Appellant Kenneth Joseph Hill pleaded guilty to one count of possession with intent to distribute cocaine base pursuant to 21 *1480 U.S.C. § 841(a)(1) and one count of possession of a firearm as a felon pursuant to 18 U.S.C. § 922(g). Hill appeals several aspects of his sentence under the United States Sentencing Guidelines (“Sentencing Guidelines”). His primary argument is that the district court erred by including as “relevant conduct” under section 1B1.3 of the Sentencing Guidelines a drug transaction that preceded the offense of conviction by approximately nineteen months and had been charged in a previous indictment. As a corollary argument, Hill contends that the district court also erred by increasing his criminal history category under section 4Al.l(e), which provides for a two-point increase in a defendant’s criminal history score if the defendant committed the offense of conviction (including any relevant conduct) less than two years after release from imprisonment on a sentence of at least sixty days. See U.S.S.G. § 4A1.1(e), application note 5. Since the district court’s finding was premised on the date of the relevant conduct, Hill argues that if we hold that the relevant conduct decision was erroneous, we must also hold that the district court erred by increasing Hill’s criminal history score under section 4Al.l(e).
Hill also appeals the district court’s decision to enhance his sentence for possession of a firearm pursuant to section 2D1.1 and for obstruction of justice pursuant to section 3C1.1. In addition, Hill claims that the district court erred by refusing to reduce his offense level for acceptance of responsibility pursuant to section 3E1.1 or grant his request for a downward departure pursuant to section 4A1.3. Finally, Hill challenges the district court’s factual finding regarding the weight of the cocaine base and the constitutionality of the sentencing regime under 21 U.S.C. § 841(b), which apportions the penalty for an offense involving one gram of cocaine base as if it were one hundred grams of cocaine powder.
Because we agree with Hill that the district court’s “relevant conduct” finding and concomitant increase in Hill’s criminal history category are erroneous, we VACATE Hill’s sentence and REMAND for resentenc-ing. Finding Hill’s remaining assignments of error to be without merit, we AFFIRM the district court’s decision in all other respects.
I. BACKGROUND
A grand jury indicted Hill for drug-related offenses committed on or about May 18, 1993. Counts one and two charged Hill with possession with intent to distribute approximately 20.8 grams of cocaine base (commonly known as “crack”) and 52.9 grams of cocaine, respectively, in violation of 21 U.S.C. § 841(a)(1). Count three charged Hill with possession of a firearm in violation of 18 U.S.C. § 922(g).
Pursuant to a written plea agreement, Hill pleaded guilty to counts one and three, and the government agreed to dismiss count two of the indictment. The government also agreed to dismiss its appeal of the district court’s grant of Hill’s motion to suppress in a 1991 case in which Hill had been indicted for possession with intent to distribute approximately 75.4 grams of cocaine base. Nonetheless, the district court included the quantity of cocaine base from the 1991 case as “relevant conduct” in determining Hill’s sentence in the instant case.
II. ANALYSIS
A. Relevant Conduct Under U.S.S.G. § 1B1.3
Hill argues that the district court erred by including 75.4 grams of cocaine base charged in the 1991 indictment as “relevant conduct” under section 1B1.3 of the Sentencing Guidelines because he claims that the 1991 drug transaction and the 1993 conviction were isolated incidents with no common victim, accomplice, purpose, or modus operandi. Therefore, Hill challenges the district court’s finding that since both offenses involved possession with intent to distribute cocaine base, the 1991 transaction constitutes “relevant conduct.”
The government asks this court to infer that Hill made his living as a crack dealer because he had a prior conviction for selling crack cocaine in December 1988 and he has not had legitimate employment since 1981. But the government did not introduce evidence at the sentencing hearing to support a *1481 finding that Hill sold crack regularly, and the district court made no such finding. Therefore, this court will not presume that Hill made his living as a crack dealer during his period of unemployment. Rather, we analyze the relevant conduct issue as two instances, approximately nineteen months apart, of possession with intent to distribute cocaine base.
