehicle. (Id.) Thereafter, law enforcement observed the SUV perform “anti-surveillance maneuvers” and then follow another law enforcement vehicle that had been surveilling the SUV. (Id.) At approximately 4:00 AM, both the. SUV and a law enforcement vehicle stopped at an intersection. (GX 1 ¶ 33.) Defendant and Saleh got out of the SUV and approached the law enforcement vehicle but then got back into to the SUV. (Id.) Thereafter, Defendant and Saleh got out of the SUV again, this .time running towards the law enforcement vehicle on each of its sides. (Id.) As Defendant and Saleh approached the law enforcement vehicle, the driver of that vehicle reversed the vehicle to escape, and a second law enforcement vehicle arrived on the scene. (Id.) The driver of the second law enforcement vehicle ordered Defendants to the ground at gunpoint. (GX 1 ¶¶ 33-34; Tr. 78:25-79:11; Gov. Mem. 3.) Defendant and Saleh were then arrested.
II. Discussion
a. Standard of review
Under the JDÁ, a juvenile who is at least fifteen-years-old, and who has allegedly committed an act that, if committed by an adult, “would be a felony that, is a crime of violence,” may be prosecuted as an adult if the Attorney General moves to transfer the juvenile for adult criminal prosecution, and a district court “finds that it is ‘in the interest of justice’ to grant a transfer.” United States v. Nelson,
in weighing a motion to transfer, the district court must consider six factors:
“In deciding whether to transfer a juvenile defendant to adult status, the district court need not accord each of the six factors equal weight — the court may balance the factors in any manner it feels appropriate.” United States v. Nelson,
b. Qualifications for transfer
The government asserts that it has established the statutory prerequisites for transfer and that the six relevant factors weigh in favor of transfer. (Gov.Mem.23.) Defendant does not contest certain statutory requirements: he admits that he was seventeen-years-old at the time of the charged crime and that the Attorney General has approved his transfer for adult criminal prosecution. (Def. Opp’n to Gov. Mot. to Transfer (“Def. Opp’n”), Docket Entry No. 24.) However, Defendant argues that (1) the six factors weigh against transfer and (2)' the government cannot establish that Defendant is charged with a “crime of violence” as required under the JDA, because that term'is void-for-vagueness. (Def. Opp’n 8-18; Def. Supp. Mem. in Opp’n to Mot.-to Transfer (“Def.Supp. Mem.”) 1-5, Docket Entry No. 26.) Before turning to the six factors relevant to transfer under the JDA, the Court addresses the threshold constitutional issue raised by Defendant.
i. Crime of violence
The JDA provides, in pertinent part, that ,a juvenile “shall not be proceeded against in any court of the United States unless the Attorney General, after, investigation, certifies to the appropriate district court of the United States that ... the offense charged is a crime of violence that is a felony____” 18 U.S.C. § 5032; see also United States v. Doe,
Under 18 U.S.C. § 16, a “crime of violence” is:
(a) an offense that has as an element the use, attempted use, or threatened use of physical force against the person or property of another, or (b) any other offense that is a felony and that, by its nature, involves a substantial risk that physical force against the person or property of another may be used in the course of committing the offense.
