Dеfendant, James C. Gordon, appeals from his conviction on a three-count indictment for violations of Sections 371, 1341 and 1343 of Title 18 of the United States Code. As grounds for relief, he alleges that (1) the indictment charging conspiracy, mail fraud and fraud by wire was insufficient, (2) it was error to admit extrinsic or similar act testimony on the issue of intent, (3) defense counsel was unduly restricted in cross-examining a government co-conspirator witness, and (4) the jury was “forced” to reach a compromise verdict inconsistent with and contrary to the law and evidence.
THE CRIME
It is alleged that defendаnt Gordon conspired with William Dale Blount, 1 Shirley Copeland and Thomas Lang to defraud an insurance company by having his eighteen wheeler tractor-trailer truck taken by Copeland and Lang, and cut up into parts so that he could file a theft claim with the Emmco Insurance Company and thereby collect the insurance money on it. The defendant was also charged with committing the substantive crimes of mail fraud and wire fraud by actually using (or causing to be used) the mails and the telephone in furtherance of the scheme to defraud. The defendant, James C. Gordon, was indiсted in the United States District Court for the Southern District of Mississippi, along with two other defendants, William Dale Blount and Shirley S. Copeland, in a three-count indictment, for violations of *1169 Sections 371, 1341 and 1343, Title 18, United States Code.
THE TRIAL
The defendant, Shirley S. Copeland, entered a guilty plea before trial and executed a “memorandum of understanding” whereby he agreed to testify in exchange for the government recommending lighter treatment and immunization from further prosecution. The defendants, James C. Gordon and William Dale Blount, were tried before a jury on November 14, 1984. The jury returned a verdict of guilty on all three counts as to defendant Gordon. Defendant Blount was acquitted on all three counts. The defendant Gordon was sentenced to a three year term of imprisonment on Count I; five years probation on Count II; five years probation on Count III, concurrent with the probation on Count II; and ordered to pay $20,000 in restitution to Emmco Insurance Company.
SUFFICIENCY OF THE INDICTMENT
Gordon challenges the sufficiency of the indictment contending that it is deficient because it fails to state in detail “the facts and circumstances of the specific offense charged.” 2 The indictment’s most basic purpose is to fairly infоrm a defendant of the charge against him. Count one of Gordon’s indictment, the conspiracy charge, details the predicate offenses and the overt act with great specificity. It alleges that as part of the conspiracy the defendants, Shirley Singleton Copeland, James C. Gordon, and William Dale Blount, “knowingly and willfully devise[d] and intend[ed] to devise a scheme and artifice to defraud and to obtain money by means of false and fraudulent pretenses, representations and promises” from an insurance company. It then lists the overt act alleging that Gordon and Blount had Copeland steal the 1979 White Western Star tractor, VIN JTPCPQ1030182, for the purpose of collecting insurance on the truck from Gordon’s insurer, EMMCO Insurance Company. Gordon nevertheless contends that this count is defective because its charging portion does not set forth sufficient material facts essential to its validity under minimal constitutional standards. He also contends that the indictment is defective because each of its counts fails to set forth the essential elements of the offense charged. Finally, Gordon argues that the indictment fails to specify any means, known or unknown, by which the defendants are alleged to have committed the offenses charged.
An indictment is sufficient if it contains the elements of the offense charged, fairly informs the defendant what charge he must be prepared to meet, and enables the accused to plead acquittal or conviction in bar of future prosecutions for the same offense.
Hamling v. United States,
Count one of the indictment charges a conspiracy to commit mail fraud and wire fraud. It well noted that the essential elements of a conspiracy are an agreement by two or more persons to combine efforts for an illegal purpose and an overt act by one of the members in furtherance of the agreement.
United States v. Fiscketti,
That on or about June 23, 1983 JAMES C. GORDON and WILLIAM DALE BLOUNT had SHIRLEY SINGLETON COPELAND steal his 1979 White Western Star tractor, VIN JTPCPQ1030182, for the purpose of collecting insurance on the truck from the EMMCO INSURANCE COMPANY.