When reviewing a district court’s sentencing decisions, this court will disturb the underlying factual findings only if they are clearly erroneous. 18 U.S.C. § 3742(e);
United States v. Hamilton,
At the outset we recognize the apparent unfairness in the district court’s relevant conduct determination, which effectively nullifies Hill’s plea agreement by imposing the same sentence Hill would have received had he not struck a deal with the government to abandon the appeal of the grant of his motion to suppress in the 1991 case. At least with respect to his period of imprisonment, Hill could not have done worse by awaiting the outcome of the government’s appeal.
1
But Hill acknowledges that it is well settled in this circuit that conduct forming the basis for counts dismissed pursuant to a plea agreement may be considered in determining a defendant’s base offense level under the Sentencing Guidelines.
See, e.g.,
U.S.S.G. § 1B1.3, background (“Conduct that is not formally charged or is not an element of the offense of conviction may enter into the determination of the applicable guideline sentencing range.”);
Partington,
The 1991 drug transaction may be included in Hill’s offense level as “relevant conduct” only if it is “part of the same course of conduct or common scheme or plan as the offense of conviction.” U.S.S.G. § 1B1.3(a)(2). To qualify as part of a “common scheme or plan” under the “relevant conduct” guideline, the offenses “must be substantially connected to each other by at least one common factor, such as common victims, common accomplices, common purpose, or similar modus operandi.” U.S.S.G. § 1B1.3, application note 9(A). If offenses do not qualify as part of a common scheme or plan, offenses are nonetheless considered the “same course of conduct” if “they are sufficiently connected or related to each other as to warrant the conclusion that they are part of a single episode, spree, or ongoing series of offenses.” U.S.S.G. § 1B1.3, application note 9(B). 2 The three factors relevant to *1482 determining whether offenses are sufficiently-related to constitute the “same course of conduct” include “the degree of similarity of the offenses, the regularity (repetitions) of the offenses, and the time interval between the offenses.” Id. The commentary requires courts to balance these factors such that “when one of [these] factors is absent, a stronger presence of at least one of the other factors is required.” Id. In an apropos illustration of this sliding scale approach, the commentary explains that “where the conduct alleged to be relevant is relatively remote to the offense of conviction, a stronger showing of similarity or regularity is necessary to compensate for the absence of temporal proximity.” Id. Furthermore, the “nature of the offenses” may also be considered to the extent pertinent to the court’s analysis of the three factors. Id. (citing as an example the failure to file a tax return for three consecutive years because such returns are only required at yearly intervals).
Section lB1.3(a)(2) applies only to “offenses of a character for which § 3D1.2(d) would require grouping of multiple counts.” Section 3D1.2(d) requires “grouping” of “counts involving substantially the same harm,” which includes drug offenses because the offense level for drug offenses is based largely on the quantity of the substance involved.
See
U.S.S.G. § 3D1.2(d) (explicitly including section 2D1.1, which covers drug trafficking, among the guideline sections to be grouped). By design, Section lB1.3(a)(2) takes account of offenses that “involve a pattern of misconduct that cannot readily be broken into discrete, identifiable units that are meaningful for purposes of sentencing.” U.S.S.G. § 1B1.3, background. Implicit in this purpose is the limitation that “when illegal conduct does exist in ‘discrete, identifiable units’ apart from the offense of conviction, the Guidelines anticipate a separate charge for such conduct.”
United States v. Hahn,
Several circuit courts have distinguished between the terms “same course of conduct” and “common scheme or plan” by recognizing that a “common scheme or plan” requires that acts “be connected together by common participants or by an overall scheme” whereas the “same course of conduct” concept looks to “whether the defendant repeats the same type of criminal activity over time.”
United States v. Silkowski,
We agree that the terms “same course of conduct” and “common scheme or plan” do not mean exactly the same thing. It is a basic principle of statutory construc
*1483
tion that terms joined by the disjunctive “or” must have different meanings because otherwise the statute or provision would be redundant.
