After a jury trial in the Western District of Texas, Jamiel Alexander Chagra was convicted of aiding and abetting the possession of cocaine by another and operating a continuing criminal enterprise in violation of sections 401(a)(1) and 408 of the Comprehensive Drug Abuse Prevention and Control Act of 1970 (the 1970 Drug Act), 21 U.S.C. §§ 841(a)(1) and 848. The district court imposed a sentence of 30 years in prison, a fine of $125,000, and a life-time special parole term. We affirm the judgment of conviction in its entirety but modify the sentence imposed by the district court.
I. BACKGROUND TO THIS APPEAL
A. Facts of the Crimes. 1
The evidence introduced at trial demonstrated that appellant had supervised several large scale narcotics importation and distribution operations. Most of the evidence related to events taking place during or after the summer of 1977.
During the summer of 1977, appellant met with Henry Wallace, an unindicted co-conspirator, and several other persons at the home of Charlie McCord in El Paso, Texas, to resolve some difficulties appellant was encountering in collecting his share of the proceeds from the importation of 1,800 pounds of marijuana into the United States from Mexico. 2 At this meeting, appellant informed Wallace that appellant had been in charge of this operation, owned the plane used to smuggle the marijuana into the United States, and employed the pilot, Jerry Wilson, but had not received his share of the load, 1,000 pounds, from Leslie Harris and McCord, two others involved in the scheme. Wallace agreed personally to assume an indebtedness to appellant of up to approximately $150,000 in cash, goods, or services, less the cost of the marijuana, to ensure appellant that he would receive his share. Appellant agreed, and Harris and McCord paid the Mexican source of the *245 marijuana $50,000. Several weeks later, Wallace delivered six ounces of cocaine worth about $7,200 to appellant as partial payment on his indebtedness. Appellant later asked Wallace to arrange another airplane smuggling operation from Mexico, this time involving 2,000 pounds of marijuana, as a further debt payment. Wilson was again to pilot the plane. Wallace agreed.
This operation was not immediately undertaken because Wilson’s plane was disabled. Appellant and Wallace along with Eddie Mitchell, allegedly appellant’s cousin, therefore met in Berino, New Mexico, at Wallace’s home and devised another scheme. They planned to smuggle six kilograms of cocaine from Colombia to the United States to boost appellant’s finances which had sagged because of two failed importation ventures. One planeload of narcotics had crashed in Colombia and another had been seized by law enforcement authorities in Ardmore, Oklahoma. Appellant estimated that each kilogram would cost approximately $10,000. Wallace agreed to make the financial and transportation arrangements in the United States and appellant agreed to organize matters in Colombia. In late summer, Wallace raised over $20,000 from several individuals to fund the operation, recruited a new pilot, Jim French, because appellant had lost confidence in Wilson, purchased a new airplane in the name of one of the operation’s investors, Richard Young, and had fuel tanks installed on the plane to extend its flying range. Appellant, however, had some difficulty in arranging matters in Colombia, and at a meeting with Wallace in October at appellant’s Ft. Lauderdale, Florida, home, appellant convinced Wallace to replace Mitchell in Colombia. Appellant and Wallace also discussed using the proceeds from the cocaine importation scheme to finance a later marijuana sea smuggling operation.
Using false identification papers to avoid any difficulty in obtaining a passport because he was a convicted felon, Wallace obtained a passport under the name of Robert D. Rosson, an alias he had previously used, and flew to Colombia. Wallace’s instructions were to send Mitchell home, to obtain the cocaine and a landing site through Lionel Gomez, appellant’s source of marijuana for previous schemes, 3 and to meet the plane when it arrived. Gomez was unwilling to supply appellant with cocaine on credit, however, because of several past failures, but he did introduce Wallace to Raul Royce whom Gomez thought might be willing to extend credit to appellant. Royce agreed to extend the necessary credit for the cocaine so long as Wallace agreed to remain in Colombia. Wallace agreed, and Royce later delivered six kilograms of cocaine to Gomez for Wallace.
Wallace then called William Dudley Con-nell in the United States, from whom Wallace had earlier but unsuccessfully sought to obtain funds for the cocaine scheme, to obtain money for payment to Royce. Con-nell was still unable to offer any financial assistance but he did contact Paul Taylor to determine whether Taylor might be interested in investing. After talking with Con-nell, Taylor left for Colombia to observe the operation. Taylor remained in Colombia only briefly, paid some of Wallace’s bills, and then returned to the United States to discuss the operation with Connell.
In the United States, appellant attempted to interest several persons in importing narcotics. Appellant, French, and Taylor then flew to Colombia to pick up the cocaine. Wallace remained in Colombia to organize the importation of a boatload of marijuana.
Unable to convince either Gomez or Royce to extend credit for this operation, in late November or early December Wallace arranged with Jose Barros for 30,000 pounds of marijuana to be shipped aboard the DONA PETRA to Florida. Appellant expected to sell this marijuana for $250 per pound in 1,000 pound lots. Barros extended credit to appellant for almost all of the $2,400,000 purchase price. After Barros and appellant personally discussed the transaction by telephone, the marijuana was loaded aboard the DONA PETRA in *246 mid-to late December and it set sail for Florida under the control of a boat captain supplied by appellant. Royce then permitted Wallace to leave Colombia after Wallace convinced Royce to accompany him to the United States to collect the $180,000 debt owed Royce. Both left Colombia for the United States and met with appellant on Christmas Day at appellant’s home. Royce collected $40,000 of the amount owed him and returned to Colombia a few days later.
After returning to the United States, appellant sold Connell and Taylor one kilo of cocaine for $70,000 on credit in November and also agreed to earmark the profit from the sale of 5,000 pounds of marijuana for them. In early 1978, appellant also gave Young two ounces of the cocaine to sell at $1,500 per ounce. After selling some of the cocaine, Young exchanged the remainder and the proceeds from the portion already sold for four other ounces because the first two ounces were of poor quality.
