At the conclusion of a bench trial, Terry Lee Margheim was convicted of five counts of an indictment, charging him with various drug- and firearm-related offenses. He was sentenced to a term of 132 months’ imprisonment. Mr. Margheim now challenges the validity of his conviction, claiming (1) that the district court failed to comply with the requirements of the Speedy Trial Act of 1974 (the “Act”), 18 U.S.C. § 3161 et seq.; and (2) that he was denied his constitutional right to a speedy trial under the Sixth Amendment. Exercising jurisdiction under 28 U.S.C. § 1291, we reject his challenges and affirm Mr. Margheim’s conviction.
I
In 2008, a special task force conducted an extensive investigation of firearms and narcotics violations in Greeley, Colorado. The fruit of that endeavor was a multicount indictment naming thirty defendants — including Mr. Margheim — in a drug-and-gun conspiracy. Mr. Margheim, a previously convicted felon (on drug charges), had attracted the task force’s attention by telling a confidential informant (“Cl”) that he had a firearm for sale. With the Cl’s assistance, Mr. Margheim sold that firearm to an undercover special agent (“SA”) of the Bureau of Alcohol, Tobacco, Firearms, and Explosives. When the task force learned that Mr. Margheim intended to trade his car for methamphetamine, it began exploring Mr. Margheim’s association with the suspected conspiracy. The task force arranged another controlled purchase at Mr. Margheim’s residence whereby on December 10, 2009, Mr. Margheim sold the undercover SA a short-barreled shotgun and methamphetamine.
Mr. Margheim was subsequently arrested. He made his initial appearance on July 14, 2010 and went to trial on May 15, 2012. Because the filings interposed between these two events are critical to the central issue on appeal — i.e., whether Mr. Margheim was deprived of his right to a speedy trial — we recite them in detail.
On July 20, 2010, the due date for all pretrial motions, Mr. Margheim moved to vacate that deadline in part because his attorney had entered her appearance that day. The government contemporaneously sought a seven-day continuance to file expert witness disclosures and, one week later, moved to have thirty-seven days excluded from speedy-trial calculations under the Act. Mr. Margheim then filed an unopposed motion wherein he argued that his case was “unusual and complex and merit[ed] ends of justice findings,” and requested a continuance of 120 days to file additional motions. R., Vol. I, at 214 (Mot., filed July 30, 2010). Under the Act, periods of time resulting from a continuance are excludable, inter alia, if the district court, either orally or in writing, “granted such continuance on the basis of his findings that the ends of justice served by taking such action outweigh the best interest of the public and the defendant in a speedy trial.” 18 U.S.C. § 3161(h)(7)(A). Based on Mr. Margheim’s request, on August 3, 2010, the district court granted *1316 such a continuance — commonly referred to as an ends-of-justice continuance — for 120 days (as he requested) and vacated the prior motions deadline.
After the government filed a superseding indictment on August 11, 2010, the codefendants collectively filed over 150 motions. For his part, on September 17, 2010, Mr. Margheim moved for discovery of co-conspirator statements, discovery of experts, and disclosure of evidence that would implicate Federal Rule of Evidence 404(b). The government received a brief continuance to facilitate its response to the glut of pending motions. On October 15, 2010, the district court held a hearing to address the defendants’ sundry filings— except for those involving Mr. Margheim, whose attorney had withdrawn from the ease on October 11, 2010. New counsel was appointed for Mr. Margheim on October 22, 2010.
On February 9, 2011, Mr. Margheim filed a motion to suppress “all evidence obtained against him as a result of [an allegedly] unreasonable and unconstitutional intrusion onto his curtilage.” R., Vol. I, at 452 (Mot. to Suppress, filed Feb. 9, 2011). The government filed a response brief on February 24, 2011, arguing that the court should deny the motion without holding a hearing. Mr. Margheim filed a pro se supplement to the motion on March 29, 2011, but the district court ordered it stricken from the record as an improper pro se pleading.