The conspiracy charge clearly sets out the elements of the offense, the specific code sections violated and the names of the co-conspirators. Moreover, the allegation's of Count one clearly charge Gordon with specific intent to commit the described offense.
See United States v. Diecidue,
Count two charges mail fraud, 18 U.S.C. § 1341, the essential elements of which are (1) a scheme to defraud, (2) involving a use of the mails, (3) for the purpose of executing the' scheme.
United States v. Freeman,
Finally, Count three charges wire fraud, 18 U.S.C. § 1343, the essential elements of which are (1) a scheme to defraud and (2) the use of interstate communications in furtherance of the scheme. United States v. Cowart, 595 F.2d 1023, 1031 n. 10 (5th Cir.1979). The indictment describes the scheme to defraud and alleges occurrence of “a telephone conversation between ... Blount in ... Mississippi and an agent and representative for EMMCO Insurance Company in Dallas, Texas.” Thus, it is apparent that the indictment, as a whole, is sufficient in factual particularity and clearly sets out the essential elements of each offense, the specific code sections violated and the name of all co-conspirators.
Since each count of the indictment contains the essential elements of the offense charged, the second inquiry regarding the indictment is whether it sufficiently apprises the defendant of what he must be prepared to meet. U.S. Supreme Court has held that “[i]t is an elementary principle of criminal pleading that where the definition of an offence, whether it be at common law or by statute, includes generic terms, it is
not
sufficient that the indictment shall charge thе offence in the same generic terms as in the definition; but it must state the species, — it must descend to particulars” (emphasis added).
United States v. Cruikshank,
2 Otto (92 U.S.) 542, 558,
An indictment tracking the language of the statute is sufficient to charge a violation of 18 U.S.C. § 371.
Grene v. United States,
*1172
Moreover, a defendant’s constitutional
right
to know thе offense with which he is charged must be distinguished from a defendant’s
need
to know the evidentiary details establishing the facts of such offense, which can be provided through a motion for bill of particulars.
United States v. Freeman,
The third standard by which the sufficiency of the indictment is determined is whether its charge is specific enough to protect the defendant against a subsequent prosecution fоr the same offense.
United States v. Giles,
In light of aрplicable case law, the indictment in the case at bar sub judice is more than adequate to conform to minimal constitutional standards, because it contains the essential elements of the offenses, it apprises the defendant of what he must be prepared to meet, and it protects him from subsequent prosecution for the same offense. Therefore, the district court’s denial of defendant’s motion to dismiss was proper.
OTHER ALLEGATIONS
A. Admissibility of Extrinsic Evidence Under Indictment
Gordon asserts that extrinsic evidence was improperly admitted in that the indictment was couched in terms of a conclusion rather than charging acts and therefore, the issue of intent was removed. The defendant is arguing that without intent being an issue there is no need for extrinsic evidence. Further, Gordon states that the conclusory allegations in the indictment rendered the court’s limiting instruction erroneous, confusing and misleading. The question whether the indictment was sufficient has been discussed above in detail and the court had already found the indictment to be sufficient. Moreover, the offenses charged in the indictment required that the government present proof of specific intent.
See United States v. Purvis,
B. Admissibility of Extrinsic Evidence With Apрropriate Limiting Instructions
Gordon asserts that it was error for the government to be permitted, with appropri *1173 ate limiting instructions, to adduce evidence in its case showing that he had, in another instance, defrauded an insurance company and that such error allowed the jury to convict Gordon alone on erroneous standards. Specifically, the government offered the testimony of Copeland and Lang relating that they had been asked by Gordon to burn his house so that he could collect the insurance on it. Copeland and Lang in fact admitted they had sеt fire to Gordon’s house. Gordon filed a motion in limine at trial. The extrinsic act was committed only a month before the act charged in the indictment, the extrinsic act and the offense charged in the indictment were similar in character, and the persons involved in both instances were the same. The district court ruled that the extrinsic evidence was relevant to the issue of intent that the government was required to show, and that its probative value was not substantially outweighed by any prejudicial impact. Moreover, using the Pattern Jury Instructions, Criminal Cases, Fifth Circuit Court of Appeаls, the district court judge instructed the jury that they could consider the burning of the house only if it first found that Gordon committed the particular offenses, and then only for the limited purpose of determining the question of intent.