See United States v. Lawrence,
When considering the similarity factor, the conduct should not be considered at a level of generality that would render worthless the relevant conduct analysis. In
United States v. Maxwell,
We also recognize that a lapse of time between prior conduct and the .offense of conviction does not necessarily indicate that a defendant abandoned a particular course of conduct; rather, such a lapse may result when participants are forced to put the venture “on hold.”
United States v. Cedano-Rojas,
In reviewing whether prior offenses constitute part of a “common scheme or plan” or the “same course of conduct” as the offense of conviction, the Sixth Circuit has never articulated a precise time bar after which conduct becomes irrelevant for sentencing purposes. In
United States v. Kappes,
Other circuits have also found that the Sentencing Guidelines impose no precise amount of time after which prior conduct is too remote to be considered “relevant conduct” under section 1B1.3. For example, in
United States v. Santiago,
Although there is no bright-line rule defining what constitutes “the same course of conduct or common scheme or plan as the offense of conviction,” the guidelines prescribe a sliding scale approach, i.e., where one of the factors is weak or absent, there must be a substantially stronger showing of at least one other factor.
See Hahn,
Generally, where two isolated drug transactions are separated by more than one year, a “relevant conduct” finding may not be premised on the sole similarity that both transactions involved the same type of drug. Analyzing the factors in the instant case, we find that temporal proximity is extremely weak in that nineteen months is an exceedingly long lapse between offenses. Regularity is completely absent here, for the government proved only one prior offense. Therefore, the government was required to compensate for the weakness of the temporal and regularity factors by presenting substantially stronger proof of similarity. The government failed to do so. Not only is the type of drug the only similarity between the two drug transactions, but the quantities involved in each deal differ substantially. The 1991 offense involved 75.4 grams of cocaine base whereas the offense of conviction involved only 20.8 grams of the same substance. Moreover, the offense of conviction involved a combination of crack and powder cocaine and possession of a firearm, which were not present in the 1991 offense. In addition, the government has not argued that the two transactions occurred in the *1485 same location, or involved the same supplier, buyer, or other participants. Nor has the government suggested any reason to explain the lapse between the first transaction and the second, except to imply that Hill must have been selling drugs to support himself during this period and simply did not get caught. We rejected that implication above, because the government pointed to no evi-dentiary support. Accordingly, we hold that because the prior conduct consisted of one drug transaction that occurred more than a year before the offense of conviction and because the only similarity between the two offenses is that both involved possession with intent to distribute cocaine base, the district court erred by finding that the 1991 drug transaction constitutes “relevant conduct.” 3
B. Criminal History Score Increase Under U.S.S.G. § 4Al.l(e)
Since the district court erred by including the 1991 drug transaction as “relevant conduct,” the district court’s finding that the instant offense occurred within two years of Hill’s parole in July 1990, a finding that is premised on the relevant conduct finding, is also erroneous. Section 4Al.l(e) of the Sentencing Guidelines provides for a two-point increase to a defendant’s criminal history score “if the defendant committed the instant offense less than two years after release from imprisonment on a sentence” of at least sixty days. The points are to be added if “the defendant committed any part of the instant offense (ie., any relevant conduct) less than two years following release from confinement on a sentence counted under § 4Al.l(a) or (b).” U.S.S.G. § 4Al.l(a), application note 5. Thus, the district court increased Hill’s criminal history score pursuant to section 4A1.1 because it found that Hill’s 1991 drug transaction constituted “relevant conduct.” In light of our holding on the relevant conduct issue, the increase under section 4A1.1 is not warranted because Hill committed the instant offense on or about May 18, 1993, which is more than two years after his July 1990 parole date.
C. Enhancement for Possession of a Firearm Under U.S.S.G. § 2D1.1
Hill also argues that the district court erred by enhancing his offense level for possession of a firearm under section 2D1.1(b)(1) of the Sentencing Guidelines, which provides for a two-level increase in a drug trafficking offense “[i]f a dangerous weapon (including a firearm) was possessed.” This enhancement applies
if the weapon was present, unless it is clearly improbable that the weapon was connected with the offense. For example, the enhancement would not be applied if the defendant, arrested at his residence, had an unloaded hunting rifle in the closet.
