George Hoelker, a special agent with the federal Drug Enforcement Administration, and Douglas Paul Linn, an ex-deputy sheriff with the Los Angeles County Sheriff’s Department, appeal convictions of various cocaine-related and extortion charges. We affirm.
The indictment contained eleven counts. Count 1 alleged a conspiracy beginning in March 1982 to possess with intent to distribute and to distribute a “multi-pound” (2 kilo) quantity of cocaine. It was alleged that as part of the conspiracy, defendants on March 11 and 12 distributed small quantities of the cocaine as samples to named prospective purchasers. Count 2 alleged possession of the cocaine. Counts 3 through 8 alleged possession and distribution of the samples. Count 9 alleged a conspiracy from January to May 1982 to violate the Hobbs Act, 18 U.S.C. § 1951 (1982), by extorting money from a named victim (Lang) by threats of violence; Count 10 alleged the underlying substantive violation of section 1951. Count 11 charged Hoelker with solicitation of a bribe in April 1982 in violation of 18 U.S.C. § 201(c)(3) (1982).
I.
Appellants contend the trial court erred in denying their pretrial motion to dismiss the Hobbs Act counts. The trial court dismissed these counts after trial, but defendants argue failure to dismiss before trial permitted introduction of prejudicial and extraneous testimony.
“The elements of a Hobbs Act violation are [1] extortion and [2] a nexus with interstate commerce.”
United States v. Zemek,
[1] “ ‘[Ejxtortion’ means the obtaining of property from another with his consent, induced by wrongful use of actual or threatened force, violence, or fear____” 18 U.S.C. § 1951(b)(2). The indictment alleged that Hoelker and Linn “threatened Jack Lang with physical violence in order to force Lang to sign [a life] insurance policy application” which “named defendant Hoelker as the beneficiary.”
[2] “The effect on interstate commerce need only be
de minimis
... [and] need only be ‘probable’ or ‘potential.’ ”
Zemek,
We reject appellants’ argument that prosecution under the Hobbs Act was precluded by the McCarran-Ferguson Act, 15 U.S.C. § 1012(a) (1982), which provides that “the business of insurance ... shall be subject to the laws of the several States which relate to the regulation or taxation of such business.”
The latter statute, appellants argue, relinquished jurisdiction over the business of insurance to the states. Thus, appellants assert, “[a] transaction within the business of insurance is not a transaction in ‘commerce’ ” within the meaning of the Hobbs Act.
*1425
The Hobbs Act does not exempt the business of insurance. The Act explicitly applies to “all commerce between any point in a State ... and any point outside thereof.” 18 U.S.C. § 1951(b)(3).
Cf. United States v. Gill,
We also reject defendants’ argument that no “property” was taken from Lang since it appears from the face of the indictment that Hoelker had a bona fide claim to the money sought to be obtained. “The concept of property under the Hobbs Act has not been limited to physical or tangible ‘things.’ The right to make business decisions ... free from wrongful coercion is a protected property right.”
Zemek,
We do not consider Hoelker’s argument that the trial court erred in failing to dismiss the bribery charge before trial. Hoelker did not ask the district court to do so.
United States v. Whitten,
II.
Hoelker complains of the denial of his motion to be tried separately from Linn. The motion was based solely on the ground that Linn would testify favorably to Hoelker but only at a separate trial. Severance is rarely granted on this ground,
United States v. Gay,
Hoelker’s assertion that Linn would waive his fifth amendment rights and testify was supported only by the conclusory hearsay statement of Linn’s counsel as to statements Linn had made to him.
See United States v. Boscia,
III.
The district court acted within its discretion in denying Hoelker’s motion to sever the Hobbs Act counts from the narcotics charges.
The attempted extortion and the drug offenses were logically related by. motive,
United States v. Ford,
Hoelker failed to establish that joint trial of the offenses was “manifestly prejudicial” to him for reasons much like those discussed in the opinion in the similar case of
United States v. Irvine,
IV.
Hoelker argues testimony that Linn furnished cocaine to two teenage girls and to Linn’s ex-wife when she was 21, even if admissible as to Linn, was irrelevant and unfairly prejudicial as to Hoelker since he was not involved in these distributions.
The trial judge instructed the jury that the challenged testimony was admissible only as to Linn and could not be considered against Hoelker, and repeated the instruction at the conclusion of the trial. Absent evidence to the contrary, we assume the jury adhered to these instructions.
Sanford,
Hoelker also objects to testimony by Cleon Mickey Weaver regarding Hoelker’s distribution of cocaine to Weaver in 1978 and 1979, three to four years before the offenses charged, allegedly to compensate Weaver for acting as an informant for Hoelker. Proof of these distributions was relevant to demonstrate Hoelker’s willingness to deal in illegal drugs and to explain why he trusted Weaver and attempted to draw him into the conspiracy. We cannot say the trial court abused its “wide discretion” under Fed.R.Evid. 403 to determine that the probative value of Weaver’s testimony outweighed its prejudicial character.