The DONA PETRA arrived off the Florida coast in December of 1977. While searching for the DONA PETRA, appellant discovered two other marijuana laden freighters, the MISS CONNIE and the EC-OPESCA IV, in the Caribbean, and obtained permission to unload them. Unloading took place in two stages. The marijuana was first transferred from the freighters to large sport fishing boats, such as the MASTER PLAN, and was then transferred to smaller boats for final transportation to Florida. Appellant was assisted in this part of the operation by Hamilton Judd Myers, a professional boat captain hired by appellant to ferry him around the unloading area. 4 Under this plan, appellant was able to import 24,000 pounds of marijuana before the Coast Guard seized the mother ships MISS CONNIE and ECOPESCA IV and their remaining marijuana on December 27. The Coast Guard seized the DONA PETRA on December 30 before it could be unloaded, however.
Shortly thereafter, Wallace returned to South America to set up another marijuana shipment. Appellant again intended to smuggle 30,000 pounds of marijuana into the United States. Wallace gave Royce $130,000 in payment for cocaine and left radio navigational equipment and a boat captain in Colombia for the voyage. In return, Royce gave Wallace three kilograms of cocaine on credit, which Wallace in turn gave to appellant upon returning to Florida.
Wallace then left Florida for Texas in January 1978 to take care of some outstanding business for appellant. This included paying some of appellant’s outstanding debts as well as threatening Connell should he and Taylor fail to pay appellant the $70,000 they owed appellant for the kilogram of cocaine. Returning to Florida later that month, Wallace assisted appellant in receiving and unloading boatloads of marijuana from Colombia. Wallace later returned to El Paso after receiving three kilograms of cocaine from John Quintoni, an associate of appellant’s who often acted as appellant’s “banker,” and $140,000 in cash from appellant himself, $100,000 of which was for Wallace and $40,000 of which was for appellant’s mother. Wallace again assisted appellant in later marijuana unloading operations off the Florida coast before finally breaking off business relations with appellant.
B. Proceedings in the District Court.
On February 26, 1979, the federal grand jury for the Midland-Odessa Division of the Western District of Texas returned an indictment against appellant accusing him of several violations of the federal narcotics laws. Trial was scheduled to be held before District Judge John Wood. On March 13, appellant filed several pretrial motions, including one to disqualify Judge Wood from presiding over his trial and one for a change of venue to a location outside the Western District of Texas, and preferably outside Texas altogether, because of allegedly prej *247 udicial pretrial publicity. Judge Wood denied appellant’s disqualification motion and his motion for a change of venue outside Texas, but granted appellant’s motion for a change of venue and offered appellant the choice of having trial in Midland or Austin. Appellant chose Austin and Judge Wood set trial for May 29.
On May 2, we denied appellant’s petition for a writ of mandamus to disqualify Judge Wood. Two weeks later, the federal grand jury for the El Paso Division of the Western District of Texas returned a superced-ing indictment against appellant adding a charge that he had conducted a continuing criminal narcotics enterprise in violation of 21 U.S.C. § 848 to the charges filed by the Midland-Odessa grand jury. Judge Wood then sua sponte continued the trial date from May 29 until July 23. On May 29, Judge Wood was killed near his home in San Antonio. Judge Sessions replaced Judge Wood as trial judge and trial was reset for August 1.
Before trial, Judge Sessions entertained several motions filed by appellant. For instance, he denied a motion to dismiss the El Paso indictment because of allegedly prejudicial pretrial publicity and also denied appellant’s motion to dismiss the continuing criminal enterprise charge in the El Paso indictment because of alleged prosecutorial vindictiveness. He did require the government to elect among the charged offenses and the indictment was renumbered to include only four counts. Count one charged appellant with conspiracy to import marijuana into the United States from Colombia in violation of 21 U.S.C. §§ 952(a) and 963. Count two charged appellant with conspiracy to import cocaine into the United States from Colombia in violation of 21 U.S.C. §§ 952(a) and 963. Count three charged appellant with aiding and abetting the possession of cocaine by another in violation of 18 U.S.C. § 2 and 21 U.S.C. § 841(a)(1). Count four charged appellant with conducting a continuing criminal enterprise in violation of 21 U.S.C. § 848. 5 Judge Sessions denied appellant’s motion for a change of venue or for a continuance and trial began on August 1.
After both sides had rested, the jury was instructed to deliberate first on counts three and four and to consider counts one and two as lesser included offenses only if it could not return a guilty verdict on count four. On August 15, the jury found appellant guilty of both counts three and four and, accordingly, did not return a verdict on counts one or two.
Appellant then became a fugitive and was not sentenced until March 28, 1980. The district court imposed the sentence noted above and appellant brought this appeal.
II. VINDICTIVE PROSECUTION
Appellant’s opening argument is that his conviction for operating a continuing criminal enterprise should be reversed and the charge dismissed because the government levied this charge against him in retaliation for his attempts to avoid trial before Judge Wood. The government argues that it brought the § 848 charge after discovering a new witness who would assist in proving the continuing criminal enterprise charge and after a new prosecutor reassessed the evidence against appellant. We find no vindictiveness in this case.
As a substantive matter, the constitutional authority to “take care that the laws [are] faithfully executed” is textually committed to the authority of the executive branch, U.S.Const. art. II, § 3;
United States v. Hamm,
The second indictment arose out of the following scenario. 7 The Midland-Odessa federal grand jury returned an indictment against appellant on February 26, 1979, which did not contain a continuing criminal enterprise charge. In mid-March, Archie Pierce replaced James Kerr as the chief government prosecutor and began an independent examination of the evidence against appellant. While Pierce was analyzing the evidence in the file, Hamilton Judd Myers was arrested on a narcotics charge and agreed to testify for the government that appellant had supervised marijuana unloading operations off the Florida *249 Coast. Myers had previously assisted the United States Customs Service in narcotics matters but was not acting on behalf of the government during the time he was employed by appellant. On March 13, appellant requested Judge Wood to recuse himself. Judge Wood denied this motion on April 2 and we denied appellant’s petition for a writ of mandamus on May 2. After concluding his examination, Pierce concluded that the evidence justified a continuing criminal enterprise charge and sought approval from the Justice Department to seek a superceding indictment containing that charge in early to mid-May. Obtaining permission, Pierce presented the evidence to the El Paso federal grand jury and obtained a superceding indictment containing a § 848 charge on May 22. This was the indictment under which the government proceeded at trial.