In deciding whether extrinsic or “similar acts” testimony is admissible, a court must look to Federal Rules of Evidence, Rule 403 and 404(b). The relevancy exception rule, Fed.R.Evid. 403, provides:
Although relevant, evidence may be excluded if its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading the jury, or by considerations of undue delay, wastе of time, or needless presentation of cumulative evidence.
The character evidence rule, Fed.R.Evid. 404(b), provides:
Evidence of other crimes, wrongs, or acts is not admissible to prove the character of a person in order to show that he acted in confirmity therewith. It may, however, be admissible for other purposes, such as proof of motive, opportunity, intent, preparation, plan, knowledge, identity or absence of mistake or accident.
Both the traditional common law rule and Federal Rule of Evidence 404(b) permit a court to admit evidence of other “acts,” as well as other “crimes,” for the limited legitimate purpose of proving knowledge or intent as long as the evidence is relevant and its probative value substantially outweighs the danger of unfair prejudice or the other factors noted in Rule 403.
United States v. Evans,
1. It must be determined that the extrinsic offense evidence is relevant to an issue other than the defendant’s character.
2. The evidence must possess probative value that is not substantiаlly outweighed by its undue prejudice and must meet the other requirements of Rule 403.
Similarity of the extrinsic offense to the offense charged is the standard by which relevancy is measured under Rule 404(b).
The similarity and, hence, the relevancy of Gordon’s extrinsic offenses to the offenses charged in the present case is undeniable. Gordon’s prior attempt to defraud an insurance company meets the relevancy requirement because intent to defraud an insurance company was an issue. The state of mind inherent in thе commission of such nearly identical offenses would necessarily be the same. As such the first part of the Beechum test was clearly satisfied.
The next issue is whether the probative value of the extrinsic offense evidence was substantially outweighed by the danger of unfair prejudice. Rule 404(b) evidence is particularly probative where the government has charged conspiracy.
United States v. Sampol,
Although we are not convinced that the district court abused its discretion in admitting this evidence,
See United States v. Brown,
C. Cross-examination of Government Witness
Appellant Gordon contends that the trial judge unduly restricted the cross-examination of a government witness, Thomas Lang. Gordon asserts that he was cut-off from exploring the details of Lang’s “deal” with the government to testify in this action. Lang was a defendant in a separate action charging Gordon with defrauding his insurer by having his house burned. The government witness entered a guilty plea to that charge and executed a “memorandum of understanding” with the government whereby he agreed to testify in the present case in exchange for а recommendation by the government for a lighter or preferred treatment. Lang did testify at trial that he and Copeland did in fact set fire to Gordon’s house.
Limitation of the scope and extent of cross-examination is a matter committed to the sound discretion of the trial judge reviewable only for a clear abuse of that discretion.
United States v. Merida,
Appellant Gordon also asserts that he was entitled under the law to fully develop the facts surrounding the subject matter of Lang’s plea of guilty set forth in the memorandum of understanding. After review of the trial transcript, it is apparent that Gordon was not limited in his cross-examination of the government witness Lang concerning the “deal” Lang made with the prosecution. Appеllant introduced into evidence Lang’s memorandum of understanding he made with the government and questioned Lang extensively regarding its effect in motivating him to testify against Gordon. Moreover, Lang’s prior convictions were permitted by the Court to be explored by appellant pursuant to Rule 609.
See United States v. Bray,
D. Jury Verdict
Appellant asserts that the lower court inadvertently allowed a situation to develop which forced the jury to reach an improper compromise verdict inconsistent with the evidence and contrary to the law. Gordon argues that Blount’s involvement in the scheme to defraud was greater than his own involvement; thus it is inexplicable how or why the jury could reach a verdict acquitting Blount but convicting him. The appellant suggests that the verdict can only be explained in terms of the extrinsic evidence being “improperly” admitted; however, the allegation that the extrinsic evidence was improperly admitted has already been addressed in sections A and B entitled “Other Allegations”.
