By suрerseding indictment, defendant-appellant Jo Ann Miteheltree was indicted in five of ten counts of an indictment charging, in pertinent part, seven defendants with various offenses arising out of the alleged distribution of the drug methylene-dioxymethamphetamine or MDMA. After a jury trial, defendant was convicted on three counts: (1) count four, introducing a misbranded drug into interstate commerce with the intent to mislead or defraud, 21 U.S.C. §§ 331(a) & 333(a)(2), 1 (2) count one, *1333 conspiracy to commit this offense, 18 U.S.C. § 371, 2 and (3) count ten, witness tampering, 18 U.S.C. § 1512(b)(3). 3 Defendant was acquitted on count two, conspiracy to distribute a controlled substance analogue, 21 U.S.C. §§ 813 & 846. The jury was unable to reach a verdict on count nine, another witness tampering count, and upon motion of the government that count was dismissed with prejudice.
Counts one and four occurred before the effective date of the Sentencing Guidelines, and the district court sentenced defendant to six months imprisonment on each count. Defendant was sentenced in accordance with the Guidelines on count ten because the offense occurred after their enactment; based upon a total offense level of fifteen and criminal history category of II, she was sentenced to twenty-one months imprisonment, and to an additional consecutive month for committing an offense (count ten) while on release, 18 U.S.C. § 3147. The sentences on counts one and four ran concurrently with one another and with the sentence on count ten; accordingly, defendant was sentenced to a term of twenty-two mоnths. 4
Defendant was represented by retained counsel at trial. With one exception, appellate counsel has not pursued the points preserved as potential error by trial counsel; rather, appellate counsel pursues, under a plain error theory, claims which were not raised at trial.
5
Usually, an appellate court will not set aside a judgment based upon errors which were not brought to the attention of the trial court.
United States v. Atkinson,
Even if error did occur, we review plain error claims against a backdrop of the entire record to determine whether the error was sufficient to “undermine the fundamental fairness of the trial and contribute to a miscarriage of justice.”
United States v. Young,
An error of constitutional significance may be “noticed more freely than less serious errors.”
See
3A C. Wright,
Federal Practice & Procedure
§ 856 at 336, 342 (1982 & 1990 Supp.);
Jefferson,
On appeal, defendant contends that (1) the district court admitted evidence concerning a surreptitiously recorded conversation between a government informant and the defendant, in violation of defendant’s sixth amendment right to counsel, (2) trial counsel rendered ineffective assistance by failing to move for the suppression of that evidence, (3) the district court erred by not defining “misleading conduct” in the jury instructions concerning witness tampering, (4) the district court should not have considered defеndant’s witness tampering conviction as an offense committed while on release for purposes of enhancement under 18 U.S.C. § 3147, and (5) insufficient evidence supports the conviction on counts one and four of the indictment (the MDMA misbranding counts) because the government did not demonstrate an intent to mislead or defraud a natural person or a government agency pursuant to 21 U.S.C. § 333(a)(2). We reverse.
As for the counts involving MDMA offenses, we agree with the defendant that her sixth amendment right to counsel was violated by the introduction of her surreptitiously taped conversation with the government’s informant. However, we need not reach the issue of whether the introduction of these statements constituted plain error because we reverse the MDMA convictions (counts one and four) on other grounds and remand for a new trial.
As for the witness tampering count conviction (count ten), we hold that evidence of the taped conversation is a product of the sixth amendment violation concerning the *1335 MDMA counts, notwithstanding that the government’s purpose was to investigate the separate offense of witness tampering. Upon a proper suppression motion, the taped conversation should have been excluded as evidence on count ten, given the charge (contained in the government’s bill of particulars) that defendant misled her pretrial services officer concerning the substance of the conversation. Even absent propеr objection, we still must reverse and remand for a new trial on count ten because we cannot say that this constitutional error was harmless beyond a reasonable doubt.
Because we reverse and remand for a new trial on count ten, we do not consider defendant’s arguments that the district court erred by (1) failing to define misleading conduct in the jury instructions 7 and (2) enhancing her sentence under 18 U.S.C. § 3147; nor do we resolve the ex post facto sentencing guideline problem suggested by defendant on appeal. Likewise, given our disposition, we need not consider defendant's claim of ineffective assistance of counsel.
Returning to MDMA counts one and four, we hold that while sufficient evidence exists concerning defendant’s intent to mislead or defraud consumers, by no means does the record contain sufficient evidence of misleading or defrauding a government agency. We reject the government’s assertion that, for purposes of 21 U.S.C. § 333(a)(2) and 18 U.S.C. § 371, an intent to defraud a local police department by selling misbranded drugs is a sufficient basis to sustain convictions of this nature. Because the ease was submitted to the jury on either theory (misleading consumers or defrauding a government agency including a local police department) and a general verdict form was used, we cannot tell on which theory or theories the jury convicted. Accordingly, defendant’s convictions on MDMA counts one and four must be reversed and remanded for further proceedings.
I. Facts
The events in this case involvе MDMA, a “designer drug” sometimes known as “ecstasy,” which did not become subject to federal controlled substance penalties until October 27, 1986. MDMA is a controlled substance analogue. As such, it produced effects similar to various controlled substances, but differed enough to fall outside the classification of existing controlled substances. Rec. supp. vol. VI at 871-73. The government’s efforts to schedule MDMA as a controlled substance did not fare well initially. Pursuant to 21 U.S.C. § 811(h), the DEA sought to schedule temporarily MDMA as a schedule I controlled substance. 50 Fed.Reg. 22,119 (1985). In
United States v. Spain,
As a controlled substance analogue, MDMA was treated as a schedule I controlled substance as of October 27, 1986. The Controlled Substance Analogue Enforcement Act of 1986, Pub.L. 99-570, tit. I, subtit. E, § 1202, 100 Stat. 3207-13 to 3207-14 (Oct. 27, 1986), provided that a controlled substance analogue intended for human consumption would be treated as a *1336 schedule I controlled substance. 21 U.S.C. § 813. Effective March 28, 1988, however, MDMA was permanently scheduled in schedule I as a controlled substance. 53 Fed.Reg. 5,156 (1988).