From our examination of the record, we believe that the government’s decision to obtain a continuing criminal enterprise charge was neither caused by appellant’s efforts to avoid trial before Judge Wood nor intended to punish appellant for those efforts.
Cf. United States v. Walker, supra,
III. PRETRIAL PUBLICITY
Appellant’s next contention is that he was denied the right to a fair trial by an impartial jury because of widespread, adverse pretrial publicity.
9
A defendant is entitled to a fair trial by an impartial jury which will render its verdict based upon the evidence and arguments presented in court without being influenced by outside, irrelevant sources.
Irvin v. Dowd,
An appellant can obtain a reversal of his conviction because of pretrial publicity in three different circumstances.
10
First,
*250
he can demonstrate an actual, identifiable prejudice attributable to the publicity in question on the part of a member of the jury which decided his case.
Irvin v. Dowd, supra,
Appellant has not identified any actual prejudice on the part of any of the jurors in his case and we have found none. Instead, *251 appellant pursues both of the last two paths, contending that the publicity in his case necessarily denied him the right to a fair trial and that the district court’s jury selection procedure failed to assure him an impartial jury in the face of that publicity. Appellant also contends that we should reverse his conviction and remand his case for retrial outside of the Western District of Texas under our authority to supervise the administration of justice in the district courts. After reviewing the evidence in the record, we conclude the appellant was afforded a fair trial by an impartial jury.
Appellant has presented extensive support for his claim. This evidence can be classified into four categories: (1) national publications, such as articles in Newsweek, Time, and U. S. News and World Reports magazines, and a segment of the nationally syndicated network magazine show “20/20”; (2) local newspaper publications; (3) a public opinion poll taken in the Austin vicinity; and (4) the voir dire responses of several jurors that they could not be impartial. This evidence included the events occurring prior to appellant’s trial, such as the attempted killing of a government prosecutor, the killing of appellant’s brother Lee and Judge Wood, background evidence of his brother’s criminal defense practice and flamboyant life style, the narcotics problems in El Paso, and the speculation that all these events were related. This evidence does demonstrate that events leading up to appellant’s trial received extensive media coverage. Nevertheless, we have some difficulty in concluding that he has established that the Austin community was presumptively prejudiced against him.
The principle of presumptive prejudice, which originated in
Rideau v. Louisiana,
Appellant has not demonstrated the circulation of the three national magazines in the Austin area or the number of persons who may have viewed the telecast relating to his case among the class of persons eligible for jury service.
Cf. Mayola v. Alabama, supra,
Only one of the twelve jurors was acquainted with any publicity about this case. The other eleven jurors knew nothing about this case at all from any source. The only juror with any contact with the pretrial publicity stated that she had read an article about appellant’s family in one newspaper. In response to the district court’s questioning, she also stated that she had no preconceived notion, bias, or prejudice for or against the defendant or the government from her reading of this one article and that she did not draw any connection between Judge Wood’s death and appellant’s case. After completing its questioning of this juror, the district court asked whether there were any other questions and the defense offered none. The defense never challenged this juror for cause.
13
We conclude that the government has carried its burden of proving that “an impartial jury was actually impanelled.”
Mayola v. Alabama, supra,
We also conclude that the
voir dire
procedure employed by the district court was “capable of giving ‘reasonable assurance that prejudice would be discovered if present.’ ”
United States
v.
Hawkins, supra,
Finding no constitutional or procedural error, we must address appellant’s contention that we should exercise our authority to supervise the administration of justice in the district courts to grant him a new trial. He relies largely upon
Marshall
v.
United States,
In conclusion, we reject appellant’s argument that his conviction should be reversed because of adverse pretrial publicity.
IV. EVIDENCE OF PRIVATE WEALTH
Appellant argues that the district court erred by admitting evidence of his purchase of two expensive, private residences because there was no evidence to connect these purchases with his operation of a continuing criminal enterprise. 20 We find no error in the admission of this evidence.
*256
To prove a continuing criminal enterprise charge, the government must establish that the defendant engaged in a continuing series of felony violations of the federal narcotics laws in concert with five or more persons under his management or supervision, and that he obtained substantial income or resources from this conduct.
United States v. Phillips, supra,
V. SUFFICIENCY OF THE EVIDENCE
Appellant contends that the evidence is insufficient to support his conviction under § 848 because the government failed to prove that he obtained substantial income or resources from his operation of a continuing criminal enterprise. We disagree.
The relevant standard for appellate review of the sufficiency of the evidence to support a criminal conviction is “whether, after viewing the evidence in the light most favorable to the prosecution,
any
rational trier of fact could have found the essential elements of the crime beyond a reasonable doubt.”
Jackson
v.
Virginia,
The government may prove that appellant obtained substantial income or resources from his operation of a continuing criminal enterprise by relying upon a variety of types of direct or circumstantial evidence.
