A jury convicted Herman Hicks, Radar Tyler, and Driefus Harbin of, among other offenses, conspiring to possess with intent to distribute and conspiring to distribute more than fifty grams of crack cocaine in violation of 21 U.S.C. §§ 846 and 841(a)(1). In this consolidated appeal, all three defendants contest the sufficiency of the conspiracy evidence against them and the district court’s decision to allow various acts of violence, including murders, into evidence as support for the government’s conspiracy theory. Harbin also challenges his sentence, alleging that the district judge erred in refusing to grant him the two-level downward adjustment for acceptance of responsibility under U.S.S.G. § 3E1.1. We affirm in all respects.
I. History
This is the second time the defendants have been convicted of a drug conspiracy charge. We overturned the first conviction because of the government’s mid-trial use of a peremptory challenge with respect to a particular juror.
See United States v. Harbin,
The majority of the evidence presented against the defendants during the two-week trial came from co-conspirators— other 22nd Avenue Boys — who agreed to cooperate in exchange for leniency. Included among them was the leader of the conspiracy, Tajuan Allen. Allen and others testified that during the period covered by the indictment, which included the summer of 1995 to July of 1998, Allen ran more than a dozen crack houses in succession and supplied at least some of the crack that was sold out of them. Allen either charged those dealing out of his houses up front for the drugs he supplied or “fronted” the drugs, meaning he provided the crack without payment, expecting to be paid once the crack was sold. If he was short on drugs or if others obtained their own, perhaps at a better price, he let them sell out of his houses anyway, but only with his permission, and, at least in some instances, if the dealers paid him a “consult,” or a fee, for access to the house and its stream of customers. On a good day, his house would serve 100 customers or more, bringing in $2000 to $3000. To meet customers’ needs, the houses operated twenty-four hours a day, seven days a week, with sometimes between ten to fifteen people dealing out of a house at one time. Generally, not all the dealers would be present around the clock; they would come and go throughout the day and night. The houses were “organized up” so that the dealers took turns serving the customers, ensuring that no one dominated the customer flow.
Allen and others placed the defendants at particular crack houses, although not in every one run by Allen. Numerous witnesses testified that they either purchased crack from the defendants or saw the defendants sell crack at those houses. The defendants were also seen in Allen’s “chill house,” a house away from 22nd Avenue where Allen cooked crack, stored drugs and weapons, and where he and his dealers could relax and get high without fear of raids by law enforcement.
II. Analysis
A. Sufficiency of the Evidence
The defendants do not deny that they were crack dealers. They do deny that they were engaged in a conspiracy with Allen to distribute crack, arguing that the government demonstrated, at most, a buyer-seller relationship between Allen and the defendants.
The standard of review facing the defendants on their claim that the jury had insufficient evidence to convict is a daunting one.
See United States v. Curtis,
To prove a conspiracy under 21 U.S.C. § 846, the government had to show that “(1) two or more people agreed to commit an unlawful act and (2) the defendant[s] knowingly and intentionally joined in the agreement.”
Gardner,
To distinguish between a buyer-seller relationship and a conspiratorial agreement, we look for evidence of a prolonged and actively pursued course of sales, coupled with the defendants’ knowledge of and shared stake in Allen’s illegal venture.
United States v. Contreras,
The defendants’ relationship with Allen had ample indicia of a “cooperative venture” to support the jury’s verdict. All three defendants had extended relationships with Allen. Both Hicks and Tyler sold crack out of Allen’s houses beginning in 1995. Hicks sold on and off at Allen’s various houses throughout the duration of the three-year conspiracy. While Tyler’s involvement with Allen tapered, off toward the end of the conspiracy, ostensibly because of increased law enforcement focus on Allen’s enterprise, he continued to sell for brief periods in Allen’s houses. He also visited Allen’s last crack house the day after Dontrell Hamilton’s murder to report that the police were looking for Allen to question him about a homicide. Both Hicks and Tyler were involved in various shoot-outs with rival gangs in an apparent effort to protect the 22nd Avenue territory. Harbin, who had no involvement in the turf warfare, started selling out of Allen’s houses the last six months of the conspiracy, but did so consistently up until the day of his arrest during the raid on Allen’s final crack house. All three defendants had access at one time or another to the “chill house” stocked with drugs and weapons, demonstrating, along with their long affiliation with Allen, a modicum of trust between them and Allen.
Allen established rules for selling at his houses, standardizing and controlling his relationships with his dealers, including the defendants. If they weren’t selling his crack, the dealers had to have his permission to sell at the house and sometimes pay a “consult” fee. The dealers had to take turns selling to the customers who came to the doors and windows of the house so that the profits were evenly dis *806 tributed among those present. In at least one circumstance, when trouble arose among the dealers because of some missing drugs, Allen was called to settle the argument. He did so by authorizing the death of Dontrell Hamilton, the dealer suspected of stealing. Once, when Tyler decided to sell on the street opposite Allen’s crack house, Allen pistol-whipped him for bleeding customers from the house and ordered him back inside.
The evidence showed that Allen supplied all three defendants with drugs. The government also presented testimony that Allen fronted crack to both Tyler and Hicks on occasion. Due to the length of the conspiracy, the number of customers visiting the houses, the amount of money pulled in on a daily basis, and the quantity of drugs purchased by Allen from his suppliers, the jury could reasonably infer that the amount of drugs passing through the conspiracy was considerable.
