Jeffrey Paul Curtis was sentenced to 262 months imprisonment after a jury found him guilty of conspiracy to distribute marijuana and acquitted him of a companion charge of money laundering. On appeal, Curtis raises four arguments: (1) that the district court erred in admitting hearsay statements of a co-conspirator; (2) that the evidence presented at trial was insufficient to prove a single conspiracy; (3) that the court erred in imposing a sentence enhancement for obstruction of justice; and (4) that the court erred in denying a reduction for acceptance of responsibility. We affirm.
I.
In May 1992, Curtis and four others were charged with conspiracy to distribute marijuana between 1982 and 1988 and money laundering. Two of the defendants were alleged to have been involved as distributors throughout the period while the other three were thought to have participated as successive suppliers. Three of the defendants entered into plea agreements, and in January 1993, the district court granted Curtis’ pretrial motion to sever his trial from that of the remaining co-defendant, Martin Sax, whom the government contended was the original supplier. The government then sought and obtained a new indictment against Curtis in February 1993, charging the same two violations but limiting the dates of the alleged conspiracy to the years in which Curtis was the supplier.
Curtis remained out of custody while awaiting trial on the original indictment and appeared in Peoria for arraignment on the new indictment on March 16, 1993. At that time the court scheduled a further hearing for March 18 to discuss the conditions of release. Curtis failed to appear in Peoria as directed on the 18th; instead he turned himself in that day to the United States Marshal in Tucson, Arizona. On account of Curtis’ disobedience, the court ordered him to remain in custody throughout trial and sentencing.
At trial the government called several witnesses who testified that Curtis had supplied substantial amounts of marijuana to two major Illinois distributors, Mike Cutkomp and Joe Cullinane, from 1986 to 1989. The government’s key witnesses were Cullinane himself and Mike Cutkomp’s former wife, Karen. Cullinane testified that Cutkomp had introduced him to Curtis and helped facilitate their initial transaction in 1986. For some time thereafter Cullinane used his own couriers to transport the marijuana from Arizona to Illinois, but later received his deliveries from Curtis’ trucks. Cullinane asserted that after the initial transaction, his arrangements with Curtis were conducted separately from Cutkomp’s and that the two Illinois dealers did not consider themselves to be partners. One of Cullinane’s couriers, Ron Witt, testified that he had driven several truck-loads of marijuana supplied by Curtis for distribution in Illinois. Witt was aware that Curtis was supplying marijuana to both Cullinane and Cutkomp.
At trial Karen Cutkomp testified to statements made to her by her husband during the course of the alleged conspiracy. Curtis objected to the admission of these statements, which he contended were not made in furtherance of the conspiracy, but the court overruled the objection and allowed the testimony. Karen Cutkomp also testified that while she and her then-husband were en route to Mexico (attempting to remain a step ahead of law enforcement authorities) they met with Curtis in Tucson and turned over to
Curtis neither testified nor presented witnesses on his own behalf. He did, however, make a statement to investigators on December 13, 1990. At that time, Curtis admitted that Marty Sax had introduced him to Mike Cutkomp and that he knew that Cutkomp was a fugitive. Curtis denied having any correspondence or business dealings with Cutkomp, though he recalled meeting Rosina Jech and Joe Cullinane and stated that his business had access to trucks. Curtis’ trial strategy relied on two principal arguments. First, he hoped that the jury would discount the testimony of the key witnesses against him on the basis of their own criminal conduct and a perception that their credibility might be tainted by their obvious incentive to curry favor with the prosecution. Second, he argued that the government had proven two separate conspiracies (Curtis-Cutkomp and Curtis-Cullinane) rather than one all-encompassing conspiracy (Curits-Cutkomp-Culli-nane).
At the jury instruction conference, Curtis successfully argued for the inclusion of Defendant’s Instruction No. 1, which stated:
Proof of several separate conspiracies is not proof of the single, overall conspiracy charged in the indictment unless one of the several conspiracies which is proved is the single conspiracy which the indictment charges. What you must do is determine whether the conspiracy charged in the indictment existed between two or more persons. If you find that no such conspiracy existed, then you must acquit. However, if you are satisfied that such a conspiracy existed, you must determine who were the members of that conspiracy.
To find the defendant guilty, you must find that he was a member of the conspiracy charged in the indictment.
The jury returned a verdict of guilty on the conspiracy to distribute marijuana charge, and a verdict of not guilty on the money laundering charge.
At sentencing, the court imposed a two-level upward adjustment for obstruction of justice, U.S.S.G. § 3C1.1, and denied Curtis’ request for a two-level reduction for acceptance of responsibility. U.S.S.G. § 3E1.1. The court sentenced Curtis to 262 months imprisonment, the lowest possible sentence within the applicable guideline range.
II.
A.