18. U.S.C. § 16. In determining whether a particular offense qualifies under this provision, a court “necessarily begin[s] with the plain language of [the relevant] statute.” Vargas-Sarmiento v. U.S. Dep’t of Justice,
Because § 16(b)’s definition of “crime of violence” focuses on an offense’s “nature” rather than its elements, courts apply a “categorical approach” to determine whether an offense qualifies as a “crime of violence” under § 16(b). See Santana,
1. Defendant’s vagueness challenge to “crime of violence” under the JDA
Defendant objects to his transfer under the JDA, arguing that the government
“To ensure that persons are not denied liberty -without due process, the law requires that criminal offenses be defined ‘with sufficient definiteness that ordinary people can understand what conduct is prohibited and in a manner that does not encourage arbitrary and discriminatory enforcement’ ” Knife Rights, Inc. v. Vance,
The Supreme Coúrt recently held in Johnson that part of the definition of a “violent felony” in the ACCA was facially vague and violated due process. Johnson, — U.S. —,
According to the Court, “[t]wo features of the residual clause conspire[d] to make it unconstitutionally vague”: (1) “uncertainty about how to estimate the risk posed by a crime” and (2) “uncertainty about how much risk it takes for a crime to qualify as a violent felony.” Id. at —,
In asking the Court to uphold the ACCA’s residual clause, the government pointed to 18 U.S.C. § 16(b) and an appendix of other statutes, cautioning that they contained language similar to the ACCA’s residual clause. Supp. Brief for Respondent at 22, App. A, Johnson, — U.S. —,
A. Defendant’s vagueness challenge is properly reviewed as-applied
Defendant asserts that in light of Johnson, 18 U.S.C. § 16(b)’s definition of “crime of- violence” is unconstitutionally vague on its face, and the Court must deny the government’s transfer motion. (Def.
“A vagueness challenge may be either facial or as-applied.” Expressions Hair Design,
Regardless of whether facial vagueness challenges may be maintained outside of the First Amendment context, the Court must first evaluate the statute as-applied. See United States v. Coppola,
As the Second Circuit has noted, the preference for as-applied review follows from “the principle that a person to whom a statute niay constitutionally be applied will not be heard to challenge that statute on the ground that it may conceivably be applied unconstitutionally to others, in other' situations not before the Court.” Farhane,
Here, although Defendant cites Johnson in support of his facial challenge to the JDA, nothing in Johnson altered the well-settled rule in this Circuit that such challenges should'first be reviewed as-applied to the objecting Defendant.
B. As applied to Defendant, “crime of violence” is not void-for-vagueness
The government argues that the term “crime of violence” under the JDA is not unconstitutionally vague as-applied, because Defendant is charged with conspiring to provide material support to a FTO. (Gov. Mem. 8-10; Gov. Reply. 1-3.) According to the government, the material support statute, 18 U.S.C. § 2339B, explicitly contemplates the use of physical force required to qualify as a “crime of violence” because it provides for enhanced punishment for offenders whose material support results in the death of another. (Gov. Mem. 8-10; Gov. Reply 3.) In response, Defendant argues that because the Court must employ a categorical approach and estimate the risks posed by the offense to determine whether material support qualifies as a crime of violence, the constitutional infirmities identified in Johnson invalidate the JDA even as applied to the charged conspiracy to provide material support. (Def. Opp’n 10-11; Tr. 135:13-136:3.)
In reviewing an as-applied challenge, courts focus on the twin concerns of the void-for-vagueness doctrine — fair notice and arbitrary enforcement. See Farhane,
In the instant case, the Court considers whether an ordinary person would know that a “crime of violence” under 18 U.S.C. § 16(b) encompasses a conspiracy to provide material support to a FTO in violation of 18 U.S.C. § 2339B. That provision provides, in pertinent part:
Whoever knowingly provides material support or resources to a foreign terrorist organization, or attempts or conspires to do so, shall be fined under this title or imprisoned not more than 20 years, or both, and, if the death of any person results, shall be imprisoned for any term of years or for life.
any property, tangible or intangible, or service, including currency or monetary instruments or financial secuiities, financial services, lodging, training, expert advice or assistance, safehouses, false documentation or identification, communications equipment, facilities, weapons, lethal substances, explosives, personnel (1 or more individuals who may be or include oneself), and transportation, except medicine or religious materials.
18 U.S.C. § 2339A. To be culpable, § 2339B explicitly requires that an actor know one of three things about the organization he or she is materially supporting: (1) that the organization is a “terrorist organization;” (2) that the organization has engaged in or engages in “terrorist activity;” or (3) that the organization has engaged in or engages in “terrorism.”
