Five defendants-appellants appeal their judgments of conviction and sentences following a jury trial in the United States District Court for the District of Connecticut (Ellen Bree Bums, District Judge). Their appeal involves a series of challenges commonly brought in drag conspiracy appeals, “the disposition of which will have little precedential import.” United States v. Rodriguez,
BACKGROUND
Appellants Lopez Jones, Reorn Mark Jones, Michael Barretto, Che Collins, and Kevin Blackmon were among sixteen people indicted following a lengthy investigation of the “Jungle Boys” drug gang in New Haven, Connecticut. All five were tried by a jury and convicted of conspiring to distribute narcotics in violation of 21 U.S.C. § 846. Lopez and Reom Jones were also convicted as supervisors of a continuing criminal enterprise under 21 U.S.C. § 848. In addition, Reorn Jones was found guilty of aeting as an accessory in the sale of cocaine, 21 U.S.C. § 841(a)(1) and 18 U.S.C. § 2, and as an accessory in the sale of cocaine within 1000 feet of a school, 21 U.S.C. §§ 841(a)(1), 860 and 18 U.S.C. § 2. Collins was convicted of the sale of cocaine, 21 U.S.C. § 841(a)(1), and the distribution of cocaine within 1000 feet of a school, 21 U.S.C. §§ 841(a)(1), 860, as well as conspiracy to possess with intent to distribute cocaine, 21 U.S.C. § 846.
As a career offender, Blackmon was sentenced to 292 months imprisonment. Reom Jones and Collins each received a 292-month term of incarceration, while Lopez Jones and Barretto were sentenced to 328 and 168 months, respectively. The five defendants each received five years of supervised release as well as the obligatory assessments.
While the appellants present a number of challenges to their convictions and/or sentences, we limit our discussion to the career offender and Rule 615 issues, which were raised by four of -the five appellants. We have considered the remaining claims of the defendants-appellants, and we find them to be without merit.
DISCUSSION
I. Career Offender Sentence
Blackmon challenges his sentence as a career offender on the ground that a prior drug conspiracy conviction cannot be a predicate for career offender status. We find this argument to be without merit.
The Sentencing Guidelines describe three criteria for sentencing a defendant as a career offender:
(1) the defendant was at least eighteen years old at the time of the instant offense, (2) the instant offense of conviction is a felony that is either a crime of violence or a controlled substance offense, and (3) the defendant has at least two prior felony*131 convictions of either a crime of violence or a controlled substance offense.
U.S.S.G. § 4B1.1. A “controlled substance offense” includes any “offense under a federal or state law prohibiting the manufacture, import, export, distribution, or dispensing of a controlled substance ... or the possession of a controlled substance ... with intent to manufacture, import, export, distribute, or dispense.” U.S.S.G. § 4B1.2(2). Application Note 1 broadens the definition to include “the offenses of aiding and abetting, conspiring, and attempting to commit such offenses.”
In this case, Blackmon was over eighteen years of age and had two prior convictions, one for manslaughter and one for assault in the second degree with a firearm. As a result, he satisfied the first and third elements of § 4B1.1, a fact that Blackmon does not contest. Because he was convicted of conspiracy to distribute a controlled substance, Judge Burns found that he fulfilled the second element as well and sentenced him as a career offender. The sole issue for decision therefore is whether the term “controlled substance offense” includes a drug conspiracy conviction.
In claiming that it does not, Blackmon does not challenge the application of the Sentencing Guidelines; Judge Burns clearly followed the explicit language of the guidelines and commentary. Instead, Blackmon argues that the Sentencing Commission exceeded its statutory mandate under 28 U.S.C. § 994(h) by including drug conspiracies as controlled substance offenses.