United States v. Phillips, supra,
*258
Appellant argues that the government may not rely upon the circumstantial evidence of his unexplained affluence to support his conviction under § 848 because such a theory shifts the burden of proof on this issue from the government to him in violation of
Mullaney v. Wilbur,
VI. DEFENSE WITNESS IMMUNITY
During trial, a government witness implicated John Quintoni, an associate of appellant’s, in appellant’s drug operations. Appellant subsequently questioned Quintoni out of the jury’s presence regarding his knowledge of or participation in drug trafficking. Quintoni exercised his fifth amendment privilege against self-incrimination with respect to every question asked by appellant’s counsel and refused to answer any of appellant’s questions. Appellant’s counsel then asked the district court to offer Quintoni use immunity under 18 U.S.C. § 6002 et seq. so that Quintoni could testify without fear of incrimination. The district court denied this request and appellant claims that the district court’s refusal to grant Quintoni use immunity or to order the government to do so violated his right to a fair trial. 22 We disagree.
This Circuit has consistently held that a district court does not possess the statutory, common law, or inherent authority either to grant use immunity to a defense witness over the government’s objection or to order the government to do so. 23 At the same time, we have also suggested without deciding that the federal constitution may in some extraordinary circumstances require either defense witness immunity or some remedial action by a district court to protect a defendant’s right to a fair trial. 24 Appellant posits several potential bases for such a result, 25 but we find none of them persuasive. 26
*259
Our recent opinion in
United States v. Thevis,
We also conclude that
Thevis
requires us to hold that any due process right to defense witness immunity cannot turn on whether the government proves its case against the defendant through the testimony of immunized witnesses. We rejected this basis in
Thevis
because the proffered defense testimony related to an issue which the government had established entirely through the use of non-immunized witnesses and because there was no evidence of governmental misconduct.
Id.
at 640-641. Nevertheless, we believe the balance between the government’s interest in prosecuting accused felons and the accused’s interest in presenting exculpatory and otherwise unobtainable evidence should not be inflexibly resolved by the fortuity that the government grants immunity to a particular witness in a particular ease. If the government’s prosecutorial interest outweighs a defendant’s interest in presenting such evidence, as in
Thevis,
then the government’s interest also outweighs any abstract concern with symmetry.
27
See United States v. Turkish,
Appellant also relies upon the compulsory process clause of the sixth amendment. Our recent decision in
Thevis
did not consider the compulsory process clause as a basis for defense witness immunity.
United States v. Thevis, supra,
We begin our analysis of this argument with the text of the compulsory process clause itself because
“the most important datum bearing on what was intended
[by the constitution]
is the constitutional language itself.”
J. Ely, Democracy and Distrust 16 (1980) (emphasis in original; bracketed material added). As Chief Justice Marshall put it, “the enlightened patriots who framed our constitution, and the people who adopted it, must be understood to have employed words in their natural sense, and to have intended what they said.”
Gibbons v. Ogden,
The history of the adoption of the clause and the history of its contemporaneous interpretation are also helpful to our analysis because that history cabins the range of potential interpretations that can be given to the constitutional text. Westen,
Confrontation and Compulsory Process: A Unified Theory of Evidence for Criminal Cases,
91 Harv.L.Rev. 567, 568 (1978). That history demonstrates what the text of the clause suggests: that the clause was designed to ensure that a defendant would have the subpoena power available for his defense rather than to guarantee a defendant the unlimited right to present a defense without regard for the rules of evidence or the procedures governing a criminal trial. Nothing in the history of the adoption of the compulsory process clause suggests that it was designed to provide a defendant with the extraordinary right asserted here. Flanagan,
supra,
The case law interpreting the scope of the clause also does not support the right to defense witness immunity. In
Washington v. Texas,
Finally, we do not believe that the “right to present a defense,”
Washington v. Texas, supra,
In conclusion, under the present circumstances, we can find no constitutional basis for the defendant’s right to demand that the government offer transactional or use immunity to his witness.
VII. CUMULATIVE PUNISHMENT
Appellant argues that the district court erroneously imposed cumulative fines for his violations of §§ 841 and 848. 28 The district court imposed a 15-year term of imprisonment, to be followed by a life-time special parole term, and a $25,000 fine upon appellant for violating § 841, and imposed a 30-year prison term and a $100,000 fine for violating § 848. The two prison terms were to run concurrently but the two fines were to be cumulated for a total fine of $125,000. We agree with appellant that the district court erroneously imposed cumulative fines. 29
Whether a district court may impose cumulative penalties upon a defendant convicted of several offenses is entirely a matter of legislative intent, and whether a district court does so is left to that court’s sentencing discretion unless Congress intended to prevent a district court from imposing cumulative penalties.
See Albernaz v. United States,
VIII. PAROLE ELIGIBILITY
Appellant’s final argument is that he has a right under 18 U.S.C. § 4205 to have the district court consider setting a date for him at which he would be eligible for parole. Appellant advances this claim even though he was convicted of violating 21 U.S.C. § 848 which otherwise would deny him the right to parole. Appellant’s elaborate argument goes as follows.
Subsection (c) of 21 U.S.C. § 848 states that “[i]n the case of any sentence imposed under this section, imposition or execution of such sentence shall not be suspended, probation shall not be granted, and section 4202 of Title 18 and the Act of July 15, 1932 (D.C.Code, secs. 24-203 to 24-207), shall not apply.” The “section 4202 of Title 18” referred to in § 848(c) was the former federal statute establishing general parole eligibility criteria. This version of § 4202 was repealed in 1976, however, by the Parole Commission and Reorganization Act (the 1976 Parole Act) which reorganized the entire parole decisionmaking structure and process. The current version of § 4202 established the Parole Commission 32 and the general parole criteria formerly codified at § 4202 are now codified at § 4205. 33 Appellant argues that Congress’ repeal of former § 4202, coupled with its failure to *263 amend § 848(c) to refer to the new § 4205 rather than to the former § 4202, effectively repealed the bar to parole established by § 848(c). Therefore, he is entitled to have the district court consider setting a parole eligibility date for him under the current version of § 4205 just as a district court may for any other prisoner. We disagree. 34
Appellant’s “elaborate argument . . . does not need an elaborate answer.”
United States v. Wurzbach,
A valid conviction and sentence extinguishes a defendant’s right to liberty otherwise protected by the due process clause of the fifth or fourteenth amendments for the length of the sentence imposed.