It is well settled in this circuit that consistency of verdicts is not required and no conclusion can be drawn as to how the jury viewed evidence based on acquittal of other defendants.
United States v. Young Brothers, Inc.,
The defendant further suggests that the jury was forced to arrive at an improper compromise verdict because the court gаve the jury the modified Allen charge after the jury on several occasions during a period of approximately eight hours of actual deliberations told the court that it was deadlocked and it was not making any *1177 progress towards arriving at a verdict. Gordon objected to the court giving the modified Allen charge or any other charge. The court overruled Gordon’s objection and gave the modified Allen charge. The jury retired for approximately three and one-half more hours of deliberations, after which they returned a guilty verdict against Gordon.
It appeаrs that appellant is suggesting that the giving of the modified
Allen
charge was “coercive” under the circumstances. The trial judge is vested with broad discretion to evaluate whether an
Allen
charge is likely to coerce a jury into returning a verdict it would not otherwise return.
United States v. Nichols,
Moreover, this Court has repeatedly upheld the use of the modified
Allen
charge.
United States v. Jennings,
CONCLUSION
In summary, Gordon’s conviction under Counts one, two and three of thе indictment must be, and are AFFIRMED.
Notes
. Blount and Gordon were co-owners of the eighteen wheeler tractor-trailer truck, however, Blount was not an EMMCO Insurance Company policy holder with Gordon.
. This claim was raised in the district court by way of a motion to dismiss the indictment because of its failure to set forth the essential facts constituting the offense. The district court denied this motion.
*1172 The wire fraud count set out the date and place of the offense, the persons involved, the scheme to defraud including the persons who stole the truck and those that had it stolen, along with a desсription of the truck, the insurance company and the telephone conversation.
. The Gordon district judge gave the following limiting instruction:
During the course of the trial, testimony or evidence was received with respect to the defendant Gordon having his home burned to collect insurance on it. These offenses are not charged in the indictment in this case but would at most constitute evidence of similar acts in relation to these alleged in the indictment. Evidence that an act was done at one time or on *1175 one occasion is not any evidence or proof whatever that a similar act wаs done at another time or on another occasion. That is to say, evidence that a defendant may have committed an act similar to the acts alleged in the indictment may not be considered by the jury in determining whether the accused in fact committed any act charged in the indictment, nor may evidence of some other act of a like nature be considered for any other purpose whatever unless the jury first finds that the other evidence in the case, standing alone, establishes beyond a reasonable doubt that the accused did the pаrticular act charged in the particular count of the indictment then under deliberation.
If the jury should find beyond a reasonable doubt from other evidence in the case that the accused did the act charged in the particular count under deliberation, then the jury may consider evidence as to an alleged act of a like nature in determining the state of mind or intent with which the accused did the act charged in the particular count; and where proof of an alleged act of a like nature is established by evidence which is clear and conclusive, the jury may but is not obliged to draw the inference and find that in doing the act charged in the particular count under deliberation, the accused acted willfully and not because of mistake or accident or other innocent reasons. (Trial transcript, pgs. 351-352).
. Alternatively, even had there been an error in the admission of these similar extrinsic acts, in view of the overwhelming evidence of Gordon’s guilt the error would have been harmless.
United States v. Evans,
. Fed.R.Evid. 608(b) provides:
Specific instances of the conduct of a witness, for the purpose of attacking or supporting his credibility, other than cоnviction of crime as provided in rule 609, may not be proved by extrinsic evidence. They may, however, in the discretion of the court, if probative of truthfulness or untruthfulness, be inquired into on cross-examination of the witness (1) concerning his character for truthfulness or untruthfulness, or (2) concerning the character for truthfulness or untruthfulness of another witness as to which character the witness being cross-examined has testified.
The giving of testimony, whether by an accused or by any other witness, does not operate as a waiver of his privilege against self-incrimination when examined with respect to matters which relate only to credibility.