We begin by noting that even though the broadened definition of “controlled substance offenses” articulated in the commentary does not appear in an actual guideline, it is binding authority. Commentary “that interprets or explains a guideline is authoritative unless it violates the Constitution or a federal statute, or is inconsistent with, or a plainly erroneous reading of, that guideline.” Stinson v. United States, — U.S. -, -,
In challenging the Sentencing Commission’s authority to promulgate Application Note 1, Blackmon relies principally on United States v. Price,
The Price court then found that 28 U.S.C. § 994(h) provided no authority to include drug conspiracies as predicates for a controlled substance offense. Section 994(h), in spelling out the authority for career criminal sentences for offenders convicted of a felony that is a crime of violence or a controlled substance offense, defines a controlled substance offense as those “described in” 21 U.S.C. §§ 841, 952(a), 955, 955a, and 959, none of which is a conspiracy offense. 28 U.S.C. §§ 994(h)(1)(B), (2)(B); Price,
Since the Price decision, a majority of the circuits to consider the question have rejected Price. See United States v. Williams,
First, we do not believe that the sole basis for the Commission’s authority to devise the career offender guidelines stems from 28 U.S.C. § 994(h). It seems to us quite plain that § 994(a) also provides such authority. As the introductory commentary in the Sentencing Guidelines makes clear, the “guidelines and policy statements promulgated by the Commission are issued pursuant to Section 994(a) of Title 28, United States Code.” U.S.S.G. Ch. 1, Pt. A, intro, comment, n. 1; see also Damerville,
Even if § 994(h) were the sole authority relied upon for Ch. 4, Pt. B, however, we do not interpret the statute and its legislative history as imposing an exclusive list of offenses that would subject a defendant to a career offender sentence. Section 994(h) simply provides a list of offenses that subject an offender to a sentence at or near the maximum if other criteria are met. Nothing in the statute indicates that such an enhancement applies only to those listed offenses. See Hightower,
Finally, in concluding that the promulgation of Application Note 1 was within the Commission’s authority, we accept the Price court’s observation that conspiracies involve “quite different elements from [the] substantive crime.” See Price,
While, until now, we have not set forth our reasoning on this issue, we note that two of our prior decisions in the area are in accord with our holding today. First, in United States v. Whitaker,
Accordingly, we confirm the statutory authority underlying Application Note 1 to § 4B1.2 and affirm Blackmon’s enhanced sentence as a career offender.
II. Sequestration of Witnesses
Appellant Lopez Jones joins appellants Collins and Barretto, both arguing pro se, in claiming that Judge Burns violated Federal Rule of Evidence 615 in failing to sequester from the trial the three ease agents who were present at the government’s table. Rule 615 requires the trial court, at “the request of a party [to] order witnesses excluded so that they cannot hear the testimony of other witnesses.” The rule, however,
does not authorize the exclusion of (1) a party who is a natural person, or (2) an officer or employee of a party which is not a natural person designated as its representative by its attorney, or (3) a person whose presence is shown by a party to be essential to the presentation of the party’s cause.
Rule 615 codified a well-established common law tradition of sequestering witnesses “as a means of discouraging and exposing fabrication, inaccuracy, and collusion.” Fed. R.Evid. 615, Advisory Committee Notes; see also Government of the Virgin Islands v. Edinborough,
In this case, Barretto’s counsel moved to have “all nonessential witnesses ... sequestered from the courtroom.” Lopez Jones’s and Collins’s counsel joined in the motion. The former added his concerns that in addition to Agent Kline, who was the designated case agent, Agent Williams and Officer De
The government now argues that Lopez Jones raised the Rule 615 claim for the first time on appeal. Collins and Barretto raised this claim pro se after the government filed its brief, and the government did not address this issue in its supplemental brief. Therefore, it is not apparent whether the government believes that Collins and Barretto failed to raise the Rule 615 argument below. In any event, even though the exchange concerning sequestration did not explicitly refer to Rule 615, the defendants clearly expressed their wishes to have the government witnesses sequestered. Thus, we reject the government’s position and find that a proper motion was made below.