Connecticut Board of Pardons
v.
Dumschat,
As with any problem of statutory analysis, we must begin our inquiry into Congressional intent with the language of the statutes themselves.
United States
v.
Turk-ette, 452
U.S. 576, 580,
In order for appellant to prevail, the 1976 Parole Act must be held to have produced one of two results: either the repeal of former § 4202 accomplished by the Act by itself amended § 848(c) or the 1976 Parole Act explicitly or implicitly modified § 848(c) by virtue of the statute enacted by that law. We do not find either interpretation tenable.
The repeal of former § 4202 performed by the 1976 Parole Act did not by itself amend § 848(c). Prior to the adoption of the 1976 Parole Act, § 848(c) clearly denied a person in appellant’s position the opportunity to be considered for parole.
Jeffers v. United States, supra,
The answer to this question is clear: neither the language of the 1976 Parole Act, its legislative history, or the policies motivating Congress to adopt the act suggests any Congressional intent to permit persons convicted of violating § 848(c) to be considered for parole. Section 4205, like its predecessor § 4202, establishes general criteria for eligibility for parole, but neither § 4205 nor any other section of the 1976 Parole Act purports to supercede any other federal law denying a prisoner the opportunity for parole. In fact, § 4205(h) specifically states that “[n]othing in this chapter shall be construed to provide that any prisoner shall be eligible for such release on parole [as provided by the 1976 Parole Act] if such prisoner is ineligible for such release under any other provision of law.” By its terms, § 4205(h) recognizes that statutes other than the 1976 Parole Act may deny a prisoner the opportunity for parole and carries forward the effect of those other statutes. The language of the 1976 Parole Act undercuts appellant’s argument.
United States v. Valenzuela,
Appellant attempts to avoid the force of § 4205(h) by arguing that the term “prisoners” referred to in that subsection includes only those persons incarcerated at the time the Act was adopted and does not include persons convicted after that date. This interpretation is untenable. “A fundamental canon of statutory construction is that, unless otherwise defined, words will be interpreted as taking their ordinary, contemporary, common meaning.”
Perrin v. United States,
*266
“When the terms of a statute are unambiguous, our inquiry comes to an end, except ‘in “rare and exceptional circumstances.” ’ ”
Howe v. Smith, supra,
In conclusion, appellant has no affirmative statutory entitlement to parole and the district court did not err by refusing to consider setting a parole eligibility date for appellant under § 4205.
IX. SUMMARY
The cumulative fine imposed upon appellant must be vacated and the district court is directed to lower the fine from $125,000 to $100,000. In all other respects, the judgment of the district court is affirmed.
AFFIRMED IN PART, VACATED IN PART, AND REMANDED.
APPENDIX
UNITED STATES DISTRICT COURT WESTERN DISTRICT OF TEXAS EL PASO DIVISION
UNITED STATES OF AMERICA, Plaintiff VS. JAMIEL ALEXANDER CHAGRA, A/K/A JIM ALEXANDER Defendant
SUPERSEDING INDICTMENT TO MO-79-CR-6
[Vio: 21 U.S.C. § 963 - Conspiracy to import controlled substance; 21 U.S.C. § 841(a)(1) & 18 U.S.C. § 2 - Aiding and abetting the possession of narcotic drug with intent to distribute; 21 U.S.C. § 848^-Continuing criminal enterprise]
THE GRAND JURY CHARGES: COUNT ONE JAMIEL ALEXANDER CHAGRA A/K/A JIM ALEXANDER
[ 21 U.S.C. § 963]
That beginning on or before June 1,1977, and continuing until on or about April 1, 1978, in the Western District of Texas, the States of Florida, New Mexico, Colorado, Oklahoma, the Republic of Mexico, the Republic of Colombia, and divers other places to the grand jurors unknown, Defendant and other persons to the grand jurors known and unknown, unlawfully, wilfully and knowingly did combine, conspire, confederate and agree together and with each other to import marijuana, a Schedule I Controlled Substance, into the United States from the Republic of Colombia, contrary to Title 21, United States Code, Section 952(a), and in violation of Title 21, *267 United States Code, Section 963; and to effect the objects of said conspiracy, the following overt acts were committed:
1. On or about July 28, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER and Henry Wallace had a meeting in Berino, New Mexico.
2. On or about July-August, 1977, Henry Wallace and William Dudley Connell had a meeting in El Paso, Texas.
3. On or about September 17, 1977, Jim French and Henry Wallace purchased aircraft N6124X in Oklahoma City, Oklahoma, in the name of Richard Young.
4. On or about September 26, 1977, Henry Wallace departed El Paso, Texas, to meet Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER in Miami, Florida.
5. On or about September 27, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER and Henry Wallace obtained a false passport in the name of Robert Rosson.
6. On or about September 28,1977, Henry Wallace left Miami, Florida, for the Republic of Colombia.
7. On or about October 18,1977, William Dudley Connell in El Paso, Texas, had a telephone conversation with Henry Wallace.
8. On or about October 18,1977, William Dudley Connell in El Paso, Texas, had a telephone conversation with Paul Taylor.
9. On or about October 19, 1977, Paul Taylor traveled from Denver, Colorado, to El Paso, Texas.
10. On or about October 19, 1977, Paul Taylor obtained a passport in Juarez, Mexico.
11. On or about October 20, 1977, Paul Taylor departed El Paso, Texas, for the Republic of Colombia.
12. On or about October 21, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER and Jim French departed Miami, Florida, in aircraft N6124X and attempted to import a quantity of cocaine from the Republic of Colombia.
13. On or about October 26, 1977, Paul Taylor departed the Republic of Colombia and returned to the United States.
14. On or about November 1, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER and Jim French imported a quantity of cocaine from the Republic of Colombia.