U.S.S.G. § 2D1.1, application note 3. To apply the enhancement under section 2D1.1(b)(1), the- government must establish that (1) the defendant actually or constructively “possessed” the weapon, and (2) such possession was during the commission of the offense.
United States v. Sanchez,
When Hill was arrested, officers found drugs in the bathroom and a semiautomatic pistol in the top drawer of a dresser in the master bedroom along with three magazines and approximately fifteen live rounds. However, Hill argues that the enhancement for possession of a firearm should not apply because his girlfriend, Wanda Carruthers, with whom Hill lived, testified that someone else owned the gun and that Carruthers kept it in the apartment for her
*1486
protection. Hill cited
United States v. Peters,
In contrast, it is the defendant who appeals the district court’s decision to apply the firearm enhancement in the instant case, and the defendant pleaded guilty to a charge of knowingly possessing a firearm as a felon under 18 U.S.C. § 922(g). The district court found that it was “not clearly improbable that the weapon was connected with the- offense” because even if the gun was in the house for Carruthers’s protection, the gun could be jointly possessed and was located in a residence to which Hill had full access and where drugs were found.
See, e.g., United States v. Calhoun,
D. Obstruction of Justice Under U.S.S.G. § 3C1.1
The district court increased Hill’s sentence for obstruction of justice because Hill missed a court appearance, and after the court issued a warrant, Hill “tried to hide from the arresting officers.” Section 3C1.1 of the Sentencing Guidelines provides that the defendant’s offense level should be increased by two levels “[i]f the defendant willfully obstructed or impeded ... the administration of justice during the investigation, prosecution, or sentencing of the instant offense.” The application notes to section 3C1.1 include among the examples of the types of conduct warranting this enhancement “willfully failing to appear, as ordered, for a judicial proceeding.” U.S.S.G. § 3C1.1, application note 3(e). Hill attempted to explain his failure to appear in court when he testified at the sentencing hearing, but the district court found his behavior inexcusable because “[h]e was arrested in a circumstance where he was attempting not to be found.” (J.A. at 132.) We cannot say that this finding was clearly erroneous.
*1487 E. Acceptance of Responsibility Under U.S.S.G. § 3E1.1
The district court refused to reduce Hill’s offense level for acceptance of responsibility pursuant to section 3E1.1 of the Sentencing Guidelines because it found that Hill “committed a federal offense while on bond from another federal offense, and he attempted to obstruct justice by failing to appear for the scheduled hearing.” The defendant bears the burden of demonstrating acceptance of responsibility.
United States v. Mahaffey,
Section 3El.l(a) allows a court to reduce a defendant’s sentence if he “clearly demonstrates acceptance of responsibility for his offense.” A “defendant who enters a guilty plea is not entitled to an adjustment under this section as a matter of right.” U.S.S.G. § 3E1.1, application note 3. Moreover, although it is not dispositive, “[cjonduct resulting in an enhancement under § 3C1.1 ... ordinarily indicates that the defendant has not accepted responsibility for his criminal conduct.” U.S.S.G. § 3E1.1, application note 4.
Hill argues that if we hold that the district court erred by enhancing his sentence for obstructing justice under U.S.S.G. § 3C1.1, we must also hold that the district court’s ruling on acceptance of responsibility is clearly erroneous. Because the obstruction of justice enhancement was not clearly erroneous, we reject Hill’s argument. We hold that the district court did not clearly err by refusing to reduce Hill’s sentence for acceptance of responsibility.
