OPINION & ORDER
This matter comes before the Court on the Government’s notice of proposed trial groupings and Defendants’ motions to sever due to an alleged misjoinder under Federal Rule of Criminal Procedure 8(b) or prejudicial joinder under Rule 14.
I. BACKGROUND
On June 23, 2014, a federal grand jury returned a twenty-five count Indictment in Casé Number 2:14-er-127, charging seventeen defendants with a number of violations under federal law connected to the defendants’ alleged involvement in the Short North Posse, an alleged criminal organization in the Short North area of Columbus, Ohio. (Doc. 14). The first count in the Indictment alleged the existence of a RICO conspiracy from 2005 until 2014, in which the enterprise, the Short North Posse, committed murder, attempted murder and robbery, distributed and possessed with the 'intent to distribute controlled substances, tampered with witnesses, and committed acts of extortion, robbery, and retaliation against witnesses. The remaining counts, included eleven counts of murder in aid of racketeering, one count of murder through the use of a firearm during and in relation to a crime of violence, four counts of murder
On October 20, 2014, the grand jury returned a Superseding Indictment adding three new defendants and thirteen counts, bringing the total to twenty defendants and thirty-eight counts. (Doc. 300). These thirteen new counts included one count of attempted possession with intent to distribute cocaine, five counts of use of . a firearm during and in relation to a drug trafficking crime, murder in aid of racketeering, four counts of possession with the intent to distribute marijuana, one count of attempted possession with intent to distribute marijuana, and one count of witness tampering. The three new defendants were Andre M. Brown, Johnathan Holt, and Christopher V. Wharton.
On April 2, 2015, the grand jury returned another Indictment that was later assigned as a separate case—Case Number 2:15-cr-080. The 2015 Indictment named four defendants (Robert B. Ledbet-ter, Christopher A. Harris, Rashad A. Liston, and Deounte Ussury), all of whom were charged previously in the Superseding Indictment in Case Number 2:14-cr-127. The 2015 Indictment also included two new counts: one for murder in aid of racketeering and one for murder through the use of a firearm during and in relation to a drug trafficking crime—both related to the murder of Marschell Brumfield, Jr. in 2007. Due to the similarity of the charges in both cases and the fact that all four defendants also were charged in Count One of the- Superseding Indictment for their role in the RICO conspiracy, this Court joined Case Number 2:15-cr-080 with Case Number 2:14-cr-127 under Federal Rule of Criminal Procedure 13. (Doc. 595).
In total, fourteen defendants are charged in the RICO cónspiracy count, which includes 112 overt acts allegedly committed in furtherance of the conspiracy. The Government, moreover, has reserved.the right to adduce evidence of any overt act about which it has evidence, regardless of whether the Superseding Indictment specifically identifies that overt act. The six defendants who do not face the conspiracy charge are all charged with at least one count of murder in aid of racketeering relating to their membership and/or association with the. Short North Posse,' among other charges. Under the Superseding Indictment in Case Number 2:14-cr-127 and the 2015 Indictment in Case Number 2:15-cr-080, the defendants collectively face a 'total of forty counts. Although fourteen defendants initially faced a potential capital prosecution, the Government has informed the Court and the defendants of its intent not to seek the death penalty for any of the defendants. (Doc. 563).
