Willie Easter, Paul Jemerigbe, and Ronnie Lea were convicted by a jury of various charges relating to their participation in an armed bank robbery. They raise several issues concerning their joint trial, and Lea also contests his sentence. We affirm the convictions of all three Appellants and we affirm Lea’s sentence.
BACKGROUND
In February 1994, Jemerigbe and Easter were tried by a jury for armed bank robbery, in violation of 18 U.S.C. § 2113, and for using a firearm during a crime of violence, in violation of 18 U.S.C. § 924(c). Lea was tried at the same time for aiding and abetting these crimes. The three defendants were accused of robbing the American Savings Bank in Stockton, California, on April 24, 1993, with Lea acting as the getaway driver. (Jemer-igbe was also charged with, and convicted of, robbing of the same bank just one month earlier, in March 1993.) During the trial, limited testimony was elicited concerning the fact that all three defendants were associated with the same gang, the “Northside Gangsters” (“NSG”). The admitted mastermind behind both robberies, Omie Hartman, was also linked to NSG. After eight days of trial and three days of deliberations, the jury returned guilty verdicts against all defendants.
On appeal, Easter, Jemerigbe, and Lea all argue that the evidence concerning their affiliation with NSG should not have been admitted. Easter and Lea also raise additional arguments. Easter argues that the trial court should have allowed a Government witness to be cross examined on the subject of the witness’ failure to register as a sex offender; that the court delivered an imper-missibly coercive Allen charge; and that the cumulative effect of the various errors requires reversal. Lea argues that there was insufficient evidence to support the firearms charge against him, and that the sentencing court erred by not granting him a downward departure for acceptance of responsibility.
DISCUSSION
I. The District Court Did Not Abuse its Discretion by Allowing Testimony That the Defendants Were Affiliated with the Same Gang.
A. Relevance
Decisions concerning the relevance of evidence are committed to the district court’s “sound discretion.” United States v. Gilley,
Evidence that Appellants were linked to NSG was relevant on the issue of identity because it helped link them to the mastermind who planned both robberies, and to the first robbery. NSG is a small, 25-m'ember gang. There was testimony that Hartman, who admitted planning both robberies, was an associate of the gang. Accordingly, finking Appellants to NSG also finked them to the planner of the robberies. Furthermore, to help him conduct the first robbery, Hartman recruited only NSG members (Jemerigbe, Larry Boyd, and a juvenile). This made the NSG membership of suspected accomplices in the second robbery even more relevant. Lastly, the getaway car recovered after the first robbery bore the initials “NSG” on the windshield, further enhancing the relevance of NSG affiliation.
B. Prejudice versus Probativeness
We review for abuse of discretion whether the district court erred in finding the evidence of Appellants’ membership in NSG more probative than prejudicial. “The district judge is given wide latitude in determining the admissibility of evidence under this standard.” Fagan,
In this case identity was a central issue. The robbers wore masks and gloves, and left no fingerprints. Their identities could not be discerned from videotape. The only witness to place Jemerigbe, Lea, and Easter at the scene of the second robbery was Hartman, and he was rigorously cross examined by all three defense attorneys. As Lea’s own counsel argued in' closing: “[T]he question is ... who committed the robbery?” Accordingly, evidence tending to show identity, such as the gang-related connections between the defendants, the mastermind of the crime, and the getaway car, was very probative.
On the other side of the scale, the prejudicial impact of the gang-affiliation evidence was minimized. Appellants rely on general, and admittedly valid, concerns that simply referring to a defendant as a gang member can cause prejudice in some jurors. In the present ease, however, several steps were taken, and others offered, to prevent undue prejudice. These safeguards rendered the evidenee of gang membership more probative than prejudicial.
The Government offered to stipulate to Appellants’ gang membership. It also submitted a cautionary instruction beforé trial; it limited its NSG evidence to the initials on the getaway car and to the membership status of the various defendants and witnesses; it refrained from inquiring about the nature of the gang, its history, other members, activities, or Appellants’ participation in specific gang activities; it did not emphasize the gang affiliation in its closing argument, but only made a few comments concerning the subject, in the context of the parties’ relationships to each other; and it made only one passing reference to gang affiliation (of a witness) in its rebuttal closing.
The district court also took several steps to minimize possible prejudice. It probed potential jurors, during voir dire, on the issue of bias due to gang affiliation; it dismissed three potential jurors who indicated that such evidence might influence their deliberations; it offered to give a cautionary instruction at trial; and it gave a cautionary instruction at the close of the trial.
In light of all the precautionary measures, and the Government’s limited questioning concerning gang affiliation, we hold that the gang-affiliation evidence did not “unduly” prejudice Appellants. See Abel,
C. Prior Bad Acts Evidence
Appellants’ challenge to the gang-affiliation evidence as impermissible “prior bad acts” evidence is precluded by a recent case in this circuit. In Santiago,
II. The District Court Did Not Abuse its Discretion by Refusing to Allow Defense Counsel to Cross Examine a Government Witness on His Failure to Register as a Sex Offender.
Easter argues that the district court erred by not allowing Lea’s counsel to cross examine Cleardis Oliver, a Government witness, on the subject of Oliver’s failure to register as a sex offender, as required by California law. Easter argues that Oliver’s desire to avoid potential punishment for this failure could have furnished Oliver with a substantial motivation to testify for the Government. We conclude that the jury had ample information from which it could evaluate Oliver’s motives and purported biases, however.