We turn first to Curtis’ argument that an impermissible variance existed between the indictment and the proof at trial. Specifically, Curtis contends that while a rational jury may have concluded that he had supplied a large quantity .of marijuana to both Cullinane and Cutkomp, there was insufficient evidence to link all three in a single conspiracy. Drawing upon this court’s decisions in
United States v. Townsend,
A defendant asserting a claim of variance will succeed in obtaining reversal of his conviction only if he establishes that (1) the evidence presented at trial was insufficient to support the jury’s finding of a single conspiracy, and (2) he was prejudiced by the variance.
See United States v. Testa,
In this case, the government does not present strong direct evidence of a common scheme or agreement involving all three men—for example, evidence showing that Cullinane and Cutkomp drew support from or depended in some way upon the success of each other’s distribution networks. However, as we have noted previously, we need not limit our search to
direct
evidence.
Townsend,
We agree with Curtis that the evidence arguably establishes multiple conspiracies, but we may not find a variance unless
no
reasonable trier of fact could have found beyond a reasonable doubt the existence of the single conspiracy charged in the indictment. Here we are persuaded that the circumstantial evidence, though relatively weak in its component parts, was sufficient to permit an inference of a single overarching agreement when viewed cumulatively. Examining the evidence in the light most favorable to the government, as we must, we believe that the jury could have found a unitary CuUmane/Cutkomp/Curtis conspiracy on the basis of the evidence presented about the genesis and evolution of the drug distribution network. Cullinane and Cutkomp had a long relationship of conspiring to distribute marijuana that was marred by an inconsistent supply. Cutkomp was the first to discover Curtis as a potentially stable source, and, satisfied with his performance, recommended Curtis to Cullinane. Furthermore, Cutkomp introduced Cullinane to Curtis in Tucson and even helped package and load the initial quantity of marijuana sold by Curtis to Cullinane. Thereafter the three men remained in contact (as evidenced by the phone records) and Curtis ordinarily sent single trucks from Arizona to make two de
Even if we were to assume that no rational jury could have found a single conspiracy as alleged in the indictment, the resulting variance would have been harmless error as it would not have unfairly denied Curtis of a fair trial and sentencing. As we have observed on several occasions, the Supreme Court has looked to the following factors to determine whether prejudice has resulted from a variance between indictment and proof: (1) surprise to the defendant resulting from the variance, (2) possibility of subsequent prosecution for the same offense, (3) likelihood of jury confusion as measured by the number of conspirators charged and the number of separate conspiracies proven, and (4) likelihood of jury confusion in light of the instructions giving the jury limiting or excluding the use of certain evidence not relating to a particular defendant.
See, e.g., Townsend,
Applying these principles to the facts of this case, there could be no prejudice. Curtis was the only person on trial, thus eliminating the customary concern with jury confusion resulting from the “spillover” effect associated with simultaneously trying multiple defendants with various connections to the purported scheme. In addition, the evidence clearly demonstrated that Curtis operated as the common supplier to both Cullinane and Cutkomp throughout the time period charged in the indictment. As we explained in
Flood,
this evidence, placing Curtis at the hub of the conspiracy, means that his actions are viewed in a different light than those of his confederates. Though Cullinane or Cutkomp might plausibly have argued that
they
“lacked knowledge of the reach or likely reach of the conspiratorial network,”
Flood,
B.
Curtis next argues that the district court improperly admitted into evidence, pursuant to Rule 801(d)(2)(E) of the Federal Rules of Evidence, testimony of Karen Cutkomp relating to conversations she had with her hus
Statements by a co-conspirator may be introduced against other conspirators if the government demonstrates that: (1) a conspiracy existed; (2) the defendant and the declarant were members thereof; and (3) the offered statement was made during the course of and in furtherance of the conspiracy.
United States v. Robinson,
Curtis appears not to contest the first two prongs of the inquiry; rather he insists simply that Karen Cutkomp’s statements did not satisfy the “in furtherance” requirement. In
United States v. Johnson,
we stated that Rule 801(d)(2)(E) is a
“limitation
on the admissibility of co-conspirators statements that is meant to be taken seriously.”
Curtis calls our attention to a particular exchange during his counsel’s cross-examination of Karen Cutkomp that, he suggests, belies the notion that Mike Cutkomp’s statements to Karen Cutkomp were made “in furtherance” of the conspiracy. The dialogue went as follows:
Q. Now, when—there’s a number of times you’ve testified on direct that Mike would talk to somebody and then tell you what happened?
A. Yes.
Q. Was that kind of on the order of if Mike had had a regular, you know, 9:00 to 5:00 straight job, a guy would come home and tell his wife what happened at work today?
A. Mike would.
Q. Yeah. I mean those conversations with you were on like that. Right?
A. Yes.
Q. They weren’t necessary to keep the marijuana conspiracy going?
A. No.
Q. It was just him letting you know what was going on?
A. Yes.
Q. And it wasn’t like you were going to, it wasn’t like he was asking you for—to help him in the marijuana business by telling you these things?