15. On or about November 26,1977, William Dudley Connell and Paul Taylor departed El Paso, Texas, for Miami, Florida.
16. On or about November 26, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER delivered a quantity of cocaine to William Dudley Connell and Paul Taylor.
17. On or about November 28,1977, William Dudley Connell arrived in El Paso, Texas, with a quantity of cocaine.
18. On or about December 4, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER had a telephone conversation with Paul Taylor.
19. On or about December 19, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER had a meeting in Broward County, Florida, to arrange the off-loading of ships containing marijuana.
20. On or about December 22, 1977, the ship “Dona Petra” departed Camarones, Colombia, with a quantity of marijuana.
21. On or about January 3, 1978, Henry Wallace traveled to the island of Aruba.
22. On or about January 10,1978, Henry Wallace traveled to Juarez, Mexico.
23. On or about March 20-24, 1978, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER caused a quantity of marijuana to be delivered in Davie, Florida.
COUNT TWO
(21 U.S.C. § 963]
That beginning on or before June 1,1977, and continuing until on or about April 1, 1978, in the Western District of Texas, the States of Florida, New Mexico, Colorado, Oklahoma, the Republic of Mexico, the Re *268 public of Colombia, and divers other places to the grand jurors unknown, Defendant
JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER
and other persons to the grand jurors known and unknown, unlawfully, wilfully and knowingly did combine, conspire, confederate and agree together and with each other to import cocaine, a Schedule II Narcotic Drug Controlled Substance, into the United States from the Republic of Colombia, contrary to Title 21, United States Code, Section 952(a), and in violation of Title 21, United States Code, Section 963.
To effect the objects and purposes of said conspiracy, overt acts one through eighteen in Count One of this Indictment are hereby incorporated by reference.
COUNT THREE
(21 U.S.C. § 841(a)(1) & 18 U.S.C. § 2]
1. That on or about November 28, 1977, in the Western District of Texas, William Dudley Connell (the said William Dudley Connell being named as a principal but not as a defendant herein) unlawfully and intentionally did possess with intent to distribute a quantity of cocaine, a Schedule II Narcotic Drug Controlled Substance, in violation of Title 21, United States Code, Section 841(a)(1).
2. That Defendant, JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER, aided, abetted, counseled, induced and procured the commission of the offense alleged above in violation of Title 18, United States Code, Section 2.
COUNT FOUR
(21 U.S.C. § 848]
That beginning on or about April 1, 1974, and continuously thereafter up to and including April 1, 1978, in the Western District of Texas, the States of Florida, New Mexico, Colorado, Oklahoma, Connecticut, Pennsylvania, the Republic of Mexico, the Republic of Colombia, and divers other places to the grand jurors unknown, Defendant
JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER
unlawfully, knowingly, and intentionally violated Sections 841, 846, 952, 963, Title 21, United States Code, as alleged in Counts One, Two and Three of this Indictment (said counts being incorporated herein by reference), and as follows:
1. On or about April 22,1974, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER caused approximately 1.000 pounds of marijuana to be delivered to Connecticut.
2. On or about the summer 1974, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER distributed approximately two ounces of cocaine in El Paso, Texas.
3. On or about October 1974 Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER caused approximately 2.000 pounds of marijuana to be delivered to Pittsburgh, Pennsylvania.
4. On or about December 30, 1976, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER caused approximately 17,000 pounds of marijuana to be delivered to Ardmore, Oklahoma.
5. On or about June 11, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER attempted to import a quantity of marijuana from the Republic of Colombia.
6. On or about October 21, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER attempted to import a quantity of cocaine from the Republic of Colombia.
7. On or about November 1, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER imported a quantity of cocaine from the Republic of Colombia.
8. On or about November 25, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER distributed a quantity of cocaine in Ft. Lauderdale, Florida.
*269 9. On or about December 26, 1977, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER caused a quantity of marijuana to be imported into the United States from off the coast of Florida.
10. On or about February 1978, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER delivered a quantity of cocaine in Ft. Lauderdale, Florida.
11. On or about March 26, 1978, Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER caused a quantity of marijuana to be delivered in Davie, Florida;
which violations were part of a continuing series of violations of the Controlled Substances Act, Title 21, United States Code, Section 801, et seq., and the Controlled Substances Import and Export Act, Title 21, United States Code, Section 951, et seq., undertaken by Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER in concert with at least five other persons with respect to whom Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER, occupied a position of organizer, a supervisory position, and any other position of management, and from which such continuing series of violations Defendant JAMIEL ALEXANDER CHAG-RA a/k/a JIM ALEXANDER, obtained substantial income and resources, of which the United States seeks forfeiture, including all profits obtained by the Defendant JAMIEL ALEXANDER CHAGRA a/k/a JIM ALEXANDER in such continuing criminal enterprise, and of his interest in, claim against, and property and contractual right of any kind affording a source of influence over such enterprise, all in violation of Title 21, United States Code, Section 848.
JAMIE C. BOYD United States Attorney
Notes
. Appellant has not challenged the accuracy of the government’s statement of the facts and, with only one exception — his obtention of substantial income or resources from his operation of a continuing criminal enterprise, section V, infra — also has not challenged the sufficiency of the evidence to support his convictions. Therefore, this statement of the facts of the offenses will be brief. The evidence fully supports appellant’s convictions on both charges and the government’s brief contains an extensive recitation of the facts.
. While this was Wallace’s first personal meeting with appellant, evidence introduced at trial demonstrated that appellant had been trafficking in narcotics prior to this time.
. One scheme involved the importation of marijuana into Massachusetts.
. Unbeknownst to appellant, Myers had previously assisted the U. S. Customs Service in drug cases. See pp. 248-249 infra.
. A copy of the renumbered indictment is attached as an appendix.
. We have taken two distinct approaches to the application of this principle to a specific case. In some cases, we have examined the context in which a defendant seeks to invoke this principle to determine whether the government was prompted by a retaliatory intent in his case.