Defendant began using and distributing MDMA in the summer of 1985, before it was scheduled as a controlled substance analogue. 9 After being indicted in 1989 fоr her activities in connection with MDMA, defendant was arraigned and eventually released on bond. In the order setting conditions of release, the defendant was directed to initial each condition which applied. One of the conditions marked as applicable, but not initialed by the defendant, was a requirement that she “avoid all contact with persons[ ] who are considered either alleged victims or potential witnesses[].” Two lines, apparently for the purpose of naming the potential witnesses, were left blank. Although the defendant signed the order setting conditions of release, the pretrial services officer indicated that it was possible that defendant was not made aware of the condition prohibiting contact of potential witnesses, given that defendant did not initial. Rec. supp. vol. VII at 1099. However, the pretrial services officer also testified that defendant indicated that “her attorney had advised her not to talk to anybody that might be a potential witness.” Id. at 1078. See also id. at 1105.
*1337 While released, defendant contacted her friend, B.J. Rizzo, a potential witness. Riz-zo, a hairstylist, had been a participant in defendant’s MDMA distribution network, being paid in-kind. Rizzo’s father had cut defendant’s hair four or five times over a four-year period and Rizzo had assisted by shampooing. In June 1989, Rizzo coincidentally met defendant at the Varsity Sports Grill in Oklahoma City. Defendant inquired whether Rizzo had been contacted by Detective Randy Yarborough of the Oklahoma City Police Departmеnt, who had been investigating MDMA distribution in Oklahoma City. Rizzo replied that she had not. Rizzo also told defendant that she was working at a new hair styling salon about to have its grand opening.
A few weeks later, Rizzo received a call from defendant while at the salon. According to Rizzo, defendant inquired whether she had heard from Detective Yarborough. Rizzo volunteered that she had. Defendant then scheduled a hair appointment for June 26, 1989. Rec. supp. vol. VII at 1052. Rizzo testified that she did not know what to do, so she called the detective. The detective then contacted Richard Wintory, the prosecutor. An agreement was reached whereby Rizzo would secretly tape her conversation with defendant during the hair appointment. According to Rizzo, the purpose was “[t]o see if she [defendant] was going to try to change my testimony.” Id. at 1054.
The prosecutor advised defendant’s pretrial services officer that defendant may have contacted a female witness. He further advised that someone would take the witness’s statement and that the pretrial services officer should review, with the defendant, defendant’s conditions of release, including the condition that defendant not contact potential witnesses. That review would not occur until after the taping of the conversation on June 26.
The transcript of the June 26 conversation between defendant and Rizzo contains many personal details about the defendant that one might reveal to a close friend. At least eight times during the conversation, Rizzo, using the ruse that the detective kept calling her and she needed defendant’s advice, encouraged defendant to talk about the pending MDMA charges. Defendant gave a variety of responses, sometimes ambiguous, and in the process discussed her views concerning the government’s case, including codefendants, and whom Rizzo might implicate by her testimony. Concerning Rizzo’s status as a witness, defendant advised Rizzo to make the government subpoena her. The following exchange occurred:
Rizzo: I don’t know, (inaudible) I really don’t want to talk to him [the detective]. But I know that I have to otherwise I’ll have to go to court and I don’t want to go to court.
Defendant: You will have to go to court anyway.
Rizzo: You think they got me down there as a witness?
Defendant: They got you down on a grand jury thing as a witness, that you witness that Sampson 10 sold drugs.
Tr. 6/26/89 at 3. In the course of advising Rizzo about what to say to the detective, defendant discussed Rizzo’s potential testimony against codefendant Raymer and defendant. 11 In a later taped conversation, *1338 Rizzo requested further advice using the same ruse. Defendant suggested that she retain a lawyer and offered to assist with the fee.
On July 5, 1989, defendant met with her pretrial services officer. The officer inquired whether defendant had been in contact with any potential witnesses. Initially, defendant said no, but when told that by the officer that the officer had received contrary information, defendant thought about it for a moment and said that she had been in contact with Rizzo.
Prosecutor: What happened next?
Officer: We proceeded to talk — I cannot recall verbatim the conversation but, in generаl, she stated that she had been in to see B.J. [Rizzo] recently to get her hair done and that in getting her hair done, B.J. had stated that she had not been contacted by anybody in law enforcement since JoAnn’s [defendant’s] arrest but that she thought she was going to be cooperating and that she probably needed to get an attorney.
Rec. supp. vol. VII at 1077. According to the officer, defendant explained that: (1) Rizzo thought she needed an attorney; (2) Rizzo had been her hairdresser for the last three to five years and that she saw her on a regular basis; and (3) she and Rizzo did not discuss the case. Id. at 1078-79. Defendant inquired where the officer’s information had come from and the officer identified prosecutor Wintory as the source. According to the officer, defendant “said ‘Well, don’t tell Wintory about this,’ something to the effect, ‘I’m in enough trouble,’ or something, but, ‘Don’t tell Mr. Wintory about this.’ ” Id. at 1079-80.
Concerning the relationship between Riz-zo and defendant, the officer understood that Rizzo was defendant’s “hairdresser of longstanding, that she had been seeing her on a regular basis for many years.” Id. at 1082. This was based in part on the defendant’s remarks at the July 5 meeting:
Officer: After we talked for a while and she [defendant] was ready to leave, she — I told her I would be talking to her next week and she said, well, next time you see me, if my hair looks rather scraggly, it will be because she hadn’t been to the hairdresser and we kind of laughed about that she did have pretty hair and that I would see her next week.
Id. at 1080. A violation of a defendant’s conditions of release is reported to an appropriate judicial officer by the pretrial services officer. The officer in this case testified that in deciding whether a violation occurred it would have been significant to her that (1) “[June 26, 1989] was the only time she [defendant] had gone to Ms. Rizzo to have her hair cut,” and (2) defendant had inquired into the substance of Rizzo’s testimony. Id. at 1083.
