Opinion for the Court filed by Circuit Judge SENTELLE.
Appellant Franklin D. Norris, Jr. (“appellant” or “Norris”) appeals from his conviction on five counts of using communications facilities in connection with drug trafficking in violation of 21 U.S.C. § 843(b); one count of possessing with intent to distribute more than 500 grams of cocaine, 21 U.S.C. §§ 841(a), 841(b)(l)(B)(ii); and one count of carrying a firearm during the commission of a drug traffick scheme, 18 U.S.C. § 924(c)(1). He argues that the Court erred in not giving a missing witness instruction to the jury, in misstating the law of entrapment in its instructions, and in denying him a fair trial by its participation in cross-examination of the defendant. Concluding that none of the allegations of error is sufficiently meritorious to warrant reversal, we affirm.
*1521 I. Background
This is the odd criminal case in which there is virtually no dispute as to facts. The government’s evidence shows that Norris engaged in several telephone conversations with Emile Manara, a Drug Enforcement Administration (“DEA”) undercover agent, for the purpose of setting up a transaction to sell two kilograms of cocaine to the agent in exchange for $26,000. On October 7, 1987, when they met to consummate the deal, Manara and another agent arrested appellant and seized two kilograms of cocaine from his car and a pistol from his person. Norris contests none of this.
Norris claimed that he was entrapped into committing the offenses by Barbara Walters, a DEA informant. The government does not dispute the evidence offered by Norris in support of this defense. Norris’s uncontradicted evidence was to the effect that Walters moved into the home of Norris and his mother in 1976 and was the lover of Norris’s mother. She developed an “aunt-like” or “father-like” relationship with young Norris, guided him in school, counseled him in social and personal matters, and taught him to drive. In 1982, when Norris was home on leave from the military, Walters introduced him to cocaine. Over the course of the next few years, they indulged in the use of cocaine together.
In 1984, Walters became a paid informant of the DEA. She introduced acquaintances to DEA agents for the purpose of setting up controlled narcotics buys. Between October, 1984, and January, 1988, she was paid more than $30,000 by the DEA for her informant services. In September of 1987, Walters solicited Norris tо obtain a sample of cocaine for a friend (agent Manara) who would be interested in purchasing a multi-kilogram quantity if he liked the sample. Prior to this time, Norris had dealt in cocaine, but never in multi-kilo-gram or even multi-ounce quantities. Norris told Walters that he could not produce such large quantities, but she assured him that she would give him time to work on it and set up a meeting between him and the “friend.” After the meeting, Walters told Norris that her “friend” was satisfied with the sample and wanted six kilograms. Norris advised her that he could not obtain six kilos but agreed to obtain two for the still undisclosed undercover agent. The transactions then proceeded as established by the government’s evidence.
At trial, in light of the undisputed evidence, the sole defense was based on the theory of entrapment. Neither party called Walters as a witness. After conviction and sentencing on all counts, and Norris’s motion for a new trial was denied, he appealed, setting forth the three assignments of error described above.
II. Analysis
While none of the assignments of error warrant reversal, each occasions some brief discussion on our part.
A. The Missing Witness Instruction
Appellant requested the District Judge to instruct the jury, with reference to Barbara Walters, that
[i]f it was peculiarly within the power of either the prosecution or the defense to produce a witness who could have given material testimony on an issue in this case, you may infer, from the party’s failure to call that witness to testify, that his or her testimony would have been unfavorable to the party to whom the witness was peculiarly available.
Defendant’s Request for Instruction No. 2, quoted in Brief for Appellant at 9. The government objected, and the Court, after hearing arguments, did not instruct the jury on the missing witness inference appellant requested.
Norris urges that this was reversible error. He argues that the relationship between the DEA and its informant places Walters in the position of being peculiarly within the power of the government to produce and that, therefore, he is entitled to the missing witness instruction concerning informant Walters. He finds support in
Burgess v. United States,
The government counters that the status of informant does not by itself create the sort of peculiarity of power to produce a witness that triggers the missing witness instruction. Indeed, in a more recent decision, we have held that “no automatic inference of exclusive government control arises from the fact that witnesses are acting as government informants.”