In Lindh, the defendant moved to dismiss part of an indictment charging him with using or carrying a firearm in violation of 18 U.S.C. § 924(c), arguing that his alleged material support of a FTO could not qualify as the predicate “crime of violence” required by 18 U.S.C. § 924(c). Lindh,
Similar to the court in Lindh, the district court in Goba held that providing material support constitutes a crime of violence under the Bail Reform Act.
Here, the Court is not persuaded that § 16(b) fails to provide notice to an ordinary person that, “by its nature,” conspiring to provide material support to a FTO will qualify as a crime of violence. The material support statute as a whole — the punitive scheme it sets out and the knowledge it requires to be guilty of the offense — compels the conclusion that § 16(b) does provide notice to the ordinary person that conspiring to provide material support to a FTO will qualify as a crime of violence.
First, as the government correctly notes, by including enhanced penalties in cases where “death of any persons results,” the face of the statute at least contemplates that physical force may be required in committing the offense. Second, to be culpable, the material support statute requires that any material support be provided “knowingly,” specifically, with the knowledge that the organization is a terrorist organization, or that the organization engages in or has engaged in terrorist activity or terrorism. 18 U.S.C. § 2339B. The statute’s definitions for these terms— terrorist organization, terrorist activity and terrorism — demonstrate that .the entire enterprise of providing material support to a FTO presents serious risk of physical force, as the definitions encompass, a wide range of violent acts.
While a defendant need not carry out 'the “assassination,” the “highjacking or sabotage of [a] conveyance,” 8
This is also true as to material support. As the Supreme Court recognized, Congress prohibited the provision of material support or resources to these organizations, based on a finding that these organizations' “are so tainted by their criminal conduct that any contribution to such an organization facilitates that conduct.” Holder v. Humanitarian Law Project,
In reaching this conclusion, the Court rejects Defendant’s argument that, under Johnson, “crime. of violence” is vague even as-applied to § 2339B because the Court" must apply a categorical approach and estimate risk in determining whether material support qualifies as a “crime of violence.” This argument flows from a misreading of Johnson.' Although the dissent in Johnson argued that the majority’s language seemingly invalidated any statute requiring courts to use a categorical approach and estimate risk, the majority expressly rejected that reading of its holding, reaffirming the validity of the categorical approach and risk estimation. Johnson, — U.S. —,
Here, although the inquiry under § 16(b) is not focused on the elements or conduct underlying the material support charge, the Court finds that the risk estimation required to assess whether providing material support presents a substantial risk that physical force may be used falls short of the wide-ranging thought experiment previously required by the ACCA. This is so because of the central difference between § 16(b) and the ACCA’s residual clause: § 16(b) is concerned with any risk that physical force may be used rather than the resultant risk of physical injury. Compare 18U.S.C. § 16(b) (requiring a “substantial risk that physical force against the person or property of another may be used”) with id. § 924(e)(2)(B)(ii) (requiring a “serious potential risk of physical injury to another”). This is a critical distinction that the Supreme Court and others have recognized. See Leocal, 543 U.S. at 10 n. 7,
Accordingly,' the Court finds that “crime of violence” is not unconstitutionally vágue as applied to the charge of conspiracy to provide material’ support to a FTO. A judicially imagined conspiracy to provide material support to a FTO will alwáys involve “a substantial risk of physical force against the person or property of another” given the necessarily violent actions of the FTO receiving support. When an ordinary person conspires to provide material support to such an organization, a simple review of the JDA and § 2339B provides sufficient notice that it would constitute a “crime of violence” as required for transfer under the JDA.
ii. Consideration of the six factors under the JDA
As it is undisputed that Defendant was over fifteen-years-old at the time of the charged offense, and, having found that Defendant is charged with a crime of violence, the Court turns to the evidence presented at the evidentiary hearing to assess the six factors that must be considered in weighing a motion to transfer.
