James O’Connor was convicted of racketeering in violation of 18 U.S.C. § 1962(c) (RICO). Among the predicate acts alleged in support of the RICO charge were crimes for which Mr. O’Connor had already been prosecuted in federal court. Mr. O’Connor moved to strike those predicate acts, based on the Double Jeopardy Clause. The district court denied the motion. Mr. O’Con-nor now claims that the denial of his motion to strike the predicate acts constituted reversible error. For the following reasons, we affirm the judgment of the district court.
I
BACKGROUND
On March 6, 1990, Mr. O’Connor was charged in a four-count indictment. Count one charged him with conducting the affairs of his business enterprise through a pattern of racketeering activity in violation of the Racketeer Influenced and Corrupt Organizations Act, 18 U.S.C. § 1962(c). Counts two through four charged him with conspiracy to commit arson, arson, and obstruction of justice. This appeal centers on count one. Under count one, the government alleged that a series of eight racketeering acts constituted the pattern of racketeering activity required by RICO. Three of the racketeering acts are relevant to this appeal. Racketeering act one alleged receipt of stolen goods from interstate commerce. Mr. O’Connor had bеen convicted in 1975 in federal court in Louisiana of conspiring to commit this offense. Racketeering act three alleged instances of wire fraud. Mr. O’Connor had been convicted in federal court in Wisconsin of these offenses in 1988. Racketeering act five alleged wire fraud as well as interstate travel to carry out a fraudulent scheme. Mr. O’Connor also had been convicted of these crimes in his 1988 trial in federal court in Wisconsin. Prior to trial, the government stated its intention to rely on Mr. O’Con-nor’s prior convictions to prove these racketeering acts. Mr. O’Connor moved to strike racketeering acts one, three, and five. He maintained that the government’s use of crimes for which he had been previously prosecuted and convicted in federal court would violate the Double Jeopardy Clause of the Fifth Amendment. The district court deniеd Mr. O’Connor’s motion. Subsequently a jury convicted Mr. O’Con-nor on all four counts of the indictment. Mr. O’Connor filed a timely notice of appeal.
II
ANALYSIS
To support a RICO conviction, the government must prove that the defendant
In
Garrett v. United States,
A.
Mr. O’Connor argues that the Supreme Court’s recent decision in
Grady v. Corbin,
Mr. O’Connor argues that
Grady
cоmpels us to find that the government’s prosecution of him under RICO violated the Double Jeopardy Clause. He points to the holding in
Grady:
“[T]he Double Jeopardy Clause bars a subsequent prosecution if, to establish an essential element of an offense charged in that prosecution, the Government will have to prove conduct that constitutes an offense for which the defendant has already been prosecuted.”
Id.
We are not the first circuit to confront the question of whether Garrett’,s vitality remains undisturbed by
Grady.
Not surprisingly, a number of RICO and CCE appeals followed on the heels of
Grady.
Thus, we are aided in our analysis by recent decisions in sevеral circuits:
United States v. Evans,
The present case and, indeed, RICO cases in general are readily distinguishable from Grady. The later indictment in Grady charged the defendant with reckless manslaughter, criminally negligent homicide, and third-degree reckless assault, all arising from a single, discrete act of drunken driving. By contrast, the indictment in the present case charged Mr. O’Connor with a fourteen-year pattern of racketeering activity. The statutes at issue in Grady focused on a specific, particular act, while the RICO statute is addressed to complex, long-term conduct. In addressing this difference, our colleagues in the Third Circuit observed that
the reasoning in [Grady ] logically extends only to offenses arising from a single discrete event. We do not think that the Supreme Court meant to imply that the double jeopardy clause forecloses successive prosecutions in cases of compound-complex felonies such as RICO, which involve several criminal acts occurring at different times in different places.
United States v. Pungitore,
We realize that the language employed by the Supreme Court in its formulation of the “same conduct” test could be interpreted as extending double jeopardy protection to all situations where the government intends again to prove conduct constituting an offense subject to an earlier conviction. But we would not be justified in reading Grady so expansively.
Id. at 1110.
We agree with the Third Circuit’s assessment of the Grady decision and its conclusion that it does not overrule Garrett. In Garrett, the defendant had been previously convicted of drug trafficking in federal court in Washington. Subsequently, the defendant was indicted in federal court in Florida for engaging in a continuing criminal enterprise, in violation of the Continuing Criminal Enterprise statute, 21 U.S.C. § 848. The prosecutor relied on the drug trafficking conviction in Washingtоn as one of the predicate offenses required by the CCE statute. The Supreme Court assumed arguendo that the drug trafficking offense would be a lesser included offense of the CCE, but still rejected the defendant’s argument that the rule in Brown v. Ohio barred the use of the prior crime as a predicate act:
We think there is a good deal of difference between the classic relation of the “lesser included offense” to the greater offense presented in Brown, on the one hand, and the relationship between thе [predicate] marihuana offense and the CCE charge involved in this case, on the other. The defendant in Brown had stolen an automobile and driven it for several days. He had engaged in a single course of conduct — driving a stolen car. The very same conduct would support a misdemeanor prosecution for joyriding or a felony prosecution for auto theft, depending only on the defendant’s state of mind while he engaged in the conduct in question. Every moment of his conduct was as relevant to the joyriding charge as it was to the auto theft charge.
