Defendant-appellant, Joe Luis Saucedo, appeals his Sentencing Guidelines sentence, following his guilty plea to possession of cocaine with intent to distribute. 21 U.S.C. 841(a)(1). Defendant contends that the district court erred by (I) considering conduct other than that for which he was convicted in imposing a three-level upward adjustment for a managerial or supervisorial role in the offense, U.S.S.G. § 3Bl.l(b); (II) imposing a two-level upward adjustment for possession of a firearm during the commission of the offense without any evidence that he had the requisite scienter, id. § 2Dl.l(b)(l); and (III) including certain quantities of drugs in the base offense level calculation without any evidence that they were part of a common plan or scheme. Id. § 2Dl.l(a)(3). The government contends that defendant waived these issues by failing to object, and, in any event, the district court properly applied the guidelines. We have jurisdiction under 28 U.S.C. § 1291 and 18 U.S.C. § 3742(a)(2).
This case has an unusual procedural background, an understanding of which is necessary to our decision. On January 5, 1989, defendant was indicted on twenty-four counts relating to narcotics trafficking, conspiracy and operating a criminal enterprise. On February 27, 1989, defendant pled guilty to count 20 which charged that, on or about November 16, 1988, he and a codefendant possessed 780 grams of cocaine with intent to distribute. On April 10, 1989, defendant filed objections to the presentence report 1 alternatively with a motion to withdraw his guilty plea. On June 2, 1989, the district court allowed defendant to withdraw his guilty plea and enter a plea of not guilty because his lawyer failed to advise him properly on the application of the sentencing guidelines to his offense.
Jury trial commenced on June 14, 1989, and two days later, on June 16, 1989, the district court granted defendant leave to withdraw his not guilty plea and plead guilty to count 20. The record indicates that defendant waived the ten-day notice of the presentence report. I R. doc. 145. The earlier presentence report was revised, and neither defendant nor his counsel expressed any objections to the report. 2 On June 20, 1989, defendant was sentenced to 130 months, 3 and the remaining counts of the indictment were dismissed.
On August 2, 1990, defendant filed a pro se motion to vacate, set aside, or correct his sentence pursuant to 28 U.S.C. § 2255, raising four separate grounds for relief. 4 *1511 Defendant asserted, inter alia, ineffective assistance of counsel based on his counsel’s erroneous estimate of a two-to-six-year sentence, and counsel’s failure, despite defendant’s request, to appeal the sentence. I R. doc. 202 at 6. Following an evidentiary hearing, the district court found that defense counsel failed to advise defendant of his right to appeal, and defendant was unaware of it until the time for filing a notice of appeal had passed. I R. doc. 231 at 2-3. On March 19,1991, the district court simultaneously vacated defendant’s sentence of June 20, 1989, and reimposed it exactly as previously entere4, and informed the defendant of his rb'ht to appeal. The record indicates that the district court acted solely by its order filed March 19, 1991. Defendant’s appeal of his March 19, 1991, sentence is now before us.
The district court’s remedy in granting defendant’s § 2255 motion was designed to put defendant back into the position he would have been had counsel perfected a timely notice of appeal.
See United States v. Davis,
“Normally, failure to alert the trial court to an error precludes review of that same issue by this court.”
United States v. Frederick,
“[T]he plain-error exception to the contemporaneous-objection rule is to be ‘used sparingly, solely in those circumstances in which a miscarriage of justice would otherwise result.’ ”
United States v. Young,
I
Defendant first contends that the district erred by considering conduct other than that for which he was convicted in impos
*1512
ing a three-level upward adjustment for a managerial or supervisorial role in the offense. The guidelines provide for a three-level enhancement if, “[b]ased on the defendant's role in the offense, ... the defendant was a manager or supervisor ... and the criminal activity involved five or more participants or was otherwise extensive....” U.S.S.G. § 3Bl.l(b). In
United States v. Pettit,
In
United States v. Riles,
Notwithstanding
Riles, Pettit
was the law of this circuit with respect to the scope of conduct that may be considered in determining aggravating role adjustments pursuant to U.S.S.G. § 3B1.1.