Due to the complexity of this case, soci-' ety’s need for speedy and efficient trials, and the defendants’ interest in fair and accurate results, the Court requested that the Government propose a multi-trial plan for these proceedings. (See Doc. 531). Consistent with that request, the Government proposed splitting the defendants into three separate groupings “based primarily on commonality of evidence and by grouping the defendants with all of their co-defendants in each of the charged murders.” (Doc. 639). Under the Government’s proposal, each trial would include Count One (the overarching RICO conspiracy charge), at least two murder counts, and
A. Trial I—April 4, 2016
The first trial would center on the RICO conspiracy charge (Count One), as well as the murders of, Alan Johnson (Count Four), Donathan Moon (Counts Five and Six), Marcus Peters (Counts Seven and Eight), Rodriccos Williams (Counts Nine and Ten), Dante Hill (Count Eleven), Ty-rell Davis (Counts Fifteen and Sixteen), Crystal Fyffe (Counts Twenty-Nine, Thirty, and Thirty-One), and Marschell Brum-field, Jr. (2015 Indictment, Counts One and'Two). (Id.). The first trial thus would involve the following eight defendants, whom the Government deems “most likely to be going to trial” in light of ongoing plea negotiations: Robert B. Ledbetter, Christopher A. Harris, Robert L. Wilson III, Rashad A. Liston, Deounte Ussury, Rastaman A. Wilson, Clifford L. Robinson, and Troy A. Patterson.
B.Trial II—July 11, 2016 (Tentative)
The second trial likewise would center on the RICO conspiracy charge (Count One), as well as the murders of Shaniqua Hester (Count Two) and Michael Teague (Count Three). (Doc. 639), The second trial would involve the following five defendants: Lance A. Green, Allen L. Wright, Tysin L. Gordon, Thomas E. Coates, and Freddie K. Johnson, all of whom face the RICO conspiracy count. (Id.). The second trial also would include two felon-in-possession counts applicable only to Johnson (Counts Thirty-Two and Thirty-Three). (Id.).
C. Trial III—September 26, 2016 (Tentative)
Finally, the third trial would center on the RICO conspiracy charge (Count One), as well as the' murders of Ella Palmer (Count Twelve), Shane McCuen (Counts Thirteen and Fourteen), and Quincy Battle (Counts Nineteen and Twenty). (Id.). The third trial would involve the remaining seven defendants: Ishmael Bowers, Joseph Hill, DeShawn Smith, Lance Reynolds, Andre M., Brown, Jonathan Holt, and Christopher V. Warton.
II. STANDARD OF REVIEW
Together, Federal Rules of Criminal Procedure 8(b) and 14(a) govern the joinder and severance of defendants for trial. Rule 8(b) provides that an indictment may charge two or more defendants together “if they are alleged to have participated in the same act or transaction, or in the same series of acts or transactions, constituting an offense.” Fed. R. Crim. P. 8(b). Joinder of a group of acts or transactions is proper when they are “logically interrelated” or form “part of a common scheme or plan.” United States v. Beverly,
Generally, “persons indicted together should be tried together.” United States v. Harris,
Rule 14, in turn, “comes into play only if joinder was initially proper under Rule 8 but a joint trial would prejudice one or more defendants.” Id. at 1215. Under Rule 14, “the court may order separate trials of counts, sever the defendants’ trials, or provide any othér relief that justice requires” if it appears that a joint trial will prejudice the defendants. Fed. R. Crim. P. 14(a). Ordinary prejudice inherent in any joint trial does not, however, require sev
Indeed, both before and especially after Zafiro, courts have refused to grant severance on the grounds that: (1) “a defendant might have a better chance for acquittal if tried separately”; (2) “the co-defendants had different levels of culpability than the defendant seeking severance”; (3) “the other defendants had a criminal record”; (4) “there might be hostility or a conflict of interest between the defendants”; or (5) “evidence may be admissible against one defendant but not against others.” 1A Charles Alan Wright et al., Federal Practice and Procedure, § 223 (4th ed. 2015) (collecting cases); United States v. Gardiner,
III. ANALYSIS
Defendants argue that the indictments in this case constitute a misjoinder under Rule 8(b). Defendants further argue that standing trial together—even in three separate trials, as the Government has proposed—would result in undue prejudice under Rule 14(a). Defendants therefore request severance and individual trials or, in some instances, a more limited severance only from particular co-defendants. Given the number of motions, the considerable overlap between Defendants’ arguments, and the fact that proper joinder under Rule 8(a) “is determined by the allegations on the face of the indictment,” see Deitz,
A. Joinder Was Proper Under Rule 8(b).
Seven of the defendants filed motions arguing that joinder was improper Under Rule 8(b) and that the Court should sever them from their co-defendants for the purposes of trial.