Garrett,
Most fundamentally, we do not read
Grady
as overturning,
sub silentio, Garrett. Grady
briefly quotes
Garrett
twice,
see
B.
Mr. O’Connor raises the further argument that the continuation of the CCE offense past the date of the prosecutions of the predicate acts was essential to the
Garrett
holding. It is true that in
Garrett
the Supreme Court regarded as significant the fact that the continuing criminal enterprise had not been completed when the defendant was indicted for the particular predicate offenses.
See Garrett,
In Mr. O’Connor’s case, the RICO offense alleged was completed by September 10, 1986. Consequently, we cannot rest our decision on the narrow ground that the wrong-doing at issue in the RICO charge persisted after the indictment for the last predicate offense. Nevertheless, we conclude that the principles underlying the Double Jeopardy Clause are not violated by the RICO conviction. In her concurring opinion in
Garrett,
Justice O’Connor noted that the decisions of the Supreme Court “have consistently recognized that the finality guarаnteed by the Double Jeopardy Clause is not absolute, but instead must accommodate the societal interest in prosecuting and convicting those who violate the law.”
Garrett,
A RICO offense is not, of course, in any sense the “same” offense as the predicate offenses.
See United States v. Gonzalez,
In
Garrett,
Justice O’Connor, referring to prosecutorial decisions under the Continuing Criminal Enterprise statute, 21 U.S.C. § 848, noted that, аt least where the criminal act continued, double jeopardy ought not “force the Government’s hand” by requiring the Government to choose between prosecuting a defendant on the offense of which it could prove him guilty and releasing him in the hope of later being able to establish the CCE offense. Rather, she suggested, “[t]he decision to bring charges ... will necessarily and appropriately depend on prosecutorial judgments concerning the adequacy of the evidence, the efficient allocation of enforcement resources, and the desirability of seeking the statute’s severe sanctions.”
Garrett,
We also note that the record before us contains no evidence that any of the policy conсerns identified in
Grady
as animating
Although in Mr. O’Connor’s case the government did not allege RICO activity post-dating his earlier indictments, we believe the government should not have to forego a later RICO prosecution because it had already prosecuted Mr. O’Connor for some of the predicate acts alleged in the RICO indictment. 10
Conclusion
For the foregoing reasons, we affirm the judgment of the district court.
AFFIRMED.
Notes
. The Double Jeopardy Clause provides: "[N]or shall any person be subject for the same offence to be twice put in jeopardy of life or limb.” U.S. Const, amend. V.
. The Court cited
Brown v. Ohio,
.
Garrett
dealt with a continuing criminal enterprise under 18 U.S.C. § 848.
Garrett's
analysis has been held to apply to RICO as well.
See, e.g., United States v. Caporale,
. Because of the statute of limitations, the district court instructed the jury that in order to find Mr. O’Connor guilty of the RICO charge, it had to find that Mr. O’Connor committed predicate act number eight, the arson that was also the subject of count two. Because the jury did not rеturn a special verdict, it is impossible to know whether the second predicate act found by the jury was one of the previously unprose-cuted predicate acts or one of the predicate acts for which Mr. O'Connor already had been convicted.
. The Supreme Court has granted certiorari on the issue of whether a defendant may be prosecuted for conspiracy after having been prosecuted for conduct alleged in some overt acts of the conspiracy charge.
See United States v. Felix,
.United States v. Russo
offers a significantly different factual and procedural context from the other cases cited. In
Russo,
the defendant was acquitted in a RICO prosecution and was later retried and convicted for conduct which had been alleged as a predicate act in the RICO prosecution.
Grady
was decided after the oral argument in
Russo,
and the court directed the parties to submit briefs on Grady’s impact on the case. In its brief, the government conceded that the later prosecution was inconsistent with
Grady
and moved to remand for entry of a
nolle prosequi
The Second Circuit granted the government’s motion. The Tenth Circuit has suggested in dictum that
Grady
does bar successive prosеcutions for predicate acts and the RICO offense.
See United States v. Felix,
.
See Pungitore,
. The Third Circuit, however, has held that a subsequent prosecution of a predicate act, after the defendant has been prosecuted but acquitted under RICO, does not violate the Double Jeopardy Clause,
even in a case “where all the еvents necessary to the second prosecution had [] taken place at the time of the first” and “where the facts underlying the second prosecution were unknown or unavailable at the time of the first.” United States v. Esposito,
. We need not decide whether unreasonable delay in bringing the RICO charge ought to be assessed in terms of the Double Jeopardy Clause or, as our colleagues in the Eleventh Circuit have held, under thе Due Process Clause.
See United States v. LeQuire,
. We also note that
Garrett
suggests that we consider not only whether the racketeering activity continued after the date of prosecution of a predicate offense, but also whether the government
had the evidence
to bring the racketeering charge at the time of prosecution for the predicate offense.
See Garrett,
Here, the government contends that, because the testimony of several key witnesses was not yet available, it was unable to begin the RICO prosecution prior to the time Mr. O’Connor was prosecuted for the crimes that later were alleged as predicate acts three and five. It also suggests that any delay in the government’s prosecution of Mr. O’Connor’s RICO offense was largely due to Mr. O’Connor’s own efforts at obstruction of justice, for which he was convicted along with the RICO charge in the proceedings at issue here. The district court did not address this ground and we believe that it would be inappropriate for us to make an independent assessment of those factual representations.
