UNITED STATES of America, Appellee, v. Andrew GORDON, Defendant, Appellant.
No. 16-1896
United States Court of Appeals, First Circuit.
November 7, 2017
Rachel Y. Hemani, Assistant United States Attorney, with whom William D. Weinbreb, Acting United States Attorney, was on brief, for appellee.
Before BARRON, SELYA and LIPEZ, Circuit Judges.
SELYA, Circuit Judge.
After attempting unsuccessfully to hire a hit man to murder his wife (the person whom he asked to facilitate the matter tipped off the authorities and the hired gun turned out to be an undercover state trooper), defendant-appellant Andrew Gordon then sought to procure the services of a second hit man to kill both the tipster and the imposter. That attempt, too, came to naught. This time, though, federal authorities charged the defendant with five counts of using facilities of interstate commerce in connection with the hiring of a рerson to commit a murder. See
The defendant was tried and convicted on all counts, and the district court sentenced him to what amounted to twenty years’ imprisonment. He now appeals, raising both an evidentiary issue and a question of first impression in this circuit concerning the appropriate unit of prosecution under the statute of conviction. After careful consideration, we hold that the district court did not commit reversible error with respect to the challenged evidentiary ruling and, thus, we affirm the defendant‘s conviction. We further hold, however, that the appropriate unit of prosecution under
I. BACKGROUND
We briefly rehearse the facts and travel of the case. Because the defendant does not challenge the sufficiency of the evidence, we present the facts in a balanced manner. See United States v. Cox, 851 F.3d 113, 118 n.1 (1st Cir. 2017).
In late 2014, the defendant was being detained at the Billerica House of Corrections while awaiting trial in state court for the solicitation of his wife‘s attempted murder. While there, he met a fellow inmate, whom we shall call CW (an acronym for “cooperating witness“). CW had a lurid history of prior convictions for violent crimes and was himself awaiting trial on charges of aggravated rape and assault with a dangerous weapon.
The defendant asked if CW knew anyone who “had the balls to kill.” CW replied that he had a cousin who would be willing to kill in exchange for money. Over the course of several ensuing conversations, the defendant disclosed that he wanted two individuals murdered: the state trooper who had posed as a hit man in the defendant‘s botched attempt to rid himself of his wife and the person who had reported the defendant‘s scheme to the authoritiеs. These persons, if not eliminated, would likely be key witnesses for the prosecution in the defendant‘s forthcoming criminal trial, and the defendant gave CW written information concerning both of them.
At that juncture, CW introduced the defendant to the undercover agent masquerading as CW‘s fictional сousin/hit man. During a period of nearly four months, the defendant engaged in numerous mail exchanges with the fake hit man and used intermediaries to relay messages to the hit man by telephone. In these communications, the men discussed the logistics of the planned slayings. The government gathered footage of the defendant receiving and responding to letters from the phony hit man and recordings of the defendant speaking on the telephone in connection with the plot. When the trap was sprung and the defendant was charged with violating section 1958(a) (known colloquially as the “murder-for-hire” statute), two of these mailings and three of the telephone calls comprised the building blocks for the five counts of the indictment: each count represented a discrete use of the facilities of interstate commerce in furtherance of the plot to carry out the anticipated killings.
At trial, the defendant did not testify. His counsel argued, though, that the defendant had been putting on a show: he had only been pretending to need the services of CW‘s cousin in order to curry favor with CW. He had been afraid of CW, and this fear motivated him to feign participation in the murder-for-hire plot.
The jury proved unreceptive to this tall tale. After a week-long trial, it found the defendant guilty on each of the five counts charged in the indictment. The district court sentenced the defendant to what amounted to twenty years’ imprisonment, to run concurrently with a state-court sentence for the attempted murder of his wife that he had already begun serving. This timely appeal followed.
II. ANALYSIS
Ably represented, the defendant advances two claims of error. We start with his assertion that the district court erred in admitting impermissible character evidence. We then mull his assertion that the government employed the wrong unit of prosecution in its charging document. Finding this second claim of error to have merit, we conclude by discussing the appropriate remedy.