Prior to trial, the government was ordered to provide defendant a bill of particulars concerning count ten. 12 Rec. supp. vol. I, doc. 77, doc. 111. The government indicated that the federal offense involved was defendant’s witness tampering with Rizzo and the condition of release violated was a prohibition on contact with government witnesses. According to the government, defendant engaged in several acts of misleading conduct or corrupt persuasion toward the pretrial services officer: (1) initially denying that she contacted a government witness; (2) after admitting the contact with Rizzo, falsely claiming that Rizzo *1339 had been cutting defendant’s hair for five years; (3) indicating that no substantive discussion of the case had occurred; (4) not disclosing that she had advised Rizzo to withhold names of coconspirators who had distributed MDMA to Rizzo; and (5) requesting that the officer not inform the prosecutor of the defendant’s contact with Rizzo.
II. Sixth Amendment Right to Counsel
On a plain error theory, defendant contends that her incriminating statements elicited by Rizzo should have been suppressed as violative of her sixth amendment right to counsel.
A.
The sixth amendment right to counsel “does not attach until after the initiation of formal charges.”
Moran v. Burbine,
Where no charges have been filed regarding the subject of interrogation, the sixth amendment right to counsel does not attach.
Illinois v. Perkins,
— U.S. -,
At the time the government elicited the statements in question (June 26, 1989), defendant had been indicted on count one, alleging a conspiracy to commit an offense against the United States, 18 U.S.C. § 371, and specifically introducing misbranded MDMA in interstate commerce with intent to mislead and defraud, 21 U.S.C. § 333(a)(2). See Rec. supp. vol. XII, doc. 6/7/89. Defendant also had been indicted on count two, conspiracy to distribute MDMA, a controlled substance analogue, 21 U.S.C. §§ 813, 846. See Rec. supp. vol. XII, doc. 6/7/89. Thus, defendant’s right to counsel had attached on the two MDMA conspiracy counts. It had not attached on count ten, the witness tampering charge.
The government argues that a “separate offense” exception to the sixth amendment applies in this case.
Perkins,
The government explains that defendant “launched into further criminal activity while under indictment. Specifically, while on pretrial release, she made arrangemеnts to visit with a government witness whom she had no significant contact for years, for the ostensible purpose of having her haircut, but only after first ascertaining that the witness had been contacted by law enforcement.” Appellee’s Brief at 24. According to the government, “the detective recognized the fact pattern — the defendant meant to attempt to influence the government witness and had in fact taken definitive steps towards implementing her criminal intent.” Id.
About two weeks after informant Rizzo and the defendant met by chance at the Varsity Sports Grill, the detective contacted Rizzo. Rizzo “did not want to get in any trouble,” rec. supp. vol. VII at 1050, so she agreed to discuss the whole case, including information about defendant Samuel Raymer. After being contacted by defendant for a hair appointment, Rizzo contacted the detective. The detective and the government prosecutor, Mr. Wintory, then cooperated in investigating the defendant’s predisposition for witness tampering. Id. at 1076, 1093-94. After a series of meetings between Rizzo and the detective, Rizzo was wired and ready to tape the conversation. According to Rizzo her purpose was “[t]o see if she [defendant] was going to try to change my testimony.” Id. at 1054.
B.
We have carefully reviewed the transcript, the taped conversation and the trial testimony. Though a confidential informant, Rizzo’s actions must be evaluated as those of a government agent subject to the limitations of the sixth amendment.
Hoffa,
Rizzo also asked about defendant’s testimony and her knowledge of the conspiracy. See, e.g., id. at 7 (“Now are you testifying against Sampson?”); (“Well, I need to ask you a question, what about the Lo-baughs?”); at 8 (“Who’s Lynn [Ricks]?”). Rizzo admitted that she elicited conversation about the drug trade, rec. supp. vol. VIII at 1208, and this included names of other coconspiratоrs and activities highly relevant to the conspiracies charged. Although the government contends that Riz-zo never pressed for details on the MDMA counts, her repeated, open-ended questions made it virtually certain that defendant would discuss the details of the pending MDMA counts. Equally important, the government’s informant prompted defendant to discuss her trial strategy vis-a-vis *1341 the other alleged eoconspirators with comments like “JoAnn, if you don’t testify against Sampson you’re gonna get thrown in jail.” Id. at 13.
Rizzo was more than a passive listener; she exercised skill at leading the conversation into particular topics and prompting particular replies.
See United States v. Henry,
The government also learned defendant’s mistaken views concerning the likelihood of her conviction and the tack she planned to take concerning the prosecutor.
See, e.g.,
tr. 6/26/89 at 14-15, 17, 19-20. Whether the government had legitimate reasons for investigating witness tampering is beside the point.
Moulton,
Where proper objection has been made, statements concerning pending counts obtained in violation of a defendant’s sixth amendment right to counsel are inadmissible in a trial concerning those counts.
Moulton,
C.
Next we consider the relationship between the sixth amendment violation concerning the MDMA counts and the evidence relied upon to prove the witness tampering count conviction, count ten. Defendant’s sixth amendment rights had not attached on count ten when the incriminating statements were made because she had yet to be indicted for witness tampering. However, she claims that any statements concerning count ten “were the direct result of the violation of [her] sixth amendment rights with respect to counts one and four, the MDMA charges.” Appellant’s Brief at 7.
We view defendant’s derivative evidence (fruit of the poisonous tree) claim in light of the general rule that, even though a defendant’s right to counsel has attached for indicted offenses, she still may be questioned without counsel concerning uncharged offenses.
Moran,
The government may violate a defendant’s sixth amendment right to counsel when it deliberately elicits uncounseled statements about very closely related crimes which arise out of the same course of conduct as the charged offenses.
People v. Clankie,
Likewise, in
Moulton,
the defendant had been charged with theft by receiving certain vehicles and automotive parts.
We believe that when a deliberate sixth amendment violation occurs concerning pending charges, the government may not use defendant’s uncounseled incriminating statements at a trial of those or very closely related subsequent charges.