United States v. Phillips,
. The evidence relevant to this issue was developed at an evidentiary hearing held by Judge Sessions prior to trial. After hearing testimony on this claim, the district court denied the vindictiveness claim. Much of the evidence regarding Myers was later developed during the defendant’s presentation of his own case at trial.
. Noticeably absent from this case is any apparent motive for retaliation on the government’s part because the government successfully opposed appellant’s recusal efforts. The absence of any apparent motive for retaliation buttresses our conclusion that no retaliation was intended. Cf. W. LaFave & A. Scott, Handbook on Criminal Law § 29, at 208 (1972) (lack of motive permits an inference of absence of intent).
. To distinguish among the different categories of persons involved in the voir dire in this case, we will use the terms “jury” or “juror” to refer to those persons finally seated as jurors, the terms “panel” or “panel member” to refer to those persons questioned during voir dire, and the terms “venire” or “veniremen” to refer to those persons called for potential service as jurors but not questioned on voir dire.
. Many of the cases cited by appellant are inapposite to the claim he raises here. Cases involving publicity disseminated during trial, such as
Marshall v. United States,
Groppi v. Wisconsin,
. In
Rideau,
the Supreme Court reversed a state conviction where the defendant’s uncounseled confession had been filmed and a 20-min-ute telecast of it had been shown three times by a local television station to large audiences in the parish from which his jury was drawn less than two months later. While the prejudicial impact of televising a defendant’s confession is obvious,
cf. Parker v. Randolph,
. Many of the articles do not mention or relate to this case, are too remote in time to be relevant, or appeared in newspapers from other states, as well as some from Mexico. Furthermore, most of the articles are straightforward, unemotional news stories of brief to medium length.
Cf. Murphy v. Florida, supra,
. The defense asserted only one challenge for cause. While this challenge was initially denied, the panel member was later excused after indicating to the district court that he did not feel that he could be impartial.
. In
Davis,
we held that the procedures outlined in
United States v. Hyde,
. Appellant contends that the use of collective questioning of this type failed to ensure that potential prejudice would be uncovered and makes much ado about the fact that several jurors “never uttered a single word during the entire [voir dire] proceeding.” Appellant’s Opening Brief at 20. His argument, however, makes much ado about nothing. The district court followed the procedure recommended in Davis after asking the panel as a whole, for instance, whether anyone had any knowledge about the case from any source. The use of such collective questions to identify the individuals possibly having knowledge about the case followed by a separate examination of each such individual is entirely acceptable. It was the absence of such a followup examination that lead to reversal in Davis and Hawkins, not the use of collective questions to identify those persons for whom further questioning is necessary. Furthermore, a person’s failure to respond to an inquiry inviting a response — and which, as the district court here repeatedly informed the panel, demanded a response— may under those circumstances be accepted by the court as indicating a negative response.
. The district court also asked the panel whether anyone had any knowledge from any source about appellant or about any other charges against appellant in connection with narcotics, whether anyone had ever discussed appellant or his legal problems with anyone, whether evidence that appellant gambled would prejudice anyone against appellant, and whether anyone would give different weight to witnesses of different nationalities.
. The district court asked the panel whether anyone knew of Judge Wood’s assassination and all panel members indicated that they had. The district court then instructed the panel that appellant was on trial only for the charges in the indictment and for nothing else, that their knowledge of Judge Wood’s assassination must not be permitted to affect their obligation to be impartial, and that their decision on each charge of the indictment must be made independent of the other charges and based solely upon the evidence admitted in court. Following that admonition, the court asked whether any panel member recalled reading about or hearing of appellant’s name in connection with Judge Wood’s murder. Three panel members responded affirmatively. One stated that he could not disregard that knowledge and was *254 excused; two stated that they could disregard what they had heard and were permitted to remain on the panel but neither was ultimately selected as a juror. Next, the district court collectively asked the panel whether anyone thought that there was any connection between Judge Wood’s assassination and any of his cases, and specifically this case, and whether anyone thought that there was any connection between Judge Wood’s assassination and the charges against appellant. The panel responded negatively to each inquiry.
Appellant compares this questioning to the
voir dire
in
Davis
and
Hawkins
and contends that it was too abbreviated to ensure that he received a fair trial. He particularly challenges the district court’s failure to discover the extent of the panel members’ knowledge of the facts surrounding Judge Wood’s death. Unlike
Davis
and
Hawkins,
however, the district court did not simply admonish the panel to disregard whatever extrajudicial information or opinions they had. The district court pursued this topic to determine whether anyone drew any connection between Judge Wood’s death and appellant. That the district court asked the panel these questions collectively rather than individually is irrelevant in light of the negative responses the district court received.
See
note 15
supra.
Furthermore, in determining whether the
voir dire
was capable of ferreting out prejudice we must examine the entire
voir dire.
The district court repeatedly commanded the panel members to inform the court of any information they might have about the case and of anything that might keep them from being impartial. That several persons did so, sometimes well after the
voir dire
had shifted to another topic or person, indicates that the panel members understood their responsibility in this regard. Finally, the district court’s inquiries on this topic were essentially the same as those proposed by the defense. We may not lightly overturn the judgment of the district court,
United States v. Hawkins, supra,
. The district court also collectively asked the panel about the members’ prior service on any state or federal grand or petit juries or on any general or special courts martial, whether any panel member had any law enforcement background himself or had a relative or close personal friend in law enforcement, whether any panel member would accord greater weight to the testimony of a law enforcement officer simply because of that fact, as well as other questions. By the conclusion of the voir dire, the district court had covered the majority of areas of interest reflected by appellant’s proposed voir dire questions. Therefore, appellant’s claim that “virtually nothing was known about the jurors who served on the petit jury,” Appellant’s Opening Brief at 20, is belied by the record.