In asserting that the district court erred, the appellants rely on the reasoning of other circuits that the government may only exempt one agent for each subprovision of Rule 615. See United States v. Pulley,
One might interpret the language of Rule 615, as well as the advisory notes, as suggesting that the drafters contemplated the exemption of only one person for each subpro-vision. For example, the exemptions in the Rule are described in the singular and the advisory notes discuss the government’s frequent use of “a police officer” or “an investigative agent” to assist with its case. Fed. R.Evid. 615, Advisory Committee Notes (emphasis added); cf. Pulley,
While we would expect it to be the rare case when a district judge exempts more than one witness under a particular subprovision of Rule 615, we hold that a district court judge has discretion to do so. The advisory notes to Rule 615 do state that the Rule treats the matter of sequestration as “one of right,” as opposed to being “committed to the [trial judge’s] discretion.” Although we interpret this, consistent with the Rule’s use of the word “shall,” to require the sequestration of witnesses upon a party’s request, we read the easelaw to provide the judge with discretion in determining whether the witness in question falls within one of the Rule 615 exemptions. See United States v. Payan,
In making a Rule 615 ruling, a district court must exercise discretion, and among the factors that might usefully inform the exercise of such discretion are: 1) how critical the testimony in question is, that is, whether it will involve controverted and material facts; 2) whether the information is ordinarily subject to tailoring, see United States v. Prichard,
Because a court may only decline to grant a party’s request to sequester particular witnesses under one of the Rule 615 exemptions, the rule carries a strong presumption in favor of sequestration. The party opposing sequestration therefore has the burden of demonstrating why the pertinent Rule 615 exception applies, Edinborough,
In this case, the record is scant as to why the presence of more than one agent was essential. The government expanded the usual request by asking that three rather than one case agent remain in the courtroom. It sought to meet the requirement of Rule 615(3) by pointing out that the case was complex and that there was a “voluminous amount of evidence and electronic equipment to control.” The prosecutor also sought to minimize the significance of the agents’ remaining in the courtroom by assuring the trial judge that the agents would be “in and out of the courtroom.”
The district court made no explicit finding as to whether these reasons alone justified the conclusion that more than one ease agent was “essential to the presentation of the party’s cause” pursuant to Rule 615(3). Instead, the court merely overruled the objections. It would have been helpful to our review of the Rule 615 issue if the trial judge had articulated the basis for the exercise of her discretion. We are skeptical as to whether the reasons advanced by the government are sufficient to support the lower court’s ruling. For example, we doubt that simply the voluminousness of the evidence and the amount of electronic equipment to be used would normally justify such a ruling. Except in unusual circumstances, it would seem that when the government requires more assistance than a single case agent could provide, non-witness personnel could generally be employed to help operate equipment and handle the evidence. In those cases, it would be up to the government to make some showing of a need to use the additional agents it planned to call as witnesses for those administrative tasks in the courtroom. In this case, however, we need not decide whether the judge acted within her discretion since we believe that, for the reasons discussed below, rever
This Circuit has not yet articulated the appropriate test for determining whether a Rule 615 violation amounts to reversible error. Recently, we have suggested in dicta that the harmless error standard applies. See Rivera,
A few courts reject this approach, however, and apply the harmless error test, placing the burden on the government to prove that failure to sequester was harmless, i.e., that it did not prejudice the movant. See, e.g., Pulley,
the mandatory, unambiguous language of the rule to reflect the drafters’ recognition that any defendant [claiming there was a Rule 615 violation] would find it almost impossible to sustain the burden of proving the negative inference that the second agent’s testimony would have been different had he been sequestered. A strict prejudice requirement of this sort would be not only unduly harsh but also self-defeating, in that it would swallow a rule carefully designed to aid the truth-seeking process and preserve the durability and acceptability of verdicts. Rule 615 thus reflects an a priori judgment in favor of sequestration, and the exceptions should be construed narrowly in favor of the party requesting sequestration.
Farnham,
We believe the correct view is that the burden to demonstrate lack of prejudice, or harmless error, properly falls on the party that had opposed sequestration.
Applying this analysis, we conclude that the case before us “is the exceptional case because the facts are such that any presumption of prejudice is rebutted.” Farnham,
Furthermore and significantly, there was virtually no overlap in the testimony of the agents and other witnesses, except in one noted instance. See Pulley,
The parties have only identified one notable overlap in all of this testimony. Both Agent Williams and Detective Kendall identified the voice of one of the participants in a particular intercepted telephone conversation as Lopez Jones, whereas cooperating defendant Richardson could not identify the voice as that of Jones. In our view, this minimal overlap is insufficient in the context of the remaining evidence supporting the convictions to constitute prejudice to the defendants. Consequently, we find that the Rule 615 error was harmless.
CONCLUSION
The judgment of the district court is affirmed.
Notes
We note that at first glance United States v. Pellegrino,