F. Downward Departure Under U.S.S.G. § 4A1.3
Hill further claims that the district court erred by refusing to find pursuant to section 4A1.3 of the Sentencing Guidelines that Hill’s criminal history category over-represents the seriousness of his criminal history or the likelihood that he will commit further crimes. “A district court’s failure to depart from the Guidelines range is not cognizable on appeal under 18 U.S.C. § 3742(a) when the district court properly computes the Guidelines range, imposes a sentence that is not illegal or did not result from an incorrect application of the Guidelines range, and is not unaware that it had discretion to depart from the Guidelines range.”
United States v. Brannon,
G.Weight of the Cocaine Base
Hill argues that the district court committed clear error by finding that the cocaine at issue weighed 20.8 grams. When the government’s chemist initially weighed the cocaine base relating to count one, it weighed 20.8 grams. Subsequently, at the request of Hill’s attorney, another chemist reweighed the same cocaine base and found it weighed 18.6 grams. The chemist who performed the second weighing testified at the sentencing hearing that 0.8 grams of the cocaine base had been removed as a sample for testing purposes and that the atmospheric conditions in the laboratory where the cocaine base was stored likely caused it to decrease in weight.
*1488
The government bears the burden of proving, by a preponderance of the evidence, the weight of any drugs for sentencing purposes.
United States v. Clemons,
H. Constitutionality of the Distinction Between Cocaine Base and Powder Cocaine for Sentencing Purposes under 21 U.S.C. § 841(b)
Hill challenges the constitutionality of the sentencing regime under 21 U.S.C. § 841(b), which provides that an offense involving one gram of cocaine base carries the same penalty as an offense involving one hundred grams of cocaine powder. He claims that the one hundred to one ratio violates the Eighth Amendment prohibition against cruel and unusual punishment and the Fifth Amendment guarantee of equal protection because it disproportionately discriminates on the basis of race. We review de novo a defendant’s challenge to his or her sentence on constitutional grounds.
United States v. Lloyd,
Hill’s constitutional challenge is barred by controlling Sixth Circuit precedent.
6
This circuit has repeatedly found that the challenged provision of section 841(b) does not violate equal protection guarantees under the Fifth Amendment.
E.g., United States v. Lloyd,
III. CONCLUSION
Accordingly, we VACATE Hill’s sentence because we hold that the district court erred by including Hill’s 1991 drug transaction as “relevant conduct” pursuant to section 3B1.1 and by increasing Hill’s criminal history category pursuant to section 4A1.1. Therefore, we REMAND for resentencing with respect to these issues but AFFIRM the district court’s decision in all other respects.
Notes
. On the other hand, even if the government had lost its appeal on the motion to suppress, the conduct at issue in the previous indictment could arguably have been included in Hill’s offense level anyway because under Sixth Circuit precedent suppressed evidence may be considered relevant conduct.
United States v. Jenkins, 4
F.3d 1338, 1344-45 (6th Cir.1993),
cert. denied,
- U.S. -,
. Application note 9(B) was amended in the 1994 Sentencing Guidelines. The probation officer used the 1993 Sentencing Guidelines to compute Hill's sentence because his sentencing hearing began in October 1994, before the 1994 guidelines became effective. Since the district court continued Hill’s sentencing hearing until January 1995 at the request of both parties, the 1994 Sentencing Guidelines apply because they were in effect at the time Hill's sentence was imposed.
*1482
ts U.S.C. § 3553(a)(4);
United States v. Cseplo,
. Because we hold that the 1991 offense is not relevant conduct, we need not address Hill's contention that the government did not prove the allegations in the 1991 indictment by a preponderance of the evidence.
. An acquittal under section 924(c) does not preclude the district court from applying the enhancement under U.S.S.G. § 2D1.1(b)(1) because the substantive standard and the burden of proof at sentencing differ.
See, e.g., Bailey v. United
States, - U.S. -, -,
. Contrast
United States v. Zimmer,
. Hill cites two district court decisions as "persuasive authority" to support his argument that section 841(b) is unconstitutional.
See United States v. Davis,
. We note that the Supreme Court has granted certiorari in a Ninth Circuit case involving an equal protection challenge to section 841(b).
See United States
v.
Armstrong,