Riles,
which addressed mitigating role adjustments pursuant to § 3B1.2, did not, nor could not, overrule
Pettit. See United States v. Spedalieri,
Subsequent to
Pettit,
the Sentencing Commission amended the Introductory Commentary to Chapter 3, Part B, stating, in relevant part, that “[t]he determination of a defendant’s role in the offense is to be made on the basis of all conduct within the scope of section 1B1.3 (Relevant Conduct) ... and not solely on the basis of elements and acts in the count of the conviction.” United States Sentencing Comm’n,
Guidelines Manual,
Ch. 3, Pt. B, intro, comment., at 3.5 (Nov.1990). This amendment was effective November 1, 1990.
Id.
App.C, II345, at C.189. Under the amendment, a sentencing court may consider the underlying scheme, as opposed to merely the offense of conviction, in determining role in the offense adjustments.
See United States v. Caballero,
Generally, a court is required to apply the guidelines, including “any pertinent policy statement issued by the Commission,” that are in effect on the date the defendant is sentenced. 18 U.S.C. §§ 3553(a)(5), (a)(4).
See also United States v. Brunson,
Notwithstanding the general rule that we apply the guidelines in effect at the date of sentencing, “the ex post facto clause prohibits retroactive application of a changed guideline if the change disadvantages the defendant.”
United States v. Underwood,
The November 1990 amendment at issue here did not change the actual text of U.S.S.G. § 3B1.1, but rather merely amended the commentary. Indeed, the actual text of § 3B1.1 is the same now as it was in November 1988 when defendant committed his offense. However, the commentary is “essential in correctly interpreting and uniformly applying the guidelines on a national basis.”
United States v. Rutter,
We reach this conclusion despite the Sentencing Commission’s expressed intent that the purpose of the amendment was to “clarif[y] the conduct that is relevant to the determination of Chapter Three, Part B_”
Guidelines Manual,
App. C, II345, at C.189. Generally, when amendments merely clarify pre-existing guidelines, “their retrospective application presents no ex post facto issue.”
United States v. Restrepo,
The ex post facto clause prohibits Congress from enacting any law which, inter alia, “changes the punishment, and inflicts a greater punishment, than the law annexed to the crime, when committed,”
12
Calder v. Bull,
first, the law must be retrospective, that is it must apply to events occuring before its enactment; and second, it must disadvantage the offender affected by it.... [N]o ex post facto violation occurs if a change does not alter substantial personal rights, but merely changes modes of procedure which do not affect matters of substance.
Id. (citations and internal quotations omitted).
We recognize the retrospective application of U.S.S.G. § 3B1.1. Defendant’s offense occurred in November 1988, two years prior to the amendment. Moreover, the amendment clearly affects “matters of substance.” Application of § 3Bl.l(b) consistent with the amended commentary leads to a three-level increase in defendant’s offense level, thereby increasing the guideline range from 78-97 months to 108-135 months.
See Miller,
The change in the law must also disadvantage defendant in order to be ex post facto. Prior to the amendment,
Pettit
was the law in this circuit regarding the scope of conduct that a sentencing court may consider in determining an aggravating role adjustment. The November 1990 amendment clearly disadvantages defendant as compared to the pre-amendment interpretation of § 3B1.1 recognized in
Pet-tit.
In the past, our cases have gone only this far. Finding that the amendment disadvantages the defendant, we have held that the defendant is entitled to an application of the law at the time the offense was committed.
See Underwood,
However, we interpret § 3B1.1, at the time of defendant’s offense, consistent with
Pettit. See United States v. Padilla,
The record indicates and the government concedes that the district court considered conduct of defendant other than that for which he was convicted. Appellee’s Brief at 29. The only allegations in the presentence report supporting the § 3Bl.l(b) adjustment are that “defendant was involved in importing drugs, recruiting drivers, selling drugs, and returning the proceeds to his father.” Ill R. ¶ 17. To permit this broad formulation of defendant’s conduct to support a § 3Bl.l(b) adjustment contravenes our pre-amendment interpretation of this guideline because defendant was not convicted of importing, transporting or selling drugs, but rather he was convicted of possession with intent to sell.