See United States v. Dunbar,
Notably, Mr. Margheim’s final codefendant entered his initial appearance on May 24, 2011. Still pending at that time was Mr. Margheim’s February 9, 2011, motion to suppress, for which he had not filed a reply brief. On November 14, 2011, the district court ordered Mr. Margheim to file a reply in support of that motion “on or before ... November 21, 2011.” Dist. Ct. Doc. 1881 (Min. Order, dated Nov. 14, 2011). Mr. Margheim instead moved to withdraw the motion to suppress on November 21, 2011. On January 11, 2012, he moved to withdraw several other pretrial motions. He also filed a pro se motion to dismiss the indictment on January 19, 2012, which was ordered stricken from the record.
With his April 2012 trial rapidly approaching, Mr. Margheim filed a counseled motion to dismiss the indictment for an alleged violation of the Act on March 30, 2012. The district court denied this motion on April 5, 2012, concluding, inter alia, that “with the usual seventy-day time period provided by the Speedy Trial Act and the 120-day ends-of-justice exclusion entered in this case, the Government has 190 days in which to try [Mr.] Margheim.” R., Vol. I, at 629 (Order, filed Apr. 5, 2012). The next day, the court granted the government’s request for an additional seven-day ends-of-justice continuance.
On April 13, 2012, Mr. Margheim filed a pro se motion to dismiss the indictment for violations of the Act as well as his Sixth Amendment right to a speedy trial. He appeared at a pretrial hearing that day wherein he received a fourteen-day ends-of-justice continuance and confirmed “aware[ness] that that time [would] be ex- *1317 eluded.” R., Vol. III, at 20 (Hr’g Tr„ dated Apr. 13, 2012). 1 Subsequently, on April 19, 2012, the district court issued a written order denying Mr. Margheim’s pro se motion to dismiss. And, on April 23, 2012, the court (1) granted Mr. Margheim’s motion to withdraw his February 2011 motion to suppress; (2) granted Mr. Margheim’s motion to withdraw other filings; and (3) allowed Mr. Margheim to file an additional pro se motion to suppress.
At a hearing on May 14, 2012, the district court heard arguments on, and then denied, Mr. Margheim’s latest pro se motion to suppress. Mr. Margheim’s bench trial commenced on May 15, 2012. He was convicted on May 16, 2012 and was sentenced to serve 132 months in prison on November 1, 2012. This appeal followed.
II
On appeal, Mr. Margheim claims violations of his statutory and Sixth Amendment speedy-trial rights. We first address his statutory arguments that: (1) the length of time between his initial appearance and the initial appearance of his final codefendant was unreasonable; (2) the number of nonexcludable days exceeded the Act’s prescribed seventy; and (3) the district court improperly double-counted the 120-day ends-of-justice continuance.
We generally review a district court’s denial of a motion to dismiss under the Act for abuse of discretion.
See United States v. Banks,
Bearing in mind that a district court’s discretion under the ends-of-justice provision has “limits and [is] subject to specific procedures,”
Zedner v. United States,
Having set forth the appropriate standards, we begin by providing some background on the Act. We then take up each *1318 of Mr. Margheim’s statutory arguments and reject them.
A
Under the Act, a federal criminal trial must begin within seventy days of the filing of the indictment or from the date of the defendant’s initial appearance, whichever occurs later. 18 U.S.C. § 3161(c)(1);
Banks,
Several “enumerated events” are excluded from the statute’s prescribed seventy-day period, thus tolling the speedy-trial clock.
Bloate v. United States,
As noted in Part I,
supra,
time is also excludable when the district court grants a continuance upon a finding that “the ends of justice served by taking such action outweigh the best interest of the public and the defendant in a speedy trial.” 18 U.S.C. § 3161(h)(7)(A);
accord Watson,
B
We first consider Mr. Margheim’s argument that the temporal gap between his initial appearance and that of his final codefendant effected an unreasonable delay. The relevant statutory provision excludes “[a]
reasonable
period of delay when the defendant is joined for trial with a codefendant as to whom the time for trial has not run and no motion for severance has been granted.” 18 U.S.C. § 3161(h)(6) (emphasis added). -The general rule is that “[a]ll defendants who are joined for trial ... fall within the speedy
*1319
trial computation of the latest codefendant.”