1. Defendant’s age and social background
In assessing a juvenile’s age and social background,- “[t]he Second Circuit has instructed that a district court should consider a juvenile defendant’s age not only at the time of the offense, but also at the time of the transfer hearing,” Juvenile Male,
Here, Defendant was born on [redacted text] and was [redacted text] shy of his eighteenth birthday at the 'time of his arrest on June 13, 2015. (GX 1 ¶ 3; GX 2; GX 3.) At the time of the September 22, 2015 transfer hearing, Defendant was eighteen-years and [redacted text] old. (Tr. 43:21-24; GX 2; GX 3.) The Court finds it significant that Defendant was seventeen-years-old throughout the time period covering Defendants’ interaction with Saleh and others. This is not a case involving a defendant who, at a very young age, engaged in the offense conduct. Because Defendant was only [redacted text] shy his eighteenth birthday at the time of his arrest, and because Defendant is presently over the age of eighteen, the Court finds that Defendant’s age weighs heavily in favor of transfer. See Sealed Defendant 1,
As to Defendant’s social background, the Court finds that this factor is neutral. The parties presented minimal evidence regarding Defendant’s home life. The evidence establishes that Defendant has a two-parent family, and that-both parents have been supportive -of Defendant throughout his life. (Tr. 82:23-25; 113:15-19.) For example, when Defendant’s parents learned of Defendant’s deficient academic performance, they both attended counseling sessions, with Defendant and school administrators. (Tr. 46:2-13; GX 3.) Defendant’s parents have also been supportive of Defendant in connection with the instant matter. They were present at Defendant’s post-arrest interview and have attended all of Defendant’s appearances before this Court. (Tr. 83:1-25, 113:15-19; GX 12.)
Defendant also appears to have some mentoring relationships.. At home, Defen
Although the complete picture is less than clear because of the lack of evidence regarding Defendant’s family life, it does appear that Defendant’s alleged conduct occurred despite him having supportive family members and mentors providing him with advice. Defendant’s decision to engage in' the offense conduct despite a support system has more bearing on Defendant’s possible response to intervention and treatment, but also demonstrates that Defendant is surrounded by family and friends who create an environment conducive to successful rehabilitation. Cf United States v. Juvenile Male No. 2,
The Court finds that Defendant’s social background does not weigh for or against transfer,- but given Defendant’s proximity to the age of majority at the time of the offense and-his-age at the time of the transfer hearing, his age weighs heavily in favor of transfer.
2. Nature of the alleged offense
As stated at the outset, “a district court should not undertake an examination of the strength of the government’s evidence in evaluating a transfer motion, but instead should ‘assume that, for the purposes of the transfer hearing, the juvenile committed the offense charged -in the Information.’ ” Juvenile Male,
The ‘nature of the charged offense' is serious.
In addition, the seriousness of Defendant’s physical confrontation with law en
3. Nature and extent of Defendant’s prior delinquency record
The government concedes that Defendant has never been adjudicated a juvenile delinquent, which weighs against transfer. See United States v. Doe,
The Second Circuit has not directly addressed whether unadjudicated conduct like prior arrests may be considered in evaluating a juvenile’s prior delinquency record on a motion to transfer.. See Juvenile Male,
The Court does not consider Defendant’s unadjudicated conduct in determining the scope of his delinquency record, but considers it in assessing Defendant’s psychological maturity and intellectual development. Defendant’s lack of juvenile convictions weighs against transfer. However, the absence of a prior delinquency record is not dispositive. See Juvenile Male,
The Court finds that Defendant’s psychological maturity and intellectual development weighs in favor of transfer. Before Defendant turned eighteen-years-old, he sought and obtained several jobs. (GX 7; Tr. 58:6-62:15; 63:16-20.) In 2014 and 2015, Defendant worked part-time for a production company as a sound assistant and video camera operator. (Tr. 61:1-8.) In that position, at the age of seventeen, Defendant traveled out of state on business trips. (Tr. 61:9-23.) In [redacted text] 2014, when he was seventeen-years and [redacted text], Defendant traveled to Detroit, Michigan to work for a video production company at a convention. (Tr. 62:2-4; GX 6B.) In May of 2015, Defendant traveled to Baltimore, Maryland to work for the same video production company. (Tr. 62:7-9.) Defendant was not accompanied by his parents on his trip to Maryland. (Tr. 62:10-15.) In 2014, Defendant was also employed by [redacted text], a pharmacy, and [redacted text], a non-profit charity. (GX 6C; GX 7; Tr. 99:13-23.) The evidence of Defendant’s work history suggests a person with a substantial psychological maturity and intellect, and his work with the video company, in particular, shows someone capable of earning the trust of his employer.