United States v. Nadler,
Nor are we prepared to second-guess the trial judge’s decision that the testimony of Hopkins, Bolter and Pyryezstov regarding Linn’s distributions of cocaine to Bolter and Hopkins from 1980 to 1982 was more probative than prejudicial. This testimony was relevant to show the background and development of the conspiracy,
Nadler,
V.
Appellants object to references during the prosecutor’s opening statement to a “criminal plan” between Hoelker and Linn to “murder” Lang. The prosecutor’s remarks were a permissible preview of the charges and the evidence to be presented at trial.
See United States v. Correa-Arroyave,
Hoelker objects to the prosecutor’s statements in closing argument that Hoelker’s defense was “perjurious,” and a “fraud.” In context the prosecutor’s reference was to Hoelker’s version of the facts while testifying, not to the conduct of defense counsel, and was supported by the government’s rebuttal evidence. Prosecutors may “voice doubt about the veracity of a defendant who has taken the stand” where such comments are supported by the record.
United States v. Birges,
*1427
The prosecutor’s statement that the defense had engaged in “character assassination” was “fair advocacy” after the defense had “opened the door,”
Falsia,
VI.
As noted, the present indictment charged a conspiracy and substantive narcotics offenses growing out of the efforts of Linn and Hoelker to sell two kilos of cocaine in March 1982. When the original indictment was returned in June 1982 (superseded by an indictment filed in February 1983), a separate indictment was also returned against Linn alone charging a conspiracy between Linn and unnamed persons to possess and distribute cocaine during an overlapping period of time (March 1980 through June 1982), and with substantive offenses involving different distributions of cocaine to different persons on different dates than those alleged in the concurrently filed indictment against both Hoelker and Linn.
The charges against Linn alone in the separate indictment against him were tried first. Linn was convicted on both the conspiracy and substantive counts of that indictment. He then moved to dismiss the indictment in the present case on the ground that a trial would subject him to double jeopardy because the conspiracy and substantive cocaine offenses in the present case were part of the conspiracy for which he had already been convicted. The district court dismissed the conspiracy count in this case, but declined to dismiss the substantive cocaine counts.
Linn argues that the district court’s dismissal as to him of the conspiracy count in this case on double jeopardy grounds establishes there was only a single conspiracy involving the substantive cocaine offenses alleged in both indictments. Linn concedes that “as a general rule a defendant can first be tried on a conspiracy count and then, in a separate trial be prosecuted for the underlying substantive offense,” but submits that when only a single ongoing conspiracy is involved, the government may not charge some of the overt acts as substantive offenses in one indictment and others in another because all are part of the same “ongoing scheme,” share the same “factual core,” and are part of the “same transaction,” which makes them the “same offense” for double jeopardy purposes. Linn relies on
Brown v. Ohio,
Logically, Linn’s argument would bar trial of the conspiracy charge separately from the underlying substantive offenses, contrary to the rule Linn concedes to be the law.
See United States v. Kalish,
The Supreme Court has not read into the double jeopardy clause as sweeping a preclusion of successive trials as Linn suggests. The Court has consistently interpreted the clause to bar successive prosecutions only in cases where proof of one offense is necessarily, or in fact, proof of the other.
Brown
held that under the
Blockburger
test
1
the double jeopardy clause barred a subsequent prosecution for auto theft after conviction for joyriding because, as defined by Ohio law, proof of auto theft necessarily included proof of joyriding.
The central difference between this case and Brown and Vitale is that none of the acts of possession and distribution of cocaine alleged in the present indictment was alleged in the indictment on which Linn had been convicted. Proof of the substantive cocaine charges in the present indictment would not necessarily or in fact constitute proof of the first indictment’s conspiracy or substantive counts.
Without suggesting whether we agree or disagree with the result in
United States v. Allen,
that case is clearly distinguishable. A scheme to defraud was an essential element of mail fraud, the substantive offense involved in
Allen
(“Whoever, having devised or intending to devise any scheme ... to defraud ...,” 18 U.S.C. § 1341). When two or more persons are charged with mail fraud, the proof required is identical to that needed to prove a conspiracy (an agreement) to defraud. Furthermore, when a defendant is charged with several substantive counts of mail fraud, as in
Allen,
proof of each charge, though requiring proof of a different mailing, may require reproof of the same scheme.
We have examined appellants’ other specifications of error and find them without merit.
AFFIRMED.
Notes
. "[W]hether each [charged offense] requires proof of a fact which the other does not,”
Blockburger v. United States,