Henderson v. United States,
In determining whether delay attributable to a codefendant is reasonable, a court must examine all relevant circumstances. Our circuit has articulated three factors to guide district courts in this exercise: “(1) whether the defendant is free on bond, (2) whether the defendant zealously pursued a speedy trial, and (3) whether the circumstances further the purpose behind the exclusion to ‘accommodate the efficient use of prosecutorial and judicial resources in trying multiple defendants in a single trial.’”
United States v. Vogl,
Turning to the
Vogl
factors, we agree with the district court’s conclusion that the first one favors Mr. Margheim, as he was not free on bond.
2
The second factor— zealous pursuit of speedy-trial rights — requires a close look at whether a defendant sought a severance from codefendants or filed motions for continuances or dismissal during the challenged time period.
See United States v. Tranakos,
*1320 In particular, we find no merit in Mr. Margheim’s contrary contention that he “zealously” pursued a speedy trial. His assertion of the right in early 2012 (vis-avis motions to dismiss the indictment), while relevant for other purposes, has no bearing on the ten-month period of delay at issue. During that time period, Mr. Margheim filed several substantive pretrial motions which signaled his intent to maximize time allotted for discovery. He later withdrew those motions and, in an abrupt tactical reversal, went from disputing the charges to disputing whether he was properly joined to the conspiracy. See Aplt. Opening Br. at 11.
Critically, at no point did Mr. Margheim move for a severance — and this, in our view (when considered in the context of his other pretrial conduct), fatally undercuts Mr. Margheim’s argument.
See Tranakos,
Finally, we conclude that the third
Vogl
factor — effective use of resources— also favors the government’s position. ‘When examining the relevant circumstances, [we] consider ... the ‘obvious purpose behind the exclusion’; that is, ‘to accommodate the efficient use of prosecutorial and judicial resources in trying multiple defendants in a single trial.’”
Olivo,
Mr. Margheim maintains that his circumstances do not promote the “purpose behind the exclusion” because he was named in only five
4
of the superseding indictment’s 146 counts. And, he insists, the nature of the charges against him— three firearm-related and two drug-related charges — proves that he “was not charged with conspiring with the other co-defendants in a single conspiracy.” Aplt. Opening Br. at 11. We reject this argument. Whether the government elects, in its broad charging discretion, to expressly charge a defendant with conspiracy will not necessarily indicate anything about whether the defendant’s allegedly criminal conduct was sufficiently interwoven with that of the charged conspirators such that there would be judicial or prosecutorial efficiency gains in trying the defendant along with the charged conspirators.
Cf. United States v. DeVillio,
Consequently, we reject Mr. Margheim’s suggestion that, due to his non-conspiracy charges, his conduct was sufficiently divorced from the charged conspiracy that it would not reasonably further the purposes of 18 U.S.C. § 3161(h)(6)’s exclusion to employ that provision in his speedy-trial computation. Under a similar logic, moreover, we do not believe that the government’s discretionary decision to charge Mr. Margheim with only a comparatively small number of counts necessarily tells us anything about the extent of his involvement in the conspiracy and other offenses charged in the indictment. And on this record, as we have just seen, his involvement was sufficient to implicate the purposes of § 3161(h)(6)’s exclusion.
Mr. Margheim proffers several cases that he believes illustrate why the ten-month exclusion ought not apply to him. Yet, Mr. Margheim’s belief that these authorities shift the third Vogl factor in his favor is puzzling. Insofar as they are apposite at all, these cases actually tend to underscore legal principles that militate against Mr. Margheim’s cause: specifically, (1) when feasible, courts prefer joint conspiracy trials; (2) exclusions traceable to one defendant generally apply to his codefendants; (3) a defendant who does not move to sever risks having codefendants’ exclusions applied to him; and (4) without demonstrating actual prejudice from the delay, defendants will rarely prevail on the theory that such exclusions are unreasonable. 5
In sum, we conclude that the ten-month period of delay between Mr. Margheim’s initial appearance and that of his final codefendant was not “unreasonable.” Accordingly, we hold that this time period was properly excludable under the Act and uphold the district court’s ruling to this effect.