Defendant also engaged in work-related misconduct that the Court finds relevant to the evaluation of this factor. Defendant was terminated by [redacted text] for stealing, and it appears from the evidence that Defendant also stole from another employer. While working for [redacted text], Defendant stole money by forging payroll checks totaling $4425. (Tr. 99:9-25, 102:7-10; GX 6C.) In addition, according to notes purportedly kept by Defendant while working at [redacted text] and [redacted text], he stole $3500 and $2000 from each respectively. (Tr. 98:24-99:6.) The government argues that Defendant’s theft and fraud shows a pattern of criminal behavior that increased in complexity, which evidences Defendant’s maturity. (Tr. 146:18-21.) Contrary to the government’s argument, the Court is not persuaded that Defendant’s check forging was a particularly complex or sophisticated fraud scheme. The scheme involved Defendant hand-printing false checks to match amounts printed on his employer’s computerized payroll checks. (See GX 6C.)
Although not sophisticated, the Court finds that Defendant’s check fraud scheme is illustrative of a deliberative process similar to Defendant’s actions in the charged offense. In executing his forgery scheme, Defendant obtained checks bearing the company’s name and account numbers, and, rather than forging checks for large amounts, Defendant created each forged check for the same dollar amount listed on actual payroll checks his employer had already paid. (GX 6C.) Defendant continued to create false checks in amounts listed on paid checks even after his first successful forgery. (GX 6C.) This aspect of the scheme reflects some thought process by Defendant as to how to most effectively — rather than most lucratively — commit the crime.
In the instant case, the actions Defendant allegedly took upon realizing he was being followed by law enforcement reflect a similar deliberation that evidences some level of psychological maturity and intellectual development. Instead of immediately acting on impulse when Defendant believed he was being followed, he consulted with numerous people in the days leading up to his physical confrontation with law enforcement. (GX 9A; GX 9B; GX 9C; GX 9D.) Defendant asked [redacted text], “should I follow, should I just back
The Court’s evaluation of Defendant’s intellectual capacity is also informed by the journal he kept, purportedly memorializing “every single thing [Defendant] ever stole” or “did bad,” both small and large dating back to his time in middle school. (GX 14C; GX 15A; GX 15B.) This journal recounts Defendant’s theft from his prior jobs, and includes checkmarks for the misdeeds that Defendant “fixed.” (Tr. 104:5-7; GX 14C; GX 15B.) This evidence shows Defendant’s maturity; that he is someone who has an ability to reflect on what he has done and the capacity to recognize when his conduct is wrong. Taken together, these facts suggest that juvenile based rehabilitation would be less effective for Defendant. See Nelson I,
Defendant argues that his failure to meet his family’s expectations demonstrates his immaturity and weighs in favor of denying transfer. No evidence supporting these assertions was presented at the hearing, and the Court therefore cannot assess these claims. However, even assuming their truth, they do not undermine the Court’s conclusion that Defendant’s maturity and intellectual development weigh in favor of transfer.