See Moulton,
Here, the MDMA counts on which the sixth amendment violation occurred are theoretically distinct from the witness tampering count. The difficulty is the somewhat unconventional manner in which the government sought to prove witness tampering. Certain statements obtained in violation of defendant’s sixth amendment right to counsel relate directly to both the MDMA counts and the witness tampering count. Defendant has chosen to proceed on a derivative evidence theory which we now address, keeping in mind the scope of defendant’s sixth amendment right to counsel on the MDMA counts. The derivative evidence doctrine is implicated if challenged evidence concerning the witness tampering count is closely related in time and subject matter to the sixth amendment violation, in other words, if the challenged evidence is a product of the earlier exploitation of the constitutional violation.
See Hoffa,
The derivative evidence doctrine has been applied in other sixth amendment right to counsel cases.
See, e.g., Nix v. Williams,
D.
Normally, we review a district court’s legal determinations on a suppression motion
de novo
and its factual findings under a clearly erroneous standard.
United States v. Soto-Ornelas,
Count ten charged the defendant with engaging in several acts of misleading conduct toward Cynthia Cranford, the pretrial services officer (not the informant, B.J. Rizzo), with the intent to hinder communication by the officer concerning the commission of a federal offense. In other words, defendant was charged in count ten with misleading the officer about the nature of defendant’s earlier conversation with Rizzo, as well as other acts of misleading conduct. These acts did not occur until nine days after the taped conversation with Rizzo, and were never mentioned, let alone contemplated, in the taped conversation. The taped conversation between Rizzo and the defendant largely concerns the then-pending MDMA counts.
In its bill of particulars on count ten, the government charged one of the acts of defendant’s corrupt persuasion and misleading conduct as follows:
After admitting the contact [between defendant and Rizzo] the defendant did mislead [pretrial services] Officer Cran-ford as to the purpose and content of her discussion with Ms. Rizzo by claiming falsely ... that there had been no substantive discussion of the defendant’s pending case....
Rec. supp. vol. I, doc. Ill at 2, II 2(ii). Thus, one of the charges on count ten was that defendant denied having discussed the merits of the pending case with Rizzo, after having been indicted.
The government relied upon the sixth amendment violation concerning the MDMA counts as part of the proof on count ten. See, e.g., Rec. supp. vol. VII at 1083. Any doubt about the government’s reliance is dispelled by the government’s view of the case as outlined at closing argument:
[A]nd finally, ladies and gentlemen, the [sic] is clear that she [defendant] engaged in misleading conduct with Officer Cynthia Cranford. She lead [sic] her to believe that witness Rizzo had been regularly cutting her hair from three to five years and that they had not substantively discussed the case. You heard that conversation, ladies and gentlemen. There is not by any reasonable stretch of the imagination a way you can characterize that conversation as not substantially discussing the case. You heard the evidence.
Ladies and gentlemen, the evidence is absolutely unquestioned in this case. Cynthia Cranford [the pretrial services officer] was misled by this defendant and the only motive, the only motive for this defendant to mislead Officer Cranford was to prevent her from communicating the information about her contacting witnesses, discussing the substance of the case. That’s the only motive. That evidence is clear.
Rec. supp. vol. IX at 1440, 1503 (emphasis added). The substantive discussion of the MDMA counts between the government (through informant Rizzo) and the defendant was violative of defendant’s sixth amendment right to counsel.
What the government asks us to do is to allow use of the uncounseled statements on the MDMA counts to prove that the defendant’s subsequent account of those statements to the pretrial services officer was false. This we will not do. Plainly, the taped conversation, even though it was used for a slightly different purpose on the witness tampering count, is wholly a result of the sixth amendment violation on the MDMA counts. It is not a product of means sufficiently distinguishable so as to be purged of the sixth amendment violation on the MDMA counts, rather it is the
same
evidence. Thus, as far as proof on count ten, it is more than “closely
*1345
related” in time and subject matter to the underlying sixth amendment violation.
See Hoffa,
We acknowledge
Moulton’s
statement that “[ijncriminating statements pertaining to other crimes, as to which the Sixth Amendment right has not yet attached, are, of course, admissible at a trial of those offenses.”
In seeking evidence pertaining to pending charges ... the Government’s investigative powers are limited by the Sixth Amendment rights of the accused. To allow the admission of evidence obtained from the accused in violation of his Sixth Amendment rights whenever the police assert an alternative, legitimate reason for their surveillance invites abuse by law enforcement personnel in the form of fabricated investigations and risks the evisceration of the Sixth Amendment right recognized in Massiah.
Moulton,
We must reverse the conviction on count ten and remand for a new trial because we cannot say that introduction of the defendant’s statements (in the taped conversation) was harmless beyond a reasonable doubt. The proof on count ten consisted of the taped conversation and the testimony of two witnesses, the pretrial services officer and the informant. The jury could not reach agreement on count nine which charged the defendant with witness tampering vis-a-vis the informant. The jury may have questioned the credibility of the informant. The admissible proof on count ten, consisting of some testimony of the informant and the pretrial services officer, while sufficient, was by no means overwhelming.
III. Sufficiency of the Evidence
Adopting the argument contained in co-defendant Raymer’s appellate brief, defendant next contends that the evidence is insufficient to convict her on counts one and four of the indictment. Trial counsel raised this point on motion for judgment of acquittal. Rec. vol. I, doc. 205 at 3-6; supp. vol. VIII at 1330. Count one charged defendant and Raymer with participation in conspiracy to commit an offense against the United States, 18 U.S.C. § 371. The underlying offense was introducing mis-branded drugs into interstate commerce and failing to register and provide information and notice about the MDMA, 21 U.S.C. § 331(a), (k) & (p), all with the intent to mislead or defraud, 21 U.S.C. § 333(a)(2). See rec. supp. vol. IX at 1360 (conspiracy falls under “commit any offense” portion of 18 U.S.C. § 371). The timе period of the conspiracy was from June 1985 until April 1987, which predated in part the valid scheduling of MDMA as a controlled substance or controlled substance analogue. The government alleged that the MDMA was misbranded because it was distributed in interstate commerce without labels containing information such as the name and place of business of the manufacturer, packer or distributor and the name and quantity of the active ingredients. 21 U.S.C. §§ 352(b), (c) & (e). Additionally, *1346 the government claimed that it was mis-branded because it was health endangering and was manufactured in an unregistered establishment, 21 U.S.C. § 360, and because notice and informational requirements were not followed. 21 U.S.C. §§ 352(j) & (o). Count four was a substantive count charging the defendant and Ray-mer • with introducing misbranded drugs into interstate commerce in January 1986, 21 U.S.C. § 331(a), with intent to mislead or defraud, 18 U.S.C. § 333(a)(2).