It is axiomatic that defendants have a Sixth Amendment right to confront witnesses. It is also true that a witness’ potential motives for testifying is a relevant inquiry. Davis v. Alaska,
Trial judges have “wide latitude” in determining the proper scope of cross examination. Delaware v. Van Arsdall,
Oliver testified to the district court, out of the presence of the jury, that he was unconcerned with his registration status. Corroborating this testimony, there was no evidence that he ever discussed the matter with the Government, let alone asked for assistance with it. Also bolstering this assertion is the fact that Oliver readily demonstrated a willingness to ask the Government for help in legal matters that did concern him.
At the time of his assistance, Oliver was in violation of his probation. He requested the FBI’s aid with the probation department, and they obliged. FBI Agent Safarik called Oliver’s probation department, set up a meeting, and subsequently attended that meeting. Oliver’s request for FBI assistance with his probation status, but not with his sex-offender status, corroborates his testimony that he was unconcerned with his sex offender status.
Moreover, the jury was presented with evidence of Oliver’s request for FBI assistance concerning his probation violation, thus diminishing any evidentiary value his sex-offender status may have held. That is, the jury was explicitly told (both by Oliver and Agent Safarik), that Oliver had asked for the FBI’s assistance in a matter that could have led to his reincarceration — precisely the type of bias that Easter argues could have been shown through Oliver’s sex-offender status. As this court has recognized, the district court need not allow cross examination into such cumulative evidence: “When the trial
III.The District Court Did Not Err in Delivering an Allen Charge.
Easter argues that a modified Allen charge given by the district court after the jury had deliberated for two days was imper-missibly coercive. The district court’s decision to give the charge must be upheld unless it is clear from the record that the charge had an impermissibly coercive effect on the jury. United States v. Lorenzo,
Easter admits that the charge itself was “mild enough that it would be unobjectionable if it were given when the case was first submitted to the jury,” but argues that “the giving of the charge after the jury had declared a deadlock presents a different picture.” This ignores the fact that Allen charges are almost always given not at the beginning of deliberations, but after the jury has demonstrated an inability to reach a prompt verdict. See, e.g., Lorenzo,
Further, the usual indicia of coercion are absent in this case. Unlike Sae-Chua, wherein this court found an Allen charge impermissibly coercive, the judge in this case did not know the numerical division of the jury, or even which way the jury was leaning, let alone which way each particular juror was inclined to vote. Accordingly, no juror in this case had any reason to believe that the charge was being leveled at her, or even that the charge was aimed at jurors on one side or the other. See Lorenzo,
The only proposed evidence of coercion forwarded by Easter is the fact that the jury reached a verdict four hours after the charge was given (two and a half hours if their lunch break is not included). But this court has found Allen charges non-coercive when juries responded more quickly than this. See, e.g., United States v. Bonam,
IV. Cumulative Errors do not Require Reversal as to Easter.
' Because we reject each of Easter’s various claims, we reject his “cumulative error” claim, as well. See United States v. Gutierrez,
V. The Jury’s Firearm Verdict Against Lea Was Supported by Sufficient Evidence.
Lea argues that there was insufficient evidence to support his conviction for aiding and abetting armed bank robbery, and aiding and abetting the use of firearms during a crime of violence. The crux of Lea’s argument is that there was not sufficient evidence that he knew that the other defendants were going to use guns during the bank robbery. The jury’s verdict must be sustained if, “after viewing the evidence in the light most favorable to the prosecution, any rational trier of fact could have found the essential elements of the crime beyond a reasonable doubt.” Jackson v. Virginia,
Lea relies heavily upon United States v. Dinkane,
VI. The Sentencing Court Did Not Err by Not Granting Lea a Downward Departure for Acceptance of Responsibility.
Lea argues that the district court erroneously believed that it lacked discretion to grant him a downward departure for acceptance of responsibility, because he did not plead guilty, but instead put the Government to its burden of proof at trial. We affirm the denial of the downward departure.
The district court did not deny Lea the downward departure because Lea failed to plead guilty. Rather, the district court explained: “[T]he timing of circumstances of defendant’s admission makes it under the commentary inappropriate for the court to consider that there has been an admission.” The district court was correct. The timing of Defendant Lea’s admission did make the downward departure for acceptance of responsibility inappropriate.
Application note 2 to U.S.S.G. § 3E1.1 (Nov. 1992) states, in part: “This adjustment is not intended to apply to a defendant who puts the government to its burden of proof at trial by denying the essential elements of guilt, is convicted, and only then admits guilt and expresses remorse.” The note goes on to explain, however, that conviction by trial does not automatically preclude a downward departure. Rather, in “rare situations” a defendant will be able to “clearly demonstrate an acceptance of responsibility for his criminal conduct even though he exercises his constitutional right to a trial.” The note emphasizes, however, that the timing of the defendant’s admission is indeed critical: “[A] determination that a defendant has accepted responsibility will be based primarily upon pre-trial statements and conduct.”
A recent case cited by Lea demonstrates a “rare situation” in which a defendant exercised his right to trial, yet by his pre-trial statements and conduct demonstrated an acceptance of responsibility for his actions. In United States v. McKinney,
McKinney, rather than supporting Lea’s position, underscores why it is without merit. Unlike McKinney, who manifested an acceptance of responsibility at the first available moment, Lea has forwarded no proof whatsoever that he manifested such an acceptance at any time prior to the sentencing process. Only after putting the Government to its burden of proof at trial, after being interviewed by a Probation Officer, and after the subsequent draft of the presentence report was prepared, did Lea write a letter acknowledging his guilt and apologizing for his actions. This case is the paradigmatic case addressed by application note 2 to Section 3E1.1. Although McKinney demonstrates
CONCLUSION
For the foregoing reasons, we AFFIRM the judgments against Jemerigbe, Lea, and Easter, as well as Lea’s sentence.
Notes
. This case is thus distinguishable from Dawson v. Delaware,