5. Defendant’s response to past treatment and the nature of those efforts
The Court finds that this factor weighs slightly against transfer, because the record lacks information about Defendant’s prior treatment or counseling aside from counseling sessions about his academic performance. (Tr. 46:6-20.) Defendant’s high-school records indicate that when Defendant was in danger of not graduating due to his academic performance and absences, the school counselor met with Defendant and his family. (Tr. 46:6-20; GX 3; DX D.) Contrary to the government’s assertion, although the record reflects some continued academic issues, Defendant did ultimately graduate, suggesting that Defendant did respond to the counseling. (GX 3.)
In arguing that this factor weighs in favor of transfer, the government asserts that Defendant ignored guidance from his parents and friends, asking him “to avoid contact with radical jihadists.” (Gov. Mem.21-22.) The government also cites to Defendant’s alleged lies to law enforcement during his post-arrest interview. (Id.) Based on these facts, the government argues that Defendant “would likely serve as a hindrance to the efforts of the juvenile facility to rehabilitate other juveniles.” (Id. at 22.) In addition to requiring the Court to make large leaps in logic, this conclusion does not address the essence of this factor. In light of rehabilitative goals central to the transfer analysis, the Court is concerned with how Defendant has responded to treatment in the past in order to predict how he may respond in the future. The minimal record presented suggests that Defendant has responded to
6. Availability of programs designed to treat Defendant’s behavioral problems.
According to Peter Brustman, a contract oversight specialist with the Federal Bureau of Prisons (“BOP”), a juvenile convicted of a terrorism-related crime, like conspiracy to provide material support to a FTO, must be held in a “secure” facility. (Tr. 8:13-21.) However, because no secure juvenile facility exists in the State of New York, Brustman testified that the nearest suitable facility would likely be in Montana or South Dakota. (Tr. 10:19-11:1.) The government argues that because New York State has no secure facilities capable of housing a juvenile convicted of a terrorism crime, and because there are no juvenile programs available to adequately “address the conditions.that made him sympathetic to radical jihadist ideas,” this factor weighs in favor of transfer. (Gov.Mem.22.)
Here, “[f]or the government to carry its burden of persuasion, it must, of course, do more than merely assert' the unavailability of an appropriate program. It must make a showing that it has investigated various options but is still unable to find a suitable and available program.” Nelson I,
In sum, having considered each factor, the Court finds that, collectively, they weigh in favor of transferring ’ Defendant for adult criminal prosecution. Defendant was [redacted text] shy of his eighteenth birthday throughout the time period of the underlying conspiracy and was eighteen years [redacted text]-old at the time of his transfer hearing. • Thus, his age weighs heavily in favor of transfer. Defendant’s course of conduct reflects a deliberate act in joining the alleged conspiracy and in engaging in the physical confrontation with law enforcement that precipitated his arrest. . Therefore, given the nature of, and Defendant’s participation in, the underlying conspiracy to provide material support to. a FTO, this factor weighs heavily in favor of transfer. Defendant consistently sought and maintained employment, and his performance demonstrates his psycho
III. Conclusion
For the reasons set forth above, the Court concludes that, under the JDA, Defendant is eligible to be transferred for adult criminal prosecution. In -addition, after thoroughly considering and balancing the six statutory factors set forth in 18 U.S.C. § 5032, the Gourt finds that-transferring Defendant to adult status is in the interest of justice. Accordingly, the Court grants the government’s motion and transfers Defendant for adult criminal prosecution.
SO ORDERED:
Notes
. Pursuant to the statutory requirements of the Juvenile Justice and Delinquency Prevention Act (“JDA”), to date, all proceedings and documents in this case have been sealed. 18 U.S.C. § 5038(e). The JDA requires that during a juvenile delinquency proceeding, neither the name nor picture of any juvenile shall be made public. Id.
. The allegations set forth are taken from the government’s motion papers and supporting documents and the evidence presented at the September 22, 2015 hearing. On a transfer motion, the court must "assume that, for the purposes the transfer hearing, the juvenile committed the offense charged in the Information,” United States v. Nelson,
.ISIL is one of many aliases for al-Qa-ida in Iraq ("AQI”), a group that the United States Secretary of State designated as a FTO in
.Throughout this Memorandum and Order, the Court refers to exhibits offered at the September 22, 2015 transfer hearing as “GX_" for the government exhibits, and "DX_” for Defendant's exhibits.