We review the evidence and its reasonable inferences in the light most favorable to the government to determine “whether any rational trier of fact could have found the elements of the crime beyond a reasonable doubt.”
Jackson v. Virginia,
In making this argument, codefendant Raymer claims that the government did not proceed on the theory that he defrauded natural persons, but only government agencies. The evidence concerning defendant Mitcheltree, however, indicates that she acted with the intent to mislead or defraud at least one identified natural person concerning the composition of MDMA, coconspirator Kevin Volk.
14
While the record suggests that at least one of Raymer’s distributers was aware of some of the negative effects of MDMA, rec. supp. vol. Ill at 108, it nowhere suggests that the unknown third persons supplied by the coconspirators in this case were informed of the actual nature of the drug. In this large-scale distribution network, Raymer and defendant plainly knew that the MDMA would be resold without warning or accurate explanation to unknown third parties. That is sufficient evidence for a jury to find that Raymer and his coconspirators, including defendant, introduced misbranded drugs into interstate commerce with the requisite intent to mislead and defraud those who would purchase on resale.
See United States v. Bradshaw,
The government’s expert pharmacologist testified that “MDMA has pharmacological *1347 properties which it shares in common with two classes of controlled substances.” Rec. supp. vol. VI at 878-79. Like methamphetamine and cocaine, it is a central nervous system stimulant. Id. In low doses, it is an hallucinogenic substance like marijuana; in higher doses, it produces visual hallucinations like LSD. Id. It has addictive properties. Even when MDMA was not scheduled as a controlled substance, its lawful manufacture would have required FDA registration. Id. at 878. As a drug, MDMA’s lawful use in humans would have required FDA approval involving factors such as safety and efficacy. Id. at 874. The government pharmacologist testified that “the FDA did not nor does it now permit the manufacture or human use or importation of MDMA.” Id. at 877. MDMA is not manufactured by any legitimate pharmaceutical house; rather it is manufactured clandestinely, solely for those “who are making it for others to abuse.” Id. at 873.
A.
The government may premise criminal liability under § 833(a)(2) based upon an intent to mislead or defraud not only natural persons, but also government agencies if there is evidence that a defendant consciously sought to mislead drug regulatory authorities such as the FDA or a similar governmental agency. The case law from this circuit recognizes such a result. In
United States v. Industrial Laboratories Co.,
We held that the district court’s instructions failed to state clearly that an element of the offense under § 333(a)(2) was an intent to mislead or defraud. Id. at 910-11. In so holding, we stated:
The jury should have been further directed that it was necessary for it to find that defendant knew that several tests had not been made, that [the individual defendant] intentionally misrepresented that they had, and that he did so for the purpose of misleading and defrauding the consignee and the Canadian authorities that such several tests had been performed.
Id. at 910. Thus, the specific intent requirement of the statute could be satisfied by a showing that defendants intended to mislead or defraud the Canadian authorities and the Canadian consignee. Although the jury instruction was phrased in the conjunctive, “misleading and defrauding the consignee and the Canadian authorities,” id. (emphasis added), it does not appear that the proof would admit one without the other.
Thereafter, in
United States v. Cattle King Packing Co.,
*1348
In
Cattle King Packing,
one of the parties defrauded was the government agency charged with federal meat inspection, acting through federal meat inspectors and a government veterinarian.
Cattle King Packing
is consistent with
Industrial Laboratories
which recognized that the Canadian authorities involved in setting standards for drugs could be misled or defrauded. Although we have not squarely addressed the issue, the government urges us to follow and apply the Eleventh Circuit’s decision in
Bradshaw,
which held that an intent to mislead or defraud under § 333(a)(2) may extend to government enforcement agencies.
Bradshaw,
We think it important to discuss what we perceive as the operative facts in
Bradshaw.
There, defendant
“admitted
that he operated an illegal wholesale drug business.”
Bradshaw,
The general scheme of the Act and its legislative history indicate that the overriding congressional purpose was consumer protection — the protection of the public against any misbranded or adulterated food, drug, device, or cosmetic. When Bradshaw misled governmental agencies, thereby frustrating their efforts to protect the public, he indirectly misled and defrauded the public.
Id. at 874. State drug enforcement agencies, like the Florida authorities who issue рermits and licenses, also are involved in consumer protection and work closely with their federal counterpart, the FDA. Id. at 875 n. 9. Accordingly, state drug agencies also may be misled or defrauded under § 333(a)(2). Id. Bradshaw seems to apply when there is proof of a conscious effort to mislead or defraud the FDA or a state counterpart involved in consumer-oriented drug regulation. In Bradshaw, such proof involved evidence of conscious misbranding for the purpose of deliberately evading the FDA’s restrictions concerning steroids and misleading the Florida state drug authorities issuing drug wholesaler permits.
Defendant relies heavily upon
United States v. Haga,
*1349
Moreover, according to the Fifth Circuit,
Haga
is a variance case; the indictment charged a “commit any offense” conspiracy rather than the alternative “defraud the United States” conspiracy under § 371.
Haga,
In rejecting the government’s theory of the ease, however, the court in
Haga
expressed reservations concerning the validity of a “commit any offense” conspiracy, 18 U.S.C. § 371, which relies upon “distributing prescription drugs in knowing violation of federal and state regulatory systems and rules,” 21 U.S.C. § 333(a)(2), for the offense.
Haga,
as a practical matter have the effect of rendering the “defraud and mislead” language of § 333[ (a)(2)] mere surplusage in the prosecution of any defendant charged with a conscious (and not publicly proclaimed) violation of section 331— only inadvertent (or publicly announced) violations of section 331 would be misdemeanors, because all conscious (and not publicly confessed) violations would necessarily involve a deliberate evasion of established regulatory systems.