Rule 8(b) authorizes joinder of each trial grouping. The Superseding Indictment and the 2015 Indictment allege that Defendants participated in the same series of
Put simply, all of the criminal activity alleged in the indictments stands “logically interrelated” or as “part of a common scheme or plan,” see Beverly,
Defendants counter that joinder was improper because they were not all charged with the exact same offenses or, alternatively, because they were not all charged with RICO conspiracy. Defendants are wrong twice over. Contrary to Defendants’ first assertion, Rule 8(b) permits joinder even though some defendants may not have participated in every act charged in the indictments. See Fed. R. Crim. P. 8(b) (“All defendants need not be charged in each count.”); Kelley,
Moreover, joinder remains proper even though six defendants were not charged with RICO conspiracy, because those defendants were charged with murder in aid of racketeering under 18 U.S.C. § 1959—“criminal conduct [that] stems from the' same series of acts or transactions constituting [the RICO] offense.” See United States v. Neace, No, 07-20400,
For example, in Neace, the court found joinder proper for members of the American Outlaws Association (“AOA”) and a prospective member who allegedly committed acts of violence to gain entry into the AOA, even though he was not charged in the overarching conspiracy. See Neace,
The same logic applies here. The murder counts that Bowers, Wilson, Robinson, and Patterson (who were not charged in Count One) face are all alleged as overt acts taken in furtherance of the commonly charged RICO conspiracy.
Apart from finding no support in the text of Rule 8(b) or the cases interpreting it,' Defendants’ requests for severance would create significant inefficiencies for the Court and other trial participants, including juries and witnesses. See Caver,
B. Defendants Have-Not Established That Severance Is Required Under Rule 14(a).
Twelve of the defendants argue that, even if they were properly joined under Rule 8(b), the Court nevertheless should order severance under Rule 14(a) due to the potential prejudice of standing trial together.
1. “Spillover” Evidence
Defendants’ primary severance argument—framed in slightly different terms in the pending motions—centers on the alleged disparity in the quantity and quality of evidence likely to be presented at trial. Defendants contend that this potential for prejudicial “spillover” evidence from their co-defendants’ charges warrants severance. In essence, Defendants argue that the jury might convict them not on the basis of the evidence unique to each defendant, but, rather, by imputing guilt to all based on the conduct of, and evidence against, their co-defendants. {See, e.g., Doc. 641 (complaining of the “prejudicial evidentiary spillover” that allegedly will flow from “[t]he number and severity of the charges against Robinson’s co-defendants”); Doc. 666 (“[T]he number and severity of the charges against Mr. Harris’s co-defendants will, without question, create prejudicial evidentiary spillover.”); Doc. 669 (“[Severance- is appropriate to avoid the'spillover prejudice resulting from the duration and severity of [Coates’s] co-defendants’ charges.”)).
To be sure, the Supreme Court has acknowledged that juries might n.ot be able to form a reliable judgment about guilt or innocence “when evidence that the jury should not consider against a defendant and that would not be admissible if a defendant. were tried alone is admitted against a codefendant.” See Zafiro,
The Sixth Circuit repeatedly has rejected the same argument that Defendants make here by finding that a likely dispari
Defendants overlook this line of cases and the Sixth Circuit’s view that “disparity of evidence is generally not enouigh to cause the granting of a separate trial.” Harris,
While recognizing that “the existence of a ‘spill-over’ or ‘guilt transference’ effect turns in part on whether the number' of conspiracies' and conspirators,' involved [are] too great for the jury to give each defendant the separate and individual consideration of the evidence... to which he is entitled,” the Sixth Circuit has rejected severance arguments based on even greater numbers of defendants and charges. United States v. Gallo,
True enough, the number of defendants and counts may not tell the whole story in terms of potential prejudice from “spillover” evidence. See Gallo,
Setting aside the allegations and whether Defendants, in fact, possess different criminal culpability, Defendants’ alternative argument fails for an independent reason:
Defendants here, as in most RICO cases, were alleged'to have committed different predicate crimes. But in a trial on RICO charges, a particular defendant may be the victim of spillover testimony regarding other, more violent or heinous, predicate crimes. This can happen because the specific purpose of the substantive provisions of RICO is to tie together diverse parties and crimes. Under RICO, it is irrelevant that each defendant participated in the enterprise’s affairs through different and unrelated crimes. Lee Stoller Enterprises, 652 F.2d at 1319 (emphasis added) (affirming denial of severance).