. On occasion, Defendant referred to Saleh as his "Mufti hotline” and "Sheikh hotline.” (GX 1 ¶ 7,) The government asserts that “Mufti” refers to an Islamic scholar.
. The government asserts that “Dawla al Isla-miya” is a known alias of ISIL and that Defendant’s use of "dawlah” was a reference to ISIL. (GX I ¶ 14.)'
. It is unclear from the parties’ submissions whether the third individual, who was purportedly driving the SUV at some point prior to this confrontation, was present at that time and, if so, whether he was also arrested.
. As the Second Circuit recently noted, Johnson seemingly creates a new mode of analysis for facial vagueness challenges, given Johnson ’s apparent rejection of the rule that to be facially invalid outside the First Amendment context, a statute must be unconstitutionally vague in all of its applications. Expressions Hair Design v. Schneiderman,
. 18 U.S.C. § 2339B looks to other statutes to define "terrorist organization,” "terrorist activity” and "terrorism.” 18 U.S.C. § 2339B. The statute cross-references the Immigration and Nationality Act ("INA") definition of "terrorist activity,” which includes acts involving, among other things, “[a] violent attack upon an internationally protected person ... or upon the liberty of such a person,” “[a]n assassination,” or the use of any explosives, firearms, or other weapon or dangerous device "with intent to endanger, directly or indirectly, the safety of one or more individuals or to cause substantial damage to property.” 8 U.S.C. § 1182(a)(3)(B)(iii)(I)-(V). Section 2339B also defines “terrorist organization^” as those organizations designated as “foreign terrorist organizations” under the INA, which permits that designation if the organization is (1) foreign; (2) engages in “terrorist activity” as defined in the INA; and (3) "the terrorist activity or terrorism of the organization threatens the security of United States nationals or the national security of the United States.” 8 U.S.C. § U89(a)(l)(A)-(C). Section 2339B also cross-references the Foreign Relations Authorization Act’s definition of "terrorism,” which "means premeditated, politically motivated violence perpetrated against noncombatant targets by subnational groups or clandestine agents." 22 U.S.C. § 2656f(d)(2).
. At the outset, the court noted that 18 U.S.C. § 924(c)(3), which defines “crime of violence,” is identical to the definition in 18 U.S.C. § 16(b), and therefore, under the Second Circuit approach, required the court to take a categorical approach to determining whether material support qualified as a crime of violence. United States v. Lindh,
. The definition of "crime of violence” in the Bail Reform Act is identical to the . definition in 18 U.S.C. § 16(b). 18 U.S.C. § 3156(a)(4)(B) (defining a crime of violence as a felony "that, by its nature, involves a substantial risk that physical force against the person or property of another may be used in the course of committing the offense").
, The differing scope of a court’s inquiry under § 16(b) and under the ACCA’s residual clause would be similarly relevant in distinguishing Johnson on a facial challenge to § 16(b).
. Because the term "crime of violence” under the JDA is constitutional as-applied to Defendant’s case, the Court does not proceed to consider Defendant’s arguments' that the term is facially invalid. See United States v. Farhane,
. Defendant asserts that the government has not claimed that Defendant planned to join ISIL abroad or assist others in doing so, and argues that Defendant's browsing of the internet for a pressure cooker, his time spent with Saleh, and Saleh and Defendant's actions in attempting to physically confront the individuals in the law enforcement surveillance vehi-de fail to show that Defendant "planned to build or detonate a bomb on anyone’s behalf." (Def, Opp’n 13.) However, the strength or weakness of the government’s proof is irrelevant, as the Court must assume the government could prove that Defendant conspired to provide material support to a FTO. See Nelson I,