In sum, a finder of fact could easily conclude that the government proved the first element of the conspiracy offense— that a conspiratorial agreement existed. The government also supplied ample evidence to support the second element of the offense. Considering, at a minimum, that the defendants all sold in multiple houses with the requirement that they sell Allen’s crack or get his permission to supply their own, the jury could easily infer that the defendants knew about the conspiracy and chose to join with the “criminal scheme.”
We note that the quantum of evidence in this case far exceeds what we determined was sufficient for finding a conspiracy in
United States v. Gardner
,
Based on the abundant evidence presented at trial, any rational trier of fact could have found the defendants guilty beyond a reasonable doubt of conspiring with intent to distribute and conspiring to distribute crack. This was not a close case, and we will not disturb the jury’s verdict.
B. Acts of Violence
The defendants next argue that the district judge abused his discretion in allowing the government to present evidence related to the murder of 22nd Avenue Boy Dontrell Hamilton and other acts of violence committed by or against the gang. The defendants claim that the evidence was either irrelevant under Federal Rule of Evidence 401 or prejudicial and cumulative under Rule 403.
Relevant evidence is that which has “any tendency to make the existence of any fact that is of consequence to the determination of the action more probable or less probable than it would be without the evidence.” Fed.R.Evid. 401. Yet, where the probative value of relevant evidence is “substantially outweighed by the danger of unfair prejudice” or where presentation of relevant evidence would be needlessly cumulative, it may be excluded.
*807
FecLR.Evid. 403;
see also United States v. Pulido,
“We give special deference to a trial judge’s evidentiary rulings ‘because of the trial judge’s first-hand exposure to the witnesses and the evidence as a whole, and because of the judge’s familiarity with the case and ability to gauge the impact of the evidence in the context of the entire proceeding.’ ”
United States v. Hernandez,
The district court allowed evidence of Hamilton’s murder, executed with Allen’s permission because he believed Hamilton stole another dealer’s drugs, as it tended to show Allen’s control over the crack houses and the dealers, making the murder “inextricably intertwined” with the crack distribution conspiracy. The government offered other acts of gang violence to support its theory that the 22nd Avenue Boys, of which the three defendants were members, worked together to protect its midtown Gary drug distribution enterprise.
Our case law supports the district judge’s conclusion that the Hamilton murder and other violent acts were relevant to the government’s conspiracy theory. For example, in
United States v. Thompson,
we found no error in the trial judge’s admission of several non-fatal shootings and a kidnapping committed by drug distribution co-conspirators, noting that “[t]his kind of evidence is intricately related to the drug conspiracy charge because it shows how the conspiracy conducted its ‘business.’”
The prejudice, if any existed, did not outweigh the probative value of the evidence under Rule 403 because the testimony regarding Hamilton’s murder and other acts was brief and devoid of gruesome details, primarily limited to a recitation of who shot at whom, on which side of town, and why.
See Pulido,
We also find that the evidence was not cumulative, again considering its importance to the government’s conspiracy theory, the summary way in which the majority of the incidents were related, and the comparatively small amount of time devoted to them recitation during the two-week trial.
See, e.g., Hernandez,
C. Harbin’s Acceptance of Responsibility
After his first conviction was overturned on appeal, Harbin entered a plea agreement with the government rather than face retrial. The government made the agreement contingent on Hicks and Tyler also entering into plea agreements. When they refused to do so, the government moved to withdraw Harbin’s agreement. Harbin objected, but the court upheld the terms of the agreement and granted the government’s motion because the Hicks/Tyler contingency had not been met. Harbin then proceeded to trial alongside his co-defendants Hicks and Tyler.
At sentencing, Harbin argued that he was entitled to a two-level reduction for acceptance of responsibility under U.S.S.G. § 3E1.1 because of his demonstrated intent prior to trial to. enter into a plea agreement with the government. The district court disagreed and refused to give the requested adjustment.
We review the district court’s fact-based decision not to grant an acceptance of responsibility reduction for clear error.
United States v. Williams,
The district court decided not to give Harbin the acceptance of responsibility adjustment because he put the government to its burden of proof at trial. The Sentencing Guidelines commentary specifically supports this conclusion.
See
U.S.S.G. § 3E1.1 cmt., n. 2 (“[The acceptance of responsibility] adjustment is not intended to apply to a defendant who puts the government to its burden of proof at trial by denying the essential factual elements of guilt .... ”);
see also Williams,
While we have recognized those who go to trial to challenge, for instance, the constitutionality of a statute as eligible for the acceptance of responsibility adjustment under the Guideline exception, “[i]f a defendant challenges factual evidence of guilt as well as legal principles, however, he typically will be ineligible to receive the acceptance of responsibility reduction.”
Williams,
Further, while we do not decide whether challenging the amount of crack attributable to him can be,, considered a “legal principle,” rather than factual evidence of guilt, to the extent Harbin wished to limit his appearance at trial to that challenge only, he was obligated to make that known ahead of time. That way, the government would not waste resources preparing to prosecute him for the crimes alleged in the indictment but could tailor its case to Harbin’s specific challenge.
Williams,
III. Conclusion
For all of the above reasons, the determinations of the trial court are AffiRMED.