The same holds true in non-RICO cases as well; the possibility that a defendant may suffer some disadvantage from being tried with individuals who are more culpable or who more frequently engaged in other criminal activity does not, standing alone, justify separate trials. See Caver,
In sum, and with a keen eye on the fact that “juries are presumed capable of following instructions regarding the sorting of evidence and the separate consideration of multiple defendants,” United States v. Mays,
2. “Mega-trials”
Defendants next argue that so-called “mega-trials”—those involving “large cases with numerous defendants and evidence spanning a lengthy period of time”—require severance. (See, e.g., Doc. 666, 667, and 672). Defendants look to support from a decision from the Ninth Circuit. See United States v. Baker,
Defendants miss three key points. First, in Baker, the Ninth Circuit affirmed the district court’s denial of motions for sever-
Second; Defendants’ motions for severance fail even under the non-binding “standards” proposed in Baker, because none of the trials contemplated here qualifies as a “mega-trial” warranting special consideration. See id. at 1392 (adopting Second Circuit’s recommendations that “the judge should require the prosecution to justify its conclusion that a joint trial serves the ends of justice” when the estimated length of trial “exceeds four months” and should make an “especially compelling” showing for trials that involve “more than ten defendants”). Here, the Government ■ estimates the longest trial will last, at most, twelve weeks and will involve a total of seven defendants. (Doc. 639), Thus, Baker is inapposite. See Baker,
Third, and most importantly, the Sixth Circuit has declined to adopt the presumption against “mega-trials” that the Baker Court embraced and that Defendants now propose. United States v. Tocco,
None of this is to suggest that large, complex, and potentially lengthy trials do not deserve a closer look upon a motion for severance. The Ninth Circuit’s concerns over the prejudice that may result from so-called “mega-trials” ring true in the abstract. Trial participants of every kind may suffer fatigue, become overwhelmed, and make mistakes in the course of such a trial—some mistakes too fundamental to ignore. See Baker,
3. Mutually Antagonistic Defenses
Five defendants argue that severance is necessary because of the likelihood of mutually antagonistic defenses at trial.
Mutually antagonistic defenses typically arise “when one person’s claim of innocence is predicated solely on the guilt of a co-defendant,” Harris,
Defendants come up short under these standards. Green, Wright, and Johnson refer to the possibility of antagonistic defenses only, in the most general terms. (Doc. 667 (“[A] joint trial will prejudice Mr. Green because of the likelihood of mutually antagonistic defenses.”); Doc. 670 (“There is a strong probability that each defendant wfll present defenses that are in direct opposition to the other.... [C]ounsel anticipates each defendant will present defenses such that the acceptance of one party’s assertion precludes or compromises the acquittal of another.”); Doc. 672 (“[A] joint trial on all counts will prejudice Mr. Johnson because of the likelihood of mutually antagonistic defenses.”)). This is precisely the sort of generalized speculation that the Supreme Court found lacking in Zafiro.