The district court's misapplication of § 3B1.1 results in obvious and substantial error. Failure to consider this issue would result in a manifest injustice given the effect that the § 3B 1.1(b) adjustment has on defendant’s overall prison term. Plain error is present when the record indicates that the sentence was imposed based
*1517
on erroneous interpretation of the law.
See, e.g., Jefferson,
In the present case, the judgment of conviction did not authorize an aggravating role adjustment pursuant to § 3Bl.l(b) because there is nothing in the record to indicate that defendant was a manager or supervisor in the criminal activity for which he was convicted or that five or more people were involved in that activity. Further, the application of the post-amendment interpretation of § 3B1.1 violates the ex post facto clause.
See United States v. McCall,
II
Defendant next asserts that the district court erred by imposing a two-level upward adjustment for possession of a firearm during the commission of the offense without any evidence that he had the requisite scienter. The guidelines prescribe a two-level increase in the base offense level for drug trafficking offenses “[i]f a dangerous weapon ... was possessed during commission of the offense.” U.S.S.G. § 2Dl.l(b)(l). The commentary to § 2D1.1 states that “[t]he adjustment [for weapons possession] should be applied if the weapon was present, unless it is clearly improbable that the weapon was connected with the offense.” Id., comment, (n. 3).
Defendant contends that the § 2Dl.l(b)(l) adjustment is based on the erroneous finding that the house where the weapon was found was maintained by defendant. See III R. ¶ 17. In fact, the house was maintained by the codefend-ant. 13 According to defendant, no record evidence indicates that he had any knowledge that the weapon was in the house or that the weapon was being used during the commission of a drug trafficking offense.
The government does not dispute that defendant neither owned the gun nor maintained the residence where the gun was found. Rather, the government argues that “all acts or omissions that were part of the same course of conduct or common scheme or plan as the offense of conviction,” should be considered,
see
U.S.S.G. § lB1.3(a)(2), and that possession rather than ownership is the critical inquiry in determining the applicability of § 2Dl.l(b)(l). The government relies on
United States v. Goddard,
Under the pre-November 1989 guidelines, a finding of scienter is required to support an adjustment under § 2D1.1(b)(1), while under the present guidelines “scienter is not required; simple possession alone will suffice for a firearms enhancement.”
Underwood,
Defendant’s knowledge or lack thereof is a factual issue, which we would review under a clearly erroneous standard, had defendant properly objected at sentencing.
See United States v. McFarlane,
A rule requiring a defendant to raise alleged factual inaccuracies in a presen-tence report before the district court in order to preserve the issue on appeal is consistent with Fed.R.Crim.P. 32(c)(3) governing disclosure of presentence reports. The district court is required “to afford the defendant and the defendant’s counsel an opportunity to comment on the report” and may, in its discretion, allow the defendant “to introduce testimony or other information relating to any alleged factual inaccu-racies_” Fed.R.Crim.P. 32(c)(3)(A). If factual inaccuracies in the presentence report are alleged, the district court is required to “make (i) a finding as to the allegation, or (ii) a determination that no such finding is necessary because the matter controverted will not be taken into account in sentencing.”
Id.
32(c)(3)(D). Thus, when a defendant properly raises the disputed factual issues in the district court, a record sufficient to permit adequate review is thereby developed. On the other hand, when a defendant fails to raise the issue below, we have no factual record by which to review the application of the guidelines.
See Padilla,
Ill
Defendant’s final contention is that the district court erred in including certain quantities of drugs in the base offense level calculation without any evidence that they were part of a common
*1519
plan or scheme. A sentencing court may aggregate the quantity of drugs involved in the count to which the defendant pled guilty with the quantity of drugs involved in the counts dismissed as long as the transactions involved in the dismissed counts were part of the same course of conduct or common scheme or plan as to the count to which defendant pled guilty.
United States v. Ruth,
We REMAND to the district court with instructions to VACATE defendant’s sentence and resentence him consistent with this opinion.
Notes
. Defendant’s objections to the presentence report included the errors assigned in this appeal. See I R. doc. 116 at 5-13.