A. The Challenged Evidentiary Ruling.
The Billerica House of Corrections (where the defendant was detained) is operated under the aegis of the Middlesex County Sheriff‘s Department. The defendant argues that the district court should not have allowed the following testimony from George Karelis, a Sheriff‘s Department employee responsible for investigations within the House of Corrections:
Prosecutor: And in that capacity, did you become familiar with the troublemakers that were inmates at the jail?
Karelis: Yes.
Prosecutor: Did the name of [CW] ever cross your desk?
Defense Counsel: Objection, your honor.
The Court: Overruled.
Karelis: As a troublemaker?
Prosecutor: Yes.
Karelis: No, sir.
In the defendant‘s view, this testimony offended
When claims of error are preserved, rulings admitting or excluding evidence are ordinarily reviewed for abuse of discretion. See United States v. Iwuala, 789 F.3d 1, 5 (1st Cir. 2015); United States v. Gobbi, 471 F.3d 302, 311 (1st Cir. 2006). When claims of error are not preserved, though, such rulings are reviewed only for plain еrror. See United States v. Bailey, 270 F.3d 83, 87-88 (1st Cir. 2001).
We repeatedly have held, consistent with the express command of
To prevail on plain error review, the defendant must show: “(1) that an error occurred (2) which was clear or оbvious and which not only (3) affected the defendant‘s substantial rights, but also (4) seriously impaired the fairness, integrity, or public reputation of judicial proceedings.” United States v. Duarte, 246 F.3d 56, 60 (1st Cir. 2001). The party asserting that an error was plain must carry the burden of establishing that the claimed error satisfies each element of this standard. See United States v. Bramley, 847 F.3d 1, 5 (1st Cir. 2017); United States v. Vega Molina, 407 F.3d 511, 521 (1st Cir. 2005). Since the defendant‘s claim so readily fails on the third element of the analysis, we need not discuss the other elements.
As we have explained, erroneously admitted evidence may be said to have affected a defendant‘s substantial rights only if the admission of that evidence was likely to have influenced the outcome of the trial. See Bramley, 847 F.3d at 7; United States v. Padilla, 415 F.3d 211, 221 (1st Cir. 2005) (en banc). Here, the contested exchange is but a pebble in thе avalanche of compelling evidence introduced against the defendant at trial. Although CW was an important participant in the government‘s evidence-gathering
In an effort to blunt the force of this mass of evidence, the defendant argues that he was merely pretending to enter into a scheme with CW so that the latter would befriend him. The defendant suggests that the contested exchange significantly bolstered CW‘s credibility and, thus, undermined the defendant‘s “play-acting” line of defense.
This suggestion does not withstand scrutiny. The jurors were exposed to plenty of troubling information about CW‘s lurid past, yet this information did not lead them to find thе defendant‘s fear of CW credible. The bare fact that CW‘s name had never been brought to Karelis‘s attention as a “troublemaker” seems unlikely to have impacted the jurors’ assessment of the defendant‘s purported fear to any meaningful extent. It was, therefore, unlikely to have influenced the outcome of the trial.
That ends this aspect of the matter. Viewing the record as a whole, we deem speculative at best the defendant‘s claim that allowing Karelis to answer the single question to which an objection had been interposed somehow affected the defendant‘s substantial rights. That claim is too weak to clear the high bar imposed by plain error review. Given the powerful evidence of his guilt, the defendant has not shown a reasonable probability that, but for the admission of the challenged testimony, the outcome of the trial likely would have been different. See Jones v. United States, 527 U.S. 373, 394-95 (1999) (“Where the effect of an alleged error is so uncertain, a defendant cannot meet his burden of showing that the error actually affected his substantial rights.“).
B. The Unit of Prosecution.
Next, the defendant asseverates that the indictment used the wrong unit of prosecution and, thus, was multiplicitous. Although the district court twice rejected this asseveration, we are less sanguine.