C
By the time Mr. Margheim went to trial, 356 days had elapsed since his final codefendant’s initial appearance. Consequently, we must determine how many of those days can be excluded under the Act. The Act obliged the government to bring Mr. Margheim to trial within seventy days of the last codefendant’s appearance. There *1322 fore, dismissal is required unless at least 286 of the 356 days are excludable. See 18 U.S.C. § 3162(a)(2). We requested supplemental briefing on this issue at oral argument.
While the parties agree that certain pretrial motions tolled the speedy-trial calendar under § 3161(h), they espouse different views on which motions had that effect. Mr. Margheim contends that ninety-eight days are not excludable under the Act — or, conversely, that 258 days (not the necessary 286) are excludable. He arrives at this total by adding “fifty days from November 22, 2011, to January 10, 2012” to “forty-eight days for the period from February 11, 2012, to March 29, 2012,” during which periods he insists “no motions were pending.” Aplt. Supp. Br. at 5. However, we reach a different result: that 288 days are excludable, placing the government in the clear (albeit just barely).
First, Mr. Margheim’s attorney-filed motion to suppress permits us to exclude 181 days. The applicable time period for this motion spans from February 9, 2011 — the filing date — through November 21, 2011 — the day Mr. Margheim withdrew the motion.
See Williams,
Mr. Margheim’s actions dictate how we must classify and ultimately address the legal implications of .this motion to suppress. Under § 3161(h)(1)(D), periods of “delay resulting from any pretrial motion, from the filing of the motion through the conclusion of the hearing on, or other prompt disposition of, such motion” are excludable. Section 3161(h)(1)(H) refines the scope of subsection (D) by excluding periods of “delay reasonably attributable to any period, not to exceed thirty days, during which any proceeding concerning the defendant is actually under-advisement by the court.”
“If under advisement,
the maximum' excludable delay for the court’s determination is 30 days.”
United States v. Willie,
Guided by the Supreme Court’s interpretation of the interplay between these provisions in
Henderson,
we conclude that Mr. Margheim’s motion to suppress was never “actually under advisement.” In
Henderson,
the Court instructed that “[t]he provisions of the Act are designed to exclude all time that is consumed in placing the trial court in a position to dispose of a motion.”
Here, we can safely presume that the district court found it prudent not to rule on the suppression issue without first considering Mr. Margheim’s rejoinder to the government’s response-brief arguments. We are comfortable making this inference because on November 14, 2011, the district court ordered Mr. Margheim to file a reply brief by November 21, 2011. If Mr. Margheim had replied, it seems a fair conclusion that the district court would have possessed all of the necessary information *1323 for its decision — and the motion could be deemed “under advisement” on the date of Mr. Margheim’s timely reply-brief filing. Mr. Margheim cannot benefit from the Act’s thirty-day under-advisement exclusion, however, because — instead of filing a reply — he elected to withdraw the motion on November 21, 2011. The practical significance of this choice is that the court never had sufficient information to issue a ruling on the motion to suppress. In other words, the motion was never “actually under advisement” as contemplated by § 3161(h)(1)(H) between February 9, 2011, and November 21, 2011. Instead, it was disposed of under § 3161(h)(1)(D) when Mr. Margheim filed his November 21, 2011, motion to withdraw the motion to suppress.
Thirty days attributable to the motion to withdraw the suppression motion are also excludable under the Act. Mr. Margheim filed this motion on November 21, 2011, a date we omit from computations because we have already counted it toward the pending-motion-to-suppress exclusion. Further, we infer from the district’s one-line mandate granting the motion on April 23, 2012 that neither a response nor a hearing was necessary. 6 As a result, under § 3161(h)(1)(H), the time period between November 22, 2011, and December 21, 2011 — thirty days — is excluded from the speedy-trial calendar.
On January 11, 2012, Mr. Margheim filed another withdrawal motion, this time corresponding to several motions predating his motion to suppress. January 11, 2012, the filing date, is thereby excludable under the Act.