United States v. Tarantino,
We need not determine whether the present case is controlled by
Burgess
or
Tarantino
on the question of the “exclusive” or “peculiar” power to produce the witness. Exclusivity or peculiarity of power to produce is only one of two necessary predicates for entitlement to the missing witness instruction. As Judge Fahy noted in
Burgess,
“[w]hen the court is asked to give the instruction, then, a judgment is to be reached as to whether from all the cirсumstances an inference of unfavorable testimony from an absent witness is a natural and reasonable one.”
In the present case, no such inference is warranted.
The logic underlying the missing witness rule is that where the party with peculiar or exclusive control of a witness fails to call that witness, there must be some reason for its failure. Where there are “other reasons why [s]he was not called,” the failure of the party having the peculiar power to control the presence of the witness to put her on the stand “d[oes] not authorize an inference, supported by an instruction, that if [s]he testified [s]he would have done so unfavorably to the” party.
Burgess,
This case is similar to, although arguably stronger than, several instructive cases from other circuits. For example, in
United States v. Carr,
Indeed, the facts of the present case make it an unusually strong one for not giving the missing witness instruction. The only logical reason for anyone to call Walters was on the inducement element of the entrapment defense. As we will discuss further in Part II-B of this opinion, the entrapment defense consists of two key elements: inducement to commit the crime by a government agent and а lack of predisposition toward the commission of the crime by the defendant. On the question of inducement in the present case, appellant testified at length about the role of Barbara Walters. The government left that portion of his testimony unchallenged and substantially untested even by cross-examination. The government’s counter to appellant’s entrapment defense centered on predisposition, еvidenced by his knowledge of the drug trade, his admissions of prior dealings, his possession of drug paraphernalia, and such related items of evidence as his expensive rental of a car phone at a time when there was no other apparent business reason for such an expenditure. On these latter subjects, Barbara Walters would not be expected to possess special knowledge or testimony. Thus, the only reason why any party would be expected to call Walters would be for the purpose of corroborating or cumulating — not the government’s evidence — but appellant’s evidence on inducement, an essential element of his defense. Since the law is that the missing witness instruction is inappropriate where the evidence would be only corroborative or cumulative of the government’s own case,
Brown v. United States,
Thus, we find no merit in this assignment of error.
B. The Entrapment Instruction
The District Judge instructed on the defense of entrapment twice, once in his principal charge and again at the request of the jury during deliberations.
2
Each time, he gave substantially the instructions approved by us in
United States v. Kelly,
Both in the principal instructions and in the supplemental instructions during deliberations, the Judge included among the five pages of instructions a single sentence in which he misspоke himself: “There is no entrapment if he was induced and if he was not predisposed.” Tr. III at 127; Tr. IV at 9 (emphasis added). We need not pause to consider whether the sentence was erroneous, the government concedes that it was. Obviously, the Judge meant to say something like “there is entrapment if the defendant was induced and was not predisposed to commit the offense.” However, on neither occasion did the defense enter an objection. Rule 30 of the Federal Rules of Criminal Procedure states “[n]o party may assign as error any portion of the charge or omission therefrom unless that party objects thereto before the jury retires to consider its verdict, stating distinctly the matter to which that party objects and the grounds of the objection.” Fed.R. Crim.P. 30.
Having failed to comply with the requirement of Federal Rule of Criminal Procedure 30 by raising a contemporaneous objection, in order to prevail on this assignment appellant must demonstrate that “the jury instructions were plainly erroneous within the meaning of Fed.R.Crim.P. 52(b).”
United States v. Campbell,
The law in this and other circuits is well settled that when we test jury instructions, we examine the instruction in its entirety to
*1525
determine whеther any aspect of the charge had the “likelihood of misleading the jury to the extent that it is more probable than not that an improper verdict was rendered.”