. Appellant also relies upon
United States v. Provenzano,
. One was a $245,000 home in Las Vegas, Nevada, for which appellant supplied a $75,000 cash down payment, and the other was a $340,-000 home in Pompano, Florida, financed by *256 Capital Acquisitions, Inc., a corporation of which appellant was director and president.
. Appellant’s reliance upon
Williams v. United States,
. Appellant also claims that the district court erred by permitting Quintoni to assert a blanket fifth amendment claim in violation of
United States v. Goodwin,
.
United States v. Thevis,
.
United States v. Herbst, supra,
. Appellant’s Opening Brief at 68 n. 11, citing,
e.g., Webb v. Texas,
. Because there is no evidence of prosecutorial misconduct here, we need not consider
*259
whether we would follow the Third Circuit’s decisions in
Government of the Virgin Islands v. Smith,
. Appellant has not, and could not, argue that defense witness immunity is one of those “ ‘fundamental conceptions of justice which lie at the base of our civil and political institutions,’ ”
United States v. Lovasco,
. Appellant argues that the cumulative fines were not authorized by the 1970 Drug Act and also violated the fifth amendment double jeopardy clause. At least where each statutory offense required proof of a fact that the other did not, our inquiry under either argument is the same. “[T]he question of what punishments are constitutionally permissible [under the double jeopardy clause] is not different from the question of what punishment the Legislative Branch intended to be imposed. Where Congress intended ... to impose multiple punishments, imposition of such sentences does not violate the Constitution.”
Albernaz v. United States,
. The district court may have recognized this error and attempted to correct it in its written judgment and commitment order which does not cumulate the fines. However, we must refer to the oral sentence pronounced in court when there is a variance between the oral and written versions of the same sentence.
Schur-mann v. United States,
. The government has argued that we should apply the test established in
Blockburger v. United States,
. Because the two prison terms will run concurrently, they are unaffected by our decision regarding the cumulative fines.
. Current § 4202 provides:
There is hereby established, as an independent agency in the Department of Justice, a United States Parole Commission which shall be comprised of nine members appointed by the President, by and with the advice and consent of the Senate. The President shall designate from among the Commissioners one to serve as Chairman. The term of office of a Commissioner shall be six years, except that the term of a person appointed as a Commissioner to fill a vacancy shall expire six years from the date upon which such person was appointed and qualified. Upon the expiration of a term of office of a Commissioner, the Commissioner shall continue to act until a successor has been appointed and qualified, except that no Commissioner may serve in excess of twelve years. Commissioners shall be compensated at the highest rate now or hereafter prescribed for grade 18 of the General Schedule pay rates (5 U.S.C. 5332).
. Current § 4205 provides:
(a) Whenever confined and serving a definite term or terms of more than one year, a prisoner shall be eligible for release on parole after serving one-third of such term or terms *263 or after serving ten years of a life sentence or of a sentence of over thirty years, except to the extent otherwise provided by law.
(b) Upon entering a judgment of conviction, the court having jurisdiction to impose sentence, when in its opinion the ends of justice and best interest of the public require that the defendant be sentenced to imprisonment for a term exceeding one year, may (1) designate in the sentence of imprisonment imposed a minimum term at the expiration of which the prisoner shall become eligible for parole, which term may be less than but shall not be more than one-third of the maximum sentence imposed by the court, or (2) the court may fix the maximum sentence of imprisonment to be served in which event the court may specify that the prisoner may be released on parole at such time as the Commission may determine.
(c) If the court desires more detailed information as a basis for determining the sentence to be imposed, the court may commit the defendant to the custody of the Attorney General, which commitment shall be deemed to be for the maximum sentence of imprisonment prescribed by law, for a study as described in subsection (d) of this section. The results of such study, together with any recommendations which the Director of the Bureau of Prisons believes would be helpful in determining the disposition of the case, shall be furnished to the court within three months unless the court grants time, not to exceed an additional three months, for further study. After receiving such reports and recommendations, the court may in its discretion: (1) place the offender on probation as authorized by section 3651; or (2) affirm the sentence of imprisonment originally imposed, or reduce the sentence of imprisonment, and commit the offender under any applicable provision of law. The term of the sentence shall run from the date of original commitment under this section.
(d) Upon commitment of a prisoner sentenced to imprisonment under the provisions of subsections (a) or (b) of this section, the Director, under such regulations as the Attorney General may prescribe, shall cause a complete study to be made of the prisoner and shall furnish to the Commission a summary report together with any recommendations which in his opinion would be helpful in determining the suitability of the prisoner for parole. This report may include but shall not be limited to data regarding the prisoner’s previous delinquency or criminal experience, pertinent circumstances of his social background, his capabilities, his mental and physical health, and such other factors as may be considered pertinent. The Commission may make such other investigation as it may deem necessary.
(e) Upon request of the Commission, it shall be the duty of the various probation officers and government bureaus and agencies to furnish the Commission information available to such officer, bureau, or agency, concerning any eligible prisoner or parolee and whenever not incompatible with the public interest, their views and recommendation with respect to any matter within the jurisdiction of the Commission.
(f) Any. prisoner sentenced to imprisonment for a term or terms of not less than six months but not more than one year shall be released at the expiration of such sentence less good time deductions provided by law, unless the court which imposed sentence, shall, at the time of sentencing, provide for the prisoner’s release as if on parole after service of one-third of such term or terms notwithstanding the provisions of section 4164. This subsection shall not prevent delivery of any person released on parole to the authorities of any State otherwise entitled to his custody.
(g) At any time upon motion of the Bureau of Prisons, the court may reduce any minimum term to the time the defendant has served. The court shall have jurisdiction to act upon the application at any time and no hearing shall be required.
(h) Nothing in this chapter shall be construed to provide that any prisoner shall be eligible for release on parole if such prisoner is ineligible for such release under any other provision of law.
. Because the district court could set a parole eligibility date for appellant at this time, we reject the government’s argument that the issue is not now ripe for consideration.