Id.
We think that this criticism is tempered somewhat by the specific intent required in a § 333(a)(2) prosecution. And if the government proceeds on this theory, there must be a demonstrated link between the § 331 violation and an intent to mislead or defraud an
identifiable
drug regulatory agency involved in consumer protection.
See Cattle King Packing,
We believe that the specific intent requirement in § 333(a)(2) requires not only proof of misbranding under § 331, but also proof of an intent to mislead or defraud
which is connected to the misbranding violation under § 331. See Industrial Laboratories,
These limitations are consistent with the Supreme Court’s prior interpretation of the Act. In construing the predecessor of the 1938 Act, the Supreme Court observed that it
was passed by Congress, under its authority to exclude from interstate commerce impure and adulterated food and drugs and to prevent the facilities of such commerce to be used to enable such articles to be transported throughout the country from their place of manufacture to the people who consume and use them, and it is in the light of the purpose and of the power exerted in its passage that this act must be considered and construed.
McDermott v. Wisconsin,
B.
The government contends that sufficient circumstantial evidence suggests that defendant conspired to violate 21 U.S.C. § 331(a), (k) and (p) with the intent to mislead law enforcement agencies. 16 Appel-lee’s Brief (No. 89-6362) at 37-39. In particular, the government maintains that defendant and Raymer misbranded the MDMA with the intent to mislead and defraud local police departments in Dallas, Plano and Oklahoma City. Timely objection was made to instructing the jury on this theory. Rec. supp. vol. IX at 1360-61. The prosecutor told the jury, over an objection, that defendant Raymer “was misleading and defrauding while holding himself out as someone cooperating with law enforcement, not stopping his activity but continuing in an even more covert manner than flying through these commercial airlines.” Id. at 1427. At the trial’s conclusion, the trial judge expressed his view that the government’s theory was somewhat far afield. Id. at 1362.
Relying upon Bradshaw, however, the district court determined that a state or local agency could be defrauded under *1351 § 333(a)(2), while acknowledging that it was “a very close legal issue.” Rec. supp. vol. X at 5. See also id. (“Let me just say that I have real concern as to whether or not the Food, Drug and Cosmetic Act was intended to apply to schemes to defraud the Plano Police Department.”). When sentencing codefendant Raymer, the district court recognized that the misbranding counts were
frankly, ... a nontraditional, perhaps innovative indictment by the government on conduct that was not squarely labeled as illegal by Congress and not dealt with directly by Congress until the passage of the Controlled Substance Analogue Act [in October 1986].
Almost all the cases under the mis-branding theory deal with situations that are completely different than the situation we have here. I have struggled with those counts since the outset of the case, indeed, to the point that I considered dismissing them at the conclusion of the case and even up until today.
Rec. supp. vol. X at 34-35. We share the district court’s reservations about counts one and four.
After a thorough review of this record, no rational trier of fact could conclude beyond a reasonable doubt that the defendants (Mitcheltree and Raymer) acted to mislead or defraud a government agency responsible for drug safety and efficacy with the objective of consumer protection. Moreover, not a scintilla of evidence links the defendants’ misbranding activities with a specific intent, 21 U.S.C. § 333(a)(2), to violate or defeat agency enforcement of the actual federal drug regulatоry provisions alleged in counts one and four of the indictment,
ie.,
21 U.S.C. §§ 331(a); 352(b), (c), (e), (j) & (o); 331(k); 331(p) & 360.
See Hiland,
We are unwilling to blur the distinction between the misdemeanor and felony provisions of § 333(a). The felony provision requires knowledge of the mis-branding and proof of specific intent to mislead or defraud connected to the mis-branding violation. The government’s evidence suggests that local police departments were investigating the distribution of MDMA (as well as unlawful drugs) when the defendants were misbranding MDMA. But merely because the activities of the defendants and the police may have been contemporaneous does not constitute sufficient proof that the defendants knowingly misbranded with the specific intent to mislead or defraud those police departments. For us to so hold would be to adopt a standard which would be inconsistent with the misdemeanor provision of the statute, 21 U.S.C. § 333(a)(1).
See Haga,
In the alternative, nothing in the record indicates that the local police departments, at the times alleged in counts one and four, were accomplishing anything other than routine controlled substance investigations. No evidence even remotely suggests that the local investigation encompassed mis-branded drugs. Indeed, sometime after early 1989 (when the misbranding had ceased), a Department of Justice official “provided significant in-depth consultations on the nature and framework of the indictments including a recommendation that the mis-branding provisions of Title 21 be examined for applicability to the facts in the instant case.” Affidavit of R. Wintory, supp. vol. XII, doc. 167 at 5, II 12(c). Resort to this theory was necessary, at least in part, because MDMA was not scheduled properly at the federal level until October 1986.
In the end it is not necessarily the novelty of the government’s theory, but rather the lack of evidence to support it, which requires reversal of the defendant’s
*1352
convictions on the misbranding counts. We recognize that a defendant may knowingly misbrand with an intent to mislead or defraud a government authority that, for example, sets drug standards,
Industrial Laboratories,
It is not enough to say, as does the government, that the success of the venture to distribute MDMA depended upon misbranding without proving that the defendants misbranded with the intent to mislead or defraud a government agency involved in consumer protection of some sort. Contrary to the government’s position, covert criminal activity involving drugs is not synonymous with misbranding with an intent to mislead or defraud. Because the jury was instructed on a theory for which insufficient evidence exists and we cannоt “confidently determine that the jury relied on the theory validly supported by the evidence,” we must reverse the convictions on counts one and four and also remand for a new trial.
17
United States v. Larranaga,
REVERSED and REMANDED.
Notes
. 21 U.S.C. § 333(a)(2) was formerly designated § 333(b). Although the parties have cited the former designation, we cite the current one. 21 U.S.C. § 333 now provides:
Penalties
(a) Violation of section 331 of this title; second violation; intent to defraud or mislead
(1) Any person who violates a provision of section 301 [21 U.S.C. § 331] shall be imprisoned for not more than one year or fined not more than $ 1,000, or both.