The statute of conviction reads in relevant part:
Whoever travels in or causes another (including the intended victim) to travel in interstate or foreign commerce, or uses or causes another (including the intended victim) to use the mail or any facility of interstate or foreign commerce, with intent that a murder be committed in violation of the laws of any State or the United States as consideration for the receipt of, or as consideration for a promise or agreement to pay, anything of pecuniary value, or who conspires to do so, shall be fined under this title or imprisoned for not more than ten years, or both; and if personal injury results, shall be fined under this title or imprisoned for not more than twenty years, or both; and if death results, shall be punished by death or life imprisonment, or shall be fined not more than $250,000, or both.
This issue is fully preserved. The defendant raised it below both by a pretrial motion to dismiss and at the close of all the evidence. The district court rejected the defendant‘s importunings on both occasions and explicated its reasoning in a post-trial opinion. See United States v. Gordon, 169 F. Supp. 3d 301, 303-04 (D. Mass. 2016). Since the issue turns on a question of statutory interpretation, our review is plenary. See United States v. Marquez, 280 F.3d 19, 22 (1st Cir. 2002).
The prohibition against multiplicitous prosecution derives from the Double Jeopardy Clause. See United States v. Pires, 642 F.3d 1, 15 (1st Cir. 2011) (quoting Illinois v. Vitale, 447 U.S. 410, 415 (1980)); see also
In general terms, when “a claim of multiplicity is premised on an indictment alleging several violations of a single statutory provision, an inquiring court must determine whether there is a sufficient factual basis to treat each count as separate.” United States v. Stefanidakis, 678 F.3d 96, 100-01 (1st Cir. 2012) (citing Pires, 642 F.3d at 15). Here, this determination depends on whether Congress intended to punish separately each of the alleged violations. See Jeffers v. United States, 432 U.S. 137, 155 (1977) (plurality opinion).
The problem, then, is easily defined—but less easily solved. The combination of a clumsily drаfted statute, enigmatic legislative history, and sparse precedent presents a quandary. The key to unlocking that quandary is congressional intent. See Chiaradio, 684 F.3d at 272 (explaining that, in identifying appropriate unit of prosecution, “Congress‘s intent is paramount“).
If a statute‘s plain meaning supplies a plausible interpretation, the inquiry is often at an end. See id. Here, howеver, the plain meaning of the words that Congress used in framing the description of the offense suggests two possible units of prosecution. Those words can be read (as the government posits) to criminalize each act of travel or each use of the facilities of interstate commerce in service of a murder-for-hire scheme. But those words also can be read (as the defendant posits) to criminalize each plot or scheme to murder an individual for which something of value is promised in consideration for the solicited murder. Since this text is sufficiently malleable to accommodate either of the proposed units of prosecution, we must undertake the judicial equivalent of an аrchaeological dig to ascertain Congress‘s intent.
In some cases, Congress‘s will can be divined from an examination of the statute as a whole. See Sturgeon v. Frost, 136 S. Ct. 1061, 1070 (2016). Perlustration of the sentencing scheme embedded in section 1958(a) illuminates Congress‘s thinking and—at the same time—highlights the odd results that would flow from adopting the government‘s proposed unit of prosecution. The statute provides for a maximum of ten years’ imprisonment for a violation that does not result in personal injury, a maximum of twenty years’ imprisonment for a violation that does result in personal injury, and a maximum of death or life imprisonment if murder results. See
The government‘s proposed unit of prosecution would frustrate this congressional aim: it would, for example, expose a person who made ten telephone calls in service of a failed plot that caused no injury to anyone to a much steeper maximum sentence than a person who, as a result of a single telephone call, caused substantial personal injury to a victim. Such a result seems irrational when considered in light of the evident purpose of the statute‘s sentencing scheme. The unit of prosecution advocated by the defendant (which focuses on the number of plots) is much more consistent with the victim-centric sentencing scheme formulated by Congress.