See Williams,
All of the foregoing motions account for 242 excludable days of the 356-day delay. Five other pretrial motions, which require much simpler calculations, act to toll the speedy-trial clock in Mr. Margheim’s case for a total of forty-six additional days. Consequently, the aggregate number of excludable days produced by various tolling motions is 288. In the interest of brevity, we enumerate them in chart form below:
*1324 Time Period Excludable
Tolling Motion Relevant Documents Excluded Days
Mr. Margheim’s Attorney-Filed Dist. Ct. Doc. 1200 February 9,2011- 181 days
Motion to Suppress Dist. Ct. Doc. 1892 (withdrawing) November 21, 2011
Mr. Margheim’s Motion to Dist. Ct. Doc. 1892 November 22, 2011- 30 days
Withdraw Motion to Dist. Ct. Doc. 2186 (granting) December 21, 2011
Suppress
Mr. Margheim’s Motion to Dist. Ct. Doc.1949 January 11,2012- 31 days
Withdraw Pretrial Motions Dist. Ct. Doc. 2186 (granting) February 10, 2012
Mr. Margheim’s Attorney-Filed Dist. Ct. Doc. 2117 March 30,2012- 7 days
Motion to Dismiss for Speedy Trial Dist. Ct. Doe. 2128 (denying) April 5, 2012
Act Violations
Government’s Motion for Seven- Dist. Ct. Doe. 2136 April 6, 2012- 8 days
Day Ends-of-justice Continuance Dist. Ct. Doc. 2137 (granting) April 13, 2012
Mi. Margheim’s Pro Se Motion to Dist. Ct. Doc. 2164 April 14, 2012 7 _ 6 days
Dismiss for Speedy Trial Act and Dist. Ct. Doc. 2179 (denying) April 19, 2012
Constitutional Violations
Mr. Margheim’s Motion for Dist. Ct. Doc. 2168 April 20,2012- 14 days
Fourteen-Day Ends-of-Justice Dist. Ct. Doc. 2179 (granting) May 3, 2012
Continuance
Mr. Margheim’s Pro Se Motion to Dist. Ct. Doc. 2184 May 4, 2012- 11 days
Suppress Dist. Ct. Doc. 2212 (confirming denial) May 14,2012
Trial Began: May 15, 2012
TOTAL EXCLUDABLE DAYS: 288 days
Having determined that 288 days do not count against the government’s obligations under the Act, we note that there were only sixty-eight statutorily nonexcludable days between May 24, 2011, and May 15, 2012, which are counted in the speedy-trial analysis. Yet, notably, the Act clearly allows for Mr. Margheim’s trial to “commence within seventy days” of May 24, 2011. See 18 U.S.C. § 3161(c)(1). Thus, the government came close to the limit, but sixty-eight days indisputably satisfies the statutory mandate of “within seventy days.” For this reason, we affirm the district court’s conclusion that there was no violation of the Act.
D
As his final statutory argument, Mr. Margheim claims the district court erroneously “double counted” the days attributable to his 120-day ends-of-justice continuance when computing time under the Act. He explains that the court first excluded these days in the context of determining whether the delay between his initial appearance and that of his last codefendant was reasonable. See R., Vol. I, at 764 (“[Djuring this ten-month delay, Margheim successfully sought a 120-day ends-of-justice continuance----”). He then insists that the court excised the same 120-day allotment from the time period between the withdrawal of his motion to suppress and the commencement of trial. See id. at 765-66 (“From November 21, 2011, to the start of trial, on May 14, 2012, 175 days will have elapsed. But the Government [had] 190 days to try Margheim based on the seventy days allotted by the [Act], and 120 days the Court previously excluded under the [Act’s] ends-of-justice provi *1325 sion.” (footnote omitted) (citations omitted)).
Even if we were to conclude that Mr. Margheim’s “double counting” issue presented a colorable contention of error, we would reach the same outcome here. That is because our analysis has indicated that, irrespective of whether the district court “double counted” the 120-day ends-of-justice continuance, Mr. Margheim’s trial commenced in a timely fashion. Put another way, our speedy-trial analysis— which concluded that the trial was timely under the Act — has not depended in any material way on whether the court counted the 120-day continuance once or (erroneously) twice.