(2) Notwithstanding the provisions of paragraph (1), if any person commits such a violation after a conviction of him under this section has become final, or commits such a violation with the intent to defraud or mislead, such person shall be imprisoned for not more than three years or fined not more than $10,000 or both.
. 18 U.S.C. § 371 provides:
Conspiracy to commit offense or defraud the United States
If two or more persons conspire either to commit any offense against the United States, or to defraud the United States, or any agency thereof in any manner or for any purpose, and one or more of such persons do act to effect the object of the conspiracy, each shall be fined not more than $10,000 or imprisoned not more than five years, or both.
If, however, the offense, the commission of which is the object of the conspiracy, is a misdemeanor only, the punishment for such conspiracy shall not exceed the maximum punishment provided for such misdemeanor.
. 18 U.S.C. § 1512(b)(3) provides:
Tampering with a witness, victim, or an informant
(b) Whoever knowingly uses intimidation or physical force, threatens, or corruptly persuades another person, or attempts to do so, or engages in misleading conduct toward another person, with intent to—
(3) hinder, delay, or prevent the communication to a law enforcement officer or judge of the United States of information relating to the commission or possible commission of a Federal offense or a violation of conditions of probation, parole, or release pending judicial proceedings;
shall be fined not more than $250,000 or imprisoned not more than ten years, or both.
. The district court and this court denied bail pending appeal. Defendant began serving her sentence on January 20, 1990. Subsequently, appellate counsel was appointed for her, briefing was completed and the case came on for oral argument in November 1990. On December 21, 1990, the merits panel
sua sponte
reconsidered the earlier order denying bail pending appeal and instructed the district court to set conditions of release in accordance with 18 U.S.C. § 3143(b).
See United. States v. Daily,
. As a general rule, when appellate counsel rejects completely those errors claimed by trial counsel in favor of a different avenue on appeal, we must be cautious of a "tendency to seize upon errors which, removed from context, take on an aspect of seriousness which they never had bеlow.” 8B J. Moore, Moore’s Federal Practice ¶ 52.03 (1991).
. In habeas cases involving the sixth amendment right to counsel, the Court has followed the “harmless beyond a reasonable doubt" standard in determining prejudice.
Moore v. Illinois,
. On retrial of count ten, the district court should include the pertinent provisions of the statutory definition of misleading conduct, 18 U.S.C. § 1515(b)(3), as well as other pertinent definitions contained in § 1515.
. We later determined that neither the Attorney General nor the DEA had been lawfully delegated the authority for temporary scheduling.
United States v. Widdowson,
. Leslie Lynn Ricks testified that defendant introduced Ricks to codefendant Samuel Raymer as a source for MDMA. Rec. supp. vol. V at 724, 727. Ricks frequently called defendant to find out when Raymer would be in town so Ricks could purchase MDMA for resale. Id. at 727.
Extensive testimony about the MDMA distribution network came from Kevin Volk, defendant’s one-time boyfriend. He testified that defendant introduced him to MDMA in July 1985, telling him and a friend that "it was all natural, it would make you feel great.” Rec. supp. vol. V at 424. Volk then became a regular consumer and distributor. By November 1985, at Confetti’s nightclub in Oklahoma City, Volk would take money from purchasers and exchange it for MDMA tablets from Raymer; Volk indicated that he observed defendant doing the same, selling to customers including informant B J. Rizzo and Ruth House. Id. at 445-46. Defendant’s sale of MDMA tablets at Confetti’s nightclub is corroborated by House, who purchased MDMA from defendant, id. at 638, and Rizzo, who purchased MDMA from defendant and Volk, and sometimes sold MDMA for dеfendant and Volk, receiving payment-in-kind. Id. supp. vol. VII at 1034.
According to Volk, defendant indicated that Raymer was willing to expand the operation by "fronting" MDMA to her for distribution. Id. supp. vol. V at 448. Under this arrangement, Raymer, having been arrested in Texas, no longer flew to Oklahoma City. Id. at 449. Instead, he drove, stayed with Volk and defendant, and
[h]e [Raymer] would provide us the pills at the beginning of the weekend when he arrived. We would sell them throughout the weekend. When he got ready to leave, we would have to pay him for the pills sold and give him the remaining pills.
Id. at 448-49, 450. According to Volk, by the end of 1985 and the beginning of January 1986, he and defendant sold four- to five-hundred MDMA tablets per week. Id. at 451. Raymer would bring the tablets in large, unmarked white containers which could hold about one-thousand pills and Raymer, Volk and defendant would transfer the tablets into smaller plastic bags. Id. at 453-54, 456.
In February 1986, undercover detective James Osborne, through an informant, arranged for the purchase of fifty tablets of MDMA from defendant at Confetti's nightclub. Rec. supp. vol. V at 572-74. The detective testified that he purchased forty-nine tablets for $784. Id. at 575. The exchange occurred in the nightclub parking lot, with the informant handing the tablets to the detective. Id. at 575. Defendant first requested that the detective actually place the money in her purse. Id. The detective testified that he had encountered such arrangements many times in the covert drug trade. Drug dealers frequently deal through another party, not directly transferring drugs or accepting money from the purchaser. Defendant mistakenly thought that it "would not be any type of illegal activity as long as she did not personally hand the evidence or take the money from [an unknown law enforcement agent].” Id. at 577.
By late-April 1986, Raymer left MDMA with Volk and defendant to distribute and collect money on Raymer’s behalf. Id. at 465. By May 1986, Raymer arranged with defendant to send the money by express mail in care of Raymer’s mother’s trucking company. Id. at 467. According to Volk, defendant would obtain drafts or money orders at the post office in her name, and they would send them to Raymer. Id. at 468.
After Raymer was arrested a second time in Texas, Volk and defendant lacked a supplier. Id. at 469. By August 1986, Volk testified that defendant had contacted Raymer, arranging for MDMA mailing. Id. at 469-70. During August and September 1986, defendant and Volk received MDMA tablets through the mail or by delivery from Raymer. Id. at 473-74.