Statutory history and legislative context furnish additional sources of insight that a court may inspect when attempting to discern congressional purpose. See Greenwood Tr. Co. v. Massachusetts, 971 F.2d 818, 824 (1st Cir. 1992). This analysis, too, supports a plot-focused unit of prosecution. Though the Senate Report explaining the adoption of section 1958 gives some comfort to both sides of this debate (it is replete with statements that may arguably support either proposed unit of prosecution), the discussion that focuses on the overlap between state and federal jurisdic-
[f]ederal jurisdiction should be asserted selectively based on such factors as the type of defendants reasonably believed to be involved and the relative ability of the federal and state authorities to investigate and prosecute. For example, the apparent involvement of organized crime figures or the lack of effective local investigation because of the interstate features of the crime could indicate that federal action was appropriate.
Id. at 305. In pursuance of this theme, the Report makes pellucid that the crime Congress thought it was penalizing was similar to existing state murder crimes (for example, solicitation of murder) but also included certain specified features warranting federal intervention. The focal point of the newly added offense was a murder plot that had a federal nexus, not the federal nexus itself. The government‘s thesis concerning the appropriate unit of prosecution turns this rationale on its head and, in effect, makes the federal nexus the substantive offense.4
The history of the statute‘s enactment reinforces the centrality of the murder-for-hire plot. Section 1958 became law as part of the Comprehensive Crime Control Act of 1984, Pub. L. No. 98-473, 98 Stat. 1837. It was enacted along with a companion provision,
It is an age-old tenet of statutory interpretation that “plain meaning sometimes must yield if its application would bring about results that are antithetical to Congress‘s discernible intent.” Hill, 562 F.3d at 32; see Church of the Holy Trinity v. United States, 143 U.S. 457, 459 (1892). Extrapolating from this tenet, it follows logically that when the plain meaning of a statute can feasibly suggest two results—one which appears consistent with Congress‘s intent and the other not—the consistent result should carry the day. This is such an instance. Although both interpretations offered here may seem plausible at
As we already have explained, under the government‘s theory, a person who makes ten telephone calls to a hit man in service of a failed murder-for-hire plot commits ten separate crimes; yet a person who unsuccessfully makes arrangements to procure the murder of ten individuals in a single uninterrupted telephone call commits but one crime. The first of these malefactors would, therefore, be subject to ten times the maximum punishment to which the second malefactor would be exposed. Given the congressional objectives we hаve identified, we think it obvious that Congress could not have intended the statute to operate in so curious a fashion.
In reaching the conclusion that the correct unit of prosecution is plot-centric, we echo the only other published circuit court decision squarely on point. The Sixth Circuit so held in United States v. Wynn, 987 F.2d 354, 359 (6th Cir. 1993), ruling that the appropriate unit of prosecution under section 1958(a) is the number of plots to murder a single victim.5 In Wynn, as in this case, the government had argued that each telephone call made by the defendant in support of his scheme “was a separate offense.” Id. at 358-59. The court rejected this argument, explaining that “separate phone calls which relate to one plan to murder one individual constitute only one violation of
We add, moreover, that the case law that interprets other aspects of section 1958(a) is somewhat inhospitable to a unit of prosecution that penalizes each use of interstate facilities. For instance, in United States v. Edelman, 873 F.2d 791 (5th Cir. 1989), the Fifth Circuit held that, for a defendant to violate section 1958(a), he need neither intend nor be aware that any facility of interstate commerce would be used in connection with the murder-for-hire plot. See id. at 794-95. It is enough if the government can show, say, that “the mails were in fact used in the commission of [the] offense” and that the defendant “had knowledge of the nature of the substantive offense which he promoted.” Id.