Holt at least describes how mutually antagonistic defenses might arise at trial. (Doc. 436 (“[Holt] believes that the Government intends to Elicit evidence at trial that there may have been more than one shooter involved in the murder of Quincy Battle. Defendant has maintained that he was not the shooter, as have the other defendants____These defenses are antagonistic.”)). But Holt does nothing to show how these defenses might-confuse or mis
Harris, in turn, contends' that “[u]pon information and belief,” he “anticipates” that one of his' co-defendants, Robert B. Ledbetter, will defend against Count Four for the murder of Alan Johnson by blaming Harris for the victim’s death. (Doc. 666). The Government has not charged Harris with Johnson’s murder. (See Doc. 300 (charging only Ledbetter with Johnson’s murder)). Harris therefore maintains that he “will have to combat not only the Government’s allegations, but also the allegations made by Mr. Ledbetter”' regarding “a fifth murder on top of the four already accused by the Government.” (Doc. 666). Harris, however, similarly fails to show how Ledbetter’s anticipate defense might confuse or mislead the jury, as required to obtain severance. See Vinson,
Finally, none of the defendants has shown that “less drastic measures, such as limiting instructions,” will fail to cure any potential risk of prejudice. See Zafiro,
4. Confrontation Clause Issues
Finally, eight of the defendants argue that .severance is required to avoid running afoul of the Confrontation Clause of the Sixth Amendment.
In Bruton, the Supreme Court held that an out-of-court confession made by one defendant that implicates another defendant cannot be introduced in a joint trial where the declarant does not take the stand.
In Crawford, the Supreme Court clarified the scope of the Confrontation Clause and held that it presents an absolute bar to the admission of out-of-court “testimonial statements” unless the person making the statement was (or now is) subject to cross-examination.
The implications of Crawford for the Bruton rule are two-fold. First, if a defendant’s out-of-court statement inculpating a co-defendant is not testimonial, then Bruton does not apply. Pugh,
Harris moves for severance due to potential Confrontation Clause violations without identifying a single out-of-court statement from any co-defendant that might incriminate him. (Doc. 666 (“[S]hould the Government or any defendant seek to introduce any out-of-court inculpatory statements uttered by any of the Co-Defendants, the admission of these statements would violate Mr. Harris’s constitutional right to confrontation....”)). Harris cannot, however, obtain severance merely because he sees unconstitutional shadows lurking behind every comer. See United States v. Saadey,
b. Robert L. Wilson III and Clifford L. Robinson (Trial I)
Wilson III moves for severance under Bruton and Crawford due, in part, to out-of-court statements from Lance Green and Troy Patterson. (Doc. 562). His arguments are misplaced with respect to Green and Patterson because he is not slated to stand trial with either defendant. Green is scheduled to stand trial in Trial II, and Patterson has signed a plea agreement, presumably removing him from the first trial grouping. (Doc. 639). Accordingly, Wilson Ill’s severance argument is moot with respect to those two co-defendants.
Wilson III and Robinson both contend that they should not stand trial together with co-defendant Rastaman Wilson due to a tape-recorded conversation that the latter had with a confidential informant in April 2012. (See Docs. 225, 393, and 562). Wilson III and Robinson believe that this conversation incriminates them in the charged RICO conspiracy.
Defendants’ arguments fail, however, because Rastaman Wilson’s conversation with the confidential informant does not qualify as a “testimonial” statement under Crawford and its progeny. Thus, his conversation does not implicate the Confrontation Clause. In Crawford, the Supreme Court held that the Confrontation Clause presents an absolute bar to the admission of out-of-court “testimonial statements” unless the person making the statement was (or now is) subject to cross-examination.