. Sampson was the nickname of codefendant Samuel Scott Raymer.
. The following exchange occurred:
Rizzo: Man its gonna be hard for me to testify against Sampson when he’s right in the room.
Defendant: Yeah it is BJ, it’s gonna be impossible for you to. You know what you need to tell them you just did ’em every now and then. If I were you I’d say, you don’t even have to say you got yours from Sampson.
Rizzo: I really didn’t though. He gave me, the only time that he gave me drugs was the time that we were in Dallas. Is the only time JoAnn.
Defendant: Then that’s what you need to tell ’em BJ.
Rizzo: They, I never, and he gave ’em to me he didn’t sell ’em to me. He gave ’em to me.
Defendant: Then that’s what you need to tell ’em.
Rizzo: But [...]
Defendant: Where did you get ’em? Did you get most of your shit from (inaudible).
Rizzo: Um-hmm.
Defendant: You better change that story. (Footnote 11 continued on pg. 1338)
*1338 Tr. 6/26/89 at 15-16. Rizzo testified that during the inaudible portion, the defendant pointed to herself and said, "‘From me’[?]" Rec. supp. vol. VIII at 1139.
. Count ten of the superseding indictment provided:
That on or about July 5, 1989, in Oklahoma City, Oklahoma County, within the Western District of Oklahoma,
..JO ANN MITCHELLTREE [sic]..
the defendant herein, did knowingly, corruptly persuade, and engaged in misleading conduct or attempt to do so, with the intent to hinder, delay and prevent the communication by [pretrial services officer] Cynthia Cranford to a law enforcement officer or a Judge of the United States of information relating to the commission or possible commission of a federal offense,
All in violation of Title 18, United States Code, Section 1512(b)(3).
. "This is not a case where ... 'the constable blundered,’
People
v.
DeFore,
The prosecutor’s argument ignores the June 7, 1989 indictment pending when the government planned these events. The defendant had obtained representation, as the prosecutor well knew. At best, the prosecutor took no steps to insure that the informant did not communicate with the defendant about the pending charges and consequently the defendant’s sixth amendment right to counsel was compromised. This is inconsistent with a prosecutor’s special responsibility concerning a defendant’s representation by counsel. See R.Prof.Conduct 3.8(b), Okla.Stat.Ann. Tit. 5, Ch. 1, App. 3-A (West 1991). It also is inconsistent with R.Prof.Conduct 4.2 which provides: "In representing a client, a lawyer shall not communicate, or cause another to communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has consent of the other lawyer or is authorized by law to do so.” R.Prof.Conduct 4.2, Okla.Stat.Ann. Tit. 5, Ch. 1, App. 3-A (West 1991) (emphasis supplied).
. Volk testified that in July 1985, defendant approached him and his roommate at Confetti’s nightclub with the suggestion that they try some ecstasy she had obtained from Bobby Lewis. Rec. supp. vol. V at 423, 425.
Volk: She asked if we would try this new drug out called ecstasy. We had not and she had tried to tell us that it was all natural, it would make you feel great, so on and so forth.
The only thing she told me at this time is that it would make you feel great and that it was all natural. The ingredients were all natural.
Prosecutor: What did you understand that to mean.
Volk: I didn’t consider it to be a synthetic makeup of anything. It was like a lot of herbs and things and would give you a chemical reaction in your body that would make you feel different.
Id. at 424.
. The
Haga
court relied on
United States v. Industrial Laboratories Co.,
. The trial testimony indicates that defendant was an integral part of Raymer's MDMA distribution network and may have assisted him in concealment of his activities. Raymer initially traveled via commercial airliner from Texas to Oklahoma and concealed the MDMA on his person. In October 1985, he was arrested in an undercover buy operation at Dallas Love Field, en route to Oklahoma City. Rec. supp. vol. IV at 232, 244. The Dallas police obtained search warrants and found 2,450 unlabeled MDMA tablets in an airport locker and in Raymer’s carry on luggage. Id. at 232. After his arrest, Ray-mer purchased a new vehicle and began driving from Dallas to Oklahoma City because it entailed less chance of being caught with the contraband. Rec. supp. vol. V at 450. While in Oklahoma City, he stayed with Volk and defendant and distributed MDMA. Id. By January 1986, Raymer, Volk and defendant were packaging MDMA for resale. Id. at 456.
In February 1986, defendant relied upon an informant and, using an alias, sold an Oklahoma City undercover narcotics officer forty-eight tablets of MDMA for $784. Rec. supp. vol. V at 571-78. In June 1986, Raymer was arrested by the Plano police department for his drug activities. He agreed to cooperate with the Plano authorities for more lenient treatment. Rec. supp. vol. Ill at 78. Defendant and Volk had to quit the MDMA business because Raymer was no longer making trips to Oklahoma City. Id. supp. vol. IV at 469. According to Volk, a few months later Raymer contacted defendant offering to send MDMA through the mail. Volk talked with Raymer about this, and Raymer explained that express U.S. mail was preferable because "the law states you need a court order to get into the U.S. mail,” id. at 470, and a private parcel service "can open it,” id. at 471. For two or three weeks, MDMA tablets were sent to defendant and Volk through the mail. Id. Thus, during September-October 1986, road trips and the mail facilitated the distribution.
The distribution of MDMA frequently occurred in public places. Raymer confessed to the FBI that he used pagers to make arrangements with MDMA suppliers. Later, he would retrieve the drugs which had been left for him from a designated place such a mens’ restroom at McDonalds or Burger King. Rec. supp. vol. Ill at 80. Defendant would make individual sales from the ladies’ restroom at Confetti’s nightclub.
. In
Industrial Laboratories,
we relied upon 28 U.S.C. § 2106 and reduced the defective felony convictions under § 333(a)(2) to misdemeanors under § 333(a)(1).
Industrial Laboratories,
It must be clear (1) that the evidence adduced at trial fails to support one or more elements of the crime which appellant was convicted, (2) that such evidence sufficiently sustains all the elements of another offense, (3) that the latter is a lesser included offense of the former, and (4) that no undue prejudice will result to the accused.
Allison,