A. No.
Q. All right. And the only time he sought your advice, he ignored it, the deal about the $60,000 with Rick Snider?
A. He was good at asking my opinion and then not using it.
Q. So it’s not like he was using you as his consigliere to find out how he should do things in the marijuana business?
A. Call it sounding board, is all.
Q. Just a guy coming home and talking to his wife about what’s going on in the business?
A. Yes.
Trial Tr. 5/4/93, pp. 114-115. The witness’ own general characterizations of the nature of her testimony, however, cannot obscure the more specific details of her direct examination that indicate a greater import to the statements at issue. For example, in view of the fact that Karen Cutkomp’s mother trans
C.
With respect to sentencing, Curtis first appeals the district court’s decision to apply a two-level enhancement to his base offense level for obstruction of justice. U.S.S.G. § 3C1.1. We review this determination for clear error,
United States v. Brown,
U.S.S.G. § 3C1.1 states in its entirety:
If the defendant willfully obstructed or impeded, or attempted to obstruct or impede, the administration of justice during the investigation, prosecution, or sentencing of the instant offense, increase the offense level by two levels.
As the Application Notes explain, this enhancement applies to “destroying or concealing or directing or procuring another person to destroy or conceal evidence that is material to an official investigation or judicial proceeding, ... or attempting to do so,” Note 3(d), and to “willfully failing to appear, as ordered, for a judicial proceeding.” Note 3(e). Furthermore, under § 3C1.1, “the defendant is accountable for his own conduct and for conduct that he aided or abetted, counseled, commanded, induced, procured, or willfully caused.” Note 7.
In this case, the only relevant conduct giving rise to the enhancement was Curtis’ role in receiving from the Cutkomps approximately $225,000 in drug proceeds, temporarily concealing that money, and later releasing the funds to a courier in Nogales, Arizona, pursuant to directions from the Cutkomps. In
Brown,
we upheld an enhancement for obstruction of justice where the defendant himself turned over the proceeds of marijuana sales to another person “for safekeeping” after the defendant became aware that he was the subject of a criminal investigation.
D.
Curtis also contends that the district court erred in denying Curtis’ request for a two-
Under § 3E1.1, a defendant is entitled to a reduction of his sentencing exposure only if he “clearly demonstrates a recognition and affirmative acceptance of personal responsibility for his criminal conduct.”
United States v. Rivero,
The district court relied on several factors in determining that Curtis had not accepted responsibility for his criminal conduct: (1) Curtis chose to go to trial rather than pleading guilty (at least to Count I); (2) Curtis violated the conditions of his pre-trial release by failing to appear at a scheduled court appearance and by having contact with his one-time co-defendant, Martin Sax; and (3) its determination that Curtis had obstructed justice, a finding that except in extraordinary cases, see U.S.S.G. § 3E1.1 Application Note 4, indicates that a defendant has not accepted responsibility. Sent. Tr. at 76-77. Curtis contests each of the rationales for the district court’s conclusion. He posits first that the jury’s verdict of acquittal vindicated his decision to go to trial on Count II. The decision to go to trial on Count I, he insists, did not represent a denial of guilt; rather he simply wished to preserve a technical legal issue— whether the conduct to which he admitted constituted one or two conspiracies—while conceding that he committed the acts for which he stood accused. With respect to the failure to appear, Curtis suggests that his actions did not evidence an avoidance of responsibility so much as they reflected an avoidance of Peoria. In essence, Curtis asks us to view his unilateral decision to turn himself in to authorities in Tucson as irrelevant to the applicability of § 3E1.1. Finally, Curtis argues that the unique facts of this case—the behavior giving rise to the obstruction penalty occurred long before the indictment and Curtis admitted his involvement in a timely fashion relative to the date of his indictment—present one of the rare circumstances in which a reduction for acceptance of responsibility may be reconciled with an enhancement for obstruction of justice.
Like the district court,
see
Sent. Tr. at 75, we find Curtis’ arguments interesting, though ultimately unpersuasive. The Sentencing Guidelines explicitly state that the acceptance of responsibility reduction is available only in “rare” or “extraordinary” circumstances if a defendant either puts the government to its burden of proof at trial or is determined to have obstructed justice.
See
U.S.S.G. § 3E1.1 Application Notes 2 and 4. Accordingly, a defendant like Curtis, who has both gone to trial
and
obstructed justice, must overcome quite a strong presumption to convince a court that he still is entitled to a reduction for acceptance of responsibility. We conclude that he has not done so. Curtis went to trial on Count I not to contest the constitutionality or applicability of a statute, but rather because he thought there was a variance between the indictment and the proof. We have characterized a variance as a challenge to the sufficiency of the evidence,
see Testa,
III.
For the foregoing reasons, we affirm Curtis’ conviction and sentence.
AFFIRMED.