Where, as here, the declarant makes unwitting statements to a confidential informant, those statements are not “testimonial” within the meaning of Crawford’s Confrontation Clause rubric. Johnson,
Moreover, even if Rastaman Wilson’s conversation with the confidential informant somehow qualified as a “testimonial” statement under Cra/ivford and its progeny, Wilson III and Robinson still fail to demonstrate a Bruton violation requiring severance. For one thing, it is not clear whether Rastaman Wilson intends to testify at trial. If Wilson does take the stand and is subject to cross-examination, the admission of his statements to the confidential informant poses no Sixth Amendment problem under Bruton. See Richardson,
c. Lance A, Green, Allen L. Wright, Thomas E. Coates, and Freddie K. Johnson (Trial II)
Green, Wright, Coates, and Johnson move for severance without identifying a single out-of-court statement from any co-defendant that might incriminate them. (Doc. 687 (“[S]hould the Government or any defendant seek to introduce any out-of-court statements uttered by any of the Co-Defendants, the admission of these statements would violate Mr. Green’s constitutional right to confrontation....”); Doc. 670 (“[I]nformation has been disclosed through discovery that some of these defendants have made statements implicating themselves, or made statement[s] attempting to implicate Mr. Wright. Should the Government elect to utilize these statements, and should the declarants elect not to testify, then Mr. Wright’s confrontation is irreparably compromised.”); Doc. 669 (“Should the Government or any defendant seek to introduce any out-of-court inculpatory statements uttered by any of the co-defendants, the admission of these statements would violate Mr. Coates’ constitutional right to confrontation .... ”); Doc. 672 (“[S]hould the Government or any defendant seek to in
Like Harris, these defendants cannot obtain severance without first pointing to some out-of-court statement for the Court to consider. In the absence.of such a statement, the Court cannot determine: (1) whether the statement is testimonial and, therefore, whether it implicates the Confrontation Clause; (2) ¿/'testimonial, whether the statement facially implicates a co-defendant; (3) if testimonial and facially inculpatory, whether the declarant who made the statement intends to testify at trial, thereby obviating any Confrontation Clause problems; and (4) if not, whether the Court can invoke a less drastic measure than severance to cure any potential Bruton problems. Accordingly, Defendants’ speculative arguments fall short.
d. Lance Reynolds (Trial III)
Finally, Reynolds moves for severance due to the potential admission of three out-of-court statements from his co-defendants: (1) Jonathan Holt’s pre-indictment interview with law enforcement, in which he implicated Reynolds as an accomplice in the murder of Quincy Battle; (2) Andre Brown’s proffer to law enforcement, in which he told investigators that a different co-defendant, Ishmael Bowers, admitted his personal involvement in Battle’s murder; and (3) DeShawn Smith’s statement to a potential witness who claims that Smith admitted that he shot Shane McCuen in March 2008. With respect to the third statement (Smith’s admission), Reynolds notes that the Government’s discovery disclosures contain a security camera recording of him and Smith together in a; nearby bar shortly before the McCuen shooting.
i. Johnathan Holt’s Pre-Indictment . Interview
Holt’s pre-indictment interview with law enforcement officials constitutes a “testimonial” statement within the meaning of Crawford, thereby implicating the Confrontation Clause and potential Bruton concerns. See Crawford,
ii. Andre Brown’s Proffer
Brown’s proffer to law enforcement officials likewise qualifies as a “testimonial” statement, thus potentially implicating the Bruton rule. See Crawford,
Thus, Reynolds makes an alternative argument for severance that goes something like this: (1) Ishmael Bowers might testify against him at trial; (2) if Bowers does testify against Reynolds, Reynolds anticipates cross-examining him with respect to the statements that he made to Brown regarding the Battle murder; (3) in the event Bowers denies or contradicts those statements, Reynolds will need to call Brown as an exculpatory rebuttal witness; and (4) if this highly speculative chain of events does play out, it could pose a problem if Brown, in turn, exercises his constitutional right to..remain silent, thereby eliminating his availability as an exculpatory rebuttal witness for Reynolds. (See Doc. 671). Reynolds cites United States v. DiBernardo,
The Sixth Circuit employs a “stringent test” for resolving motions to sever based on the unavailability of a co-defendant’s exculpatory testimony. Causey,
iii DeShawn Smith’s Statement
Finally, Reynolds describes a law enforcement interview of a witness who stated that co-defeñdant DeShawn Smith admitted that he shot Shane McCuen. This statement too qualifies as “testimonial” within the meaning of Crawford, thus implicating the Confrontation Clause. See Crawford,
The Bruton rule, however, does not come into play if an out-of-court statement becomes incriminating only when linked to other evidence adduced at trial. Ford,
IV. CONCLUSION
For these reasons, Defendants’ motions for severance in Case Number 2:14-cr-127 (Docs. 225, 393, 425, 436, 562, 641, 661, 664, 666, 667, 668, 669, 670, 671, and 672) and Case Number 2:15-cr-080 (Docs. 24) are DENIED. The Government’s proposed trial groupings (Doc. 639) will govern this case moving forward, with the first trial scheduled to begin on April 4, 2016.