. The transcript from the June 1989 sentencing hearing reveals the following colloquy between the district judge, defense counsel and defendant:
Court: Counsel, have you had a chance to review the most recent presentence report? Defense counsel: Yes, we have, your honor, both the defendant and we [sic] have done it and there are no modifications or alterations which we would request at this time.
Court: Mr. Joe Luis Saucedo, is there anything you want to say before I pass sentence? Defendant: Yes, sir. I'd like to say that I know I did wrong, I’m sorry. I just want to start a new life the right way.
II R. at 4-5. See also III R. (presentence report).
. The sentence reflected a total offense level of 31, which included a base offense level of 28 based on an equivalent of 3.3 kilograms of cocaine, U.S.S.G. § 2D1.1(a)(3), a two-point upward adjustment for possession of a firearm, id. § 2D1.1(b)(1), a three-point upward adjustment for a managerial or supervisorial role in criminal activity involving five or more persons, id. § 3Bl.l(b), and a two-point downward adjustment for acceptance of responsibility. Id. § 3E1.1. Defendant’s criminal history category was I. Therefore, his guideline range was 108 to 135 months. See III R. ¶¶ 15-26.
. Defendant filed an earlier pro se motion pursuant to 28 U.S.C. § 2255, on February 9, 1990, alleging that his guilty plea was not knowing and voluntary, and the firearms and role in the offense adjustments were erroneous. I R. doc. 185 at 6-7. The district court denied defendant's sentencing guidelines claims as procedur *1511 ally barred by the failure to take a direct appeal. I R. doc. 196 at 4-5. The district court rejected defendant's claim that his guilty plea was not knowing and voluntary. Id. at 5-6. Defendant did not appeal this decision.
.
See supra
note 2. While a pro se pleading is entitled to liberal construction,
see Haines v. Kerner,
. The Ninth Circuit has stated that its consideration of offense specific conduct in mitigating role adjustments while considering all relevant conduct in aggravating role adjustments "furthers the goals of sentence uniformity and proportionality.”
United States v. Lillard,
. In light of the November 1990 amendment, see infra, Riles appears to be consistent with the intent of the Sentencing Commission to consider all relevant conduct for both mitigating and aggravating role in the offense adjustments.
. We have reconsidered Pettit in light of the November 1990 amendment and presented this issue to the en banc court. The court has voted unanimously that, in light of the amendment, a sentencing court may consider conduct other than that for which the defendant was convicted in determining aggravating role adjustments pursuant to U.S.S.G. § 3B1.1.
. Although
Pettit
interpreted the "plain language” of § 3B1.1 as limiting the scope of conduct that may be considered to the offense of conviction while the amended commentary states that all relevant conduct may be considered, the plain language of § 3B1.1 does not preclude the interpretation afforded by the amended commentary.
See Riles,
. The Fifth Circuit's distinction between an amendment to the commentary and an amendment to a guideline,
see United States v. Suarez.
. In
Caballero,
the D.C. Circuit held that because the November 1990 amendment was not intended to change the law, it could be applied in determining whether the defendant was entitled to a mitigating role adjustment even though defendant’s sentence was imposed prior to the effective date of the amendment.
In
Lillard,
the Ninth Circuit held that all relevant conduct could be considered in determining an aggravating role adjustment when the offense was committed prior to the November 1990 amendment.
The Fifth Circuit has held its preamendment interpretation of aggravating role adjustments, which limited the scope of conduct to “the transaction on which [the] conviction is based,”
Mourning,
. We recognize that "[t]he ex post facto clause is a limitation upon the powers of the Legislature.”
Marks v. United States,
. The record supports defendant’s contention. Specifically, defendant’s address is listed in the presentence report as "510 K S.W., Childress, Texas 79201,” III R. 1, while the location where the weapon was discovered is listed as "6201 South Klien, [Oklahoma City].” Id. ¶7. The Indictment charges that the 6201 South Klien address is the residence of the codefendant, defendant’s brother, I R. doc. (Indictment Jan. 5, 1989) at 20 (count 22). Further, the presen-tence report indicates that the codefendant admitted ownership of the weapon. Ill R. ¶ 8.