Given the holding in Edelman, incorporating the government‘s proposed unit of prosecution into existing doctrine would yield a regime in which a defendant could be charged with a separate count each time a hit man he had hired opted (unbeknownst to the defendant) to make a telephone call, send an e-mail, or post a letter. See id. Such an arbitrary relationship between a defendant‘s conduct and the maximum penalty to which he is exposed offers scant redemption for the government‘s view.6
Heedless of these authorities, the government invites us to read the statute woodenly. We decline the invitation. When faced with a wooden reading of a statute that would produce a result that conflicts
We do not gainsay that identifying the proper unit of prosecution under section 1958(a) presents a challenging question. There are two sides to the story, and the government has done its level best to marshal arguments in support of its position. On the surface, its most persuasive argument is that the Travel Act,
Like the counterpart language in section 1958(a), a conviction under the Travel Act requires that a defendant “travel[] in interstate or foreign commerce or use[] the mail or any facility in interstate or foreign commerce, with intent to” engage in a prohibited activity.
The government also points to cases distinguishing between statutes that criminalize the means of committing a substantive offense and those that criminalize the offense itself. See, e.g., United States v. Lilly, 983 F.2d 300, 304 (1st Cir. 1992). Specifically, courts have found that the mail and wire fraud statutes, see
To begin, while references to the facilities of interstate commerce are ubiquitous in our nation‘s laws, the significance of such language necessarily varies based on context. Some statutes, such as the Securities Act,
So, too, legislative history offers a principled basis for distinguishing the mail and wire fraud statutes from the murder-for-hire statute, notwithstanding the shared allusion to interstate commerce. The progenitor to the current mail fraud statute was enacted in 1872 as “part of a 327-section omnibus act chiefly intended to revise and recodify the various laws relating to the post office.” Jed S. Rakoff, The Federal Mail Fraud Statute (Part I), 18 Duq. L. Rev. 771, 779 (1980) (citation omitted). At the time, Congress was concerned about misuse of the national postal system, a federal entity that—due to a quickly developing national economy аnd a suddenly muscular federal government—had an expanded role during the Reconstruction Era. See id. at 779-80. To safeguard the integrity of the postal system, punishment under the federal mail fraud statute “was to be based not so much on the degree of the fraud as on the degree of misuse of the mails.” Id. at 784. The wire fraud statute, enacted in 1952, was deliberately “patterned on the mail fraud” statute. United States v. Fermin Castillo, 829 F.2d 1194, 1198 (1st Cir. 1987) (citing S. Rep. No. 82-44, at 14 (1951)). Except for the means employed, the “requisite elements” of the mail and wire fraud statutes “are identical.”7 Id.
We believe that this legislative history convincingly demonstrates that, in enacting the mail and wire fraud statutes, Congress took aim at the means of conducting a substantive offense, not at the substantive offensе itself. That is not true of the murder-for-hire statute: rather, in fashioning section 1958(a), Congress quite plainly chose the latter target.
To say more would be to paint the lily. Where a statute can be read in two ways, both of which are literally feasible but only one of which is plausible, common sense dictates that the plausible reading ought to prevail. In this case, the text, structure, history, and purpose of section 1958(a), taken together and considered in light of the case law, lead us to hold that the proper unit of prosecution under the murder-for-hire statute is a single plot to murder a single individual. Under this statute, Congress did not intend to punish separately each use of the facilities of interstate commerce. It follows inexorably that the indictment is multiplicitous and that the defendant is entitled to relief.
C. The Remedy.
This brings us to the nature of the relief to which the defendant is entitled. As we have explained, the five counts of con-
Viewed against this backdrop, the multiplicity error requires that we vacate the defendant‘s sentence. It also requires that we direct the district court, on remand, to merge the five counts into a single count and resentence the defendant.8 We take no view either of the sentence to be imposed on the merged count or of how that sentence should interface with the state sentence that the defendant is currently serving, except to note that the merged count will be subject to the statutory maximum sentence adumbrated in
III. CONCLUSION
We need go no further. For the reasons elucidated above, we affirm the defendant‘s conviction but vacate his sentence. We remand the case to the distriсt court with directions to merge the five counts of conviction into a single count and to resentence the defendant consistent with this opinion.
Affirmed in part, Vacated in part, and Remanded.
SELYA
CIRCUIT JUDGE