IT IS SO ORDERED.
Notes
. The Government filed a notice of proposed trial groupings on July 31, 2015, in which the Government proposed three separate trials. (Doc. 639). Twelve defendants subsequently filed motions for severance. Allen L. Wright (Doc. 670), Deounte Ussury (Doc. 664), Thomas E. Coates (Docs. 425 and 669), Freddie K. Johnson (Doc. 672), DeShawn Smith (Doc. 668), Rastaman A. Wilson (Doc. 661), and Clifford L. Robinson (Docs. 225, 393, and 641), moved for severance under both Rule 8(b) and Rule 14. By contrast, Lance . A. Green (Doc. 667), Christopher A. Harris (Doc. 666), Robert L. Wilson III. (Doc. 562), Lance Reynolds (Doc. 671), and Jonathán Holt (Doc. 436), moved for severance solely under Rule 14. The Government opposed Defendants. motions for severance, (Docs. 468, 696, 697, and 698).
. The Government represents that Troy A. Patterson recently signed a plea agreement and thus, presumably, will not proceed to trial. (See Doc. 639).
. The Government represents that Ishmael Bowers, Joseph Hill, and Christopher V. Wharton recently signed plea agreements and thus, presumably, will not proceed to trial. (See Doc. 639).
. Wright (Doc. 670), Ussury (Doc. 664), Coates (Docs. 425 and 669); Johnson (Doc. 672), Smith (Doc. 668), Wilson (Doc, 661), and Robinson (Docs. 393 and 641), moved for severance under Rule 8(b).
. Bowers faces murder charges under Counts Thirteen and Fourteen, which correspond to Overt Act Number Fifty-Three. (Doc. 300). Wilson and Robinson face murder charges under Counts Five and Six, which correspond to Overt Act Number Forty-Five. (Id.) Patterson faces murder charges under Counts Fifteen and Sixteen, which correspond to Overt Act Number Fifty-Five, (Id.)
. Holt and Wharton face murder charges under Counts Nineteen and Twenty, which correspond. to Overt Act Number Sixty-Eight. (Id.) The remaining eight substantive offenses that Holt and Wharton face also correspond to specific overt acts alleged in the Superseding Indictment. Counts Seventeen and Eighteen correspond to Overt Act Number Sixty-Seven; Counts Twenty-Two and Twenty-Three correspond to Overt Act Number Seventy-Nine; Counts Twenty-Five and Twenty-Six correspond to Overt Act Number Eighty-Five; and Counts Twenty-Seven and Twenty-Eight correspond to Overt Act Number Ninety. (Id.)
. Green (Doc. 667), Wright (Doc. 670), Harris (Doc. 666), Wilson III (Doc. 562), Ussury (Doc. 664), Coates (Docs. 425 and 669), Johnson (Doc. 672), Smith (Doc. 668), Reynolds (Doc. 671), Wilson (Doc. 661), Robinson (Docs.. 393 and 641), and Holt (Doc. 436), moved for severance under Rule 14(a).
. Harris (Doc. 666) is slated for the first trial. Green (Doc. 667), Wright (Doc. 670), and Johnson (Doc. 672) are slated for the second trial. Holt (Doc. 431)"is slated for the third trial. (See Doc. 639).
. Green (Doc. 667), Wright (Doc. 670), Harris (Doc. 666), Wilson III (Doc. 562), Coates (Doc. 669), Johnson (Doc. 672), Reynolds (Doc. 671), and Robinson (Docs. 225 and 393), all moved for severance due to potential Confrontation Clause violations.