United States v. Thurman,
This case well illustrates the reason behind that requirement and the requirement of Rule 30 for contemporaneous objection. The Court’s lengthy, detailed, and substantially accurate charge made plain to the jury the elements of the entrapment defense and the consequences of inducement and predisposition. The single inaccurate sentence in each of the two entrapment instructions was so minor, so dissonant, and so imbedded in an otherwise correct instruction consuming five pages of transcript that neither of the trained attorneys noted it sufficiently to call it to the Judge’s attention — neither the defendant for objection nor the prosecution for protection of the record. Likely, they and the jury heard the single sentence — expressed as it was in the form of a double negative — in light of the balance of the instructions. In any event, examining the charge as a whole, we find that it was not “more probable than not that an improper verdict was rendered.”
Thurman,
Appellant contends that we are to find increased moment in the error in light of the jury’s request for reinstruction on the entrapment defense. See Brief for Appellant at 11. Their request is, however, by no means surprising given that entrapment was, as the Court pointed out to the jury, the central issue in appellant’s defense. See Tr. III at 123-24. To the extent that the error was compounded by its repetition, it was likewise washed out by the repetition of the overwhelmingly correct portion of the instruction.
We therefore grant no relief based on this assignment.
C. The Judge’s Participation in Examination of Witnesses
Finally, appellant contends that “the court prejudiced the defendant by repeatedly cross examining him, eliciting answers favorable to the prоsecution, challenging the defendant’s testimony, initiating new lines of questioning, impeaching the defendant’s credibility, deriding him with sarcasm, and giving the jury the impression that he believed the defendant to be guilty.” Brief for Appellant at 12. Appellant has provided numerous concrete examples of extensive participation by the Judge
*1526
in the examination of the defendant, perhaps more than we would normally desire. As appellant notes, we have held in many cases “the judge must remain ‘a disinterested and objective participant in the proceedings,’ and principles both fundamental and indestructible in our criminal law exhort him to hold to a minimum his questioning of witnesses in a jury trial.”
United States v. Barbour,
Nonetheless we have also stated in the
Barbour
case and in other cases that “[a] trial judge is not a ‘mere moderator’; his function extends to necessary assistance to ‘the inexperienced laymen in the [jury] box in finding the truth in the confusing conflicts of contradictory evidence.’ ”
Id.
at 1320-21 (quoting
Billed,
We have noted, by way of example, that the trial judge’s “participation in the examination of witnesses may well be justified where the testimonial presentation promotes fuzziness, as where testimony is inarticulately or reluctantly given.”
Id.
at 1321 (citing
Jackson v. United States,
A bit more recently, in
United States v. Liddy,
Obviously, then, the decision as to whether a trial judge’s participation in the examination of witnesses has gone beyond the bounds of an impartial officer directing the judicial process of truth seeking and invaded the role of an advocate, thereby biasing the process against the defendant, is one that we must make case by case. To make the decision in this, or in any other case, we are guided by the principles set forth above. Here, the questions of the Court generally concerned lines of inquiry opened by one or the other of trial counsel, which the Judge was further pursuing. For example, while appellant characterizes the Judge’s interrogation of him on the subject of the drug price as impeachment, it, in fact, followed a confusing exchange between defense counsel and appellant and can properly be classified as clarification. See Tr. II at 109-11. Similarly, the Court’s questions concerning the relationship between appellant and Walters only slightly extended the line pursued by the prosecution’s attorney and opened up no new line of inquiry. See Tr. Ill at 58.
In viewing these and all other questions by the Judge, we must remember that our analysis must be a prospective one. “Before the answers werе given by the witness[ ], [the trial j]udge ... had no way of knowing what the answers would be....”
United States v. Patterson,
III. Conclusion
For the reasons set forth above, we find no prejudicial error and affirm the judgment of the District Court.
Notes
. In the quoted language, Judge Fahy wrote for himself and not the other members of his panel. However, a second member of the panel, Judge Robinson, fully concurred in the relevant parts of the quoted section. The third member, while concurring in the result, did not join in the reasoning applicable to this point.
. This instruction was identical in almost every respect to the charge originally given. Compare Tr. III at 123-27 with Tr. IV at 5-9.
. Rule 52(b) provides that "[p]lain errors or defects affecting substantial rights may be noticed although they were not brought to the attention of the court.” Fed.R.Crim.P. 52(b).