As we noted in Part II.C, supra, focusing solely on the tolling implications of multiple motions filed in this case — but notably not considering the motion for a 120-day ends-of-justice continuance — we reached the conclusion that the trial started on a timely basis. More specifically, we demonstrated that the aggregate effect of various motions filed between the last co-defendant’s appearance and the start of Mr. Margheim’s trial was to exclude 288 days of the applicable 356-day period. As a result, considering all of the relevant statutory exclusions, we concluded that the government brought Mr. Margheim to trial within sixty-eight days of the last codefendant’s appearance for purposes of the Speedy Trial Act — that is, within the requisite seventy days.
Accordingly, whether the district court erred by “double counting” the 120-day continuance is immaterial to the outcome here. We may still uphold the district court’s speedy-trial decision.
See Richison v. Ernest Grp., Inc.,
m
Mr. Margheim next avers that he was deprived of his constitutional right under the Sixth Amendment to a speedy trial. We review this claim de novo,
see United States v. Larson,
A
The Sixth Amendment provides that “[i]n all criminal prosecutions, the accused shall enjoy the right to a speedy and public trial.” U.S. Const, amend. VI.' “[Although the right is somewhat amorphous, the remedy is severe: dismissal of the indictment.”
United States v. Seltzer,
In
Barker v. Wingo,
the Supreme Court created a four-part inquiry to determine whether a particular delay violates a defendant’s constitutional right to a speedy trial.
B
After performing the requisite Barker balancing test, the district court determined that no constitutional violation had occurred. More specifically, the court reasoned that: (1) the “length of delay” favored Mr. Margheim; (2) the “reason for delay” was neutral between the parties; (3) Mr. Margheim’s “assertion of his right” favored the government; and (4) “prejudice to the defendant” favored the government. We discern no reversible error in the district court’s analysis or in its ultimate determination.
1
Our court has recognized that “[d]elays approaching one year generally satisfy the requirement of presumptive prejudice.”
United States v. Batie,
2
The second
Barker
factor — the reason for delay — is “[t]he flag all litigants seek to capture.”
Loud Hawk,
In Mr. Margheim’s casé, the district court deemed this factor “roughly neutral” *1327 based on the complex nature of the case and the fact that both parties had requested ends-of-justice continuances. See R., Vol. I, at 769, 771. Mr. Margheim acknowledges that his continuance motion contributed to the delay, but he insists that the balance of the time nonetheless counts against the government. This is so, he claims, because (1) “the government filed numerous requests for extensions and continuances,” Aplt. Opening Br. at 22; (2) “he believed that the government was threatening him with a sentence enhancement if he litigated his suppression issue,” id.; and (3) three days before he sought an ends-of-justice continuance, the government had also filed for such relief. None of Mr. Margheim’s arguments even hint at reversible error.
We agree with the district court’s conclusion regarding Mr. Margheim’s first argument — namely, that, “generally speaking, the delay in this case has been due to the complicated nature of prosecuting thirty-one (properly joined) co-defendants.”
9
R., Vol. I, at 768. In our view, the complexity of this conspiracy case justified the government’s continuance requests. Examining the government’s proffered reasons in support of these motions (e.g., ensuring complete discovery, allowing time for codefendants to file motions, and to prepare responses to 150 defense motions) solidifies our view that this case falls into the camp of “those cases demanding more flexible treatment.”
Toombs,
The district court also properly determined that none of the prosecutorial delay was motivated by bad faith.
10
See
R., Vol. I, at 768. To that end, Mr. Margheim’s assertion that he was stymied by the government’s “threatf ] • • • [of] a sentence enhancement if he litigated his suppression issue,” Aplt. Opening Br. at 22, is unfounded. Mr. Margheim apparently believes that the government’s .notice of its intent to file an information pursuant to 21 U.S.C. § 851 was a malicious attempt to hamper his trial preparation. However, given Mr. Margheim’s prior felony drug conviction, any sentencing enhancement had a firm statutory basis.
See United States v. Cornelius,
Moreover, turning to the ends-of-justice continuances, it is of no moment that the government’s motion (July 27, 2010) preceded Mr. Margheim’s (July 30, 2010) by three days. The salient point is that the
*1328
government requested thirty-seven days, whereas Mr. Margheim requested 120. No matter how we adjust the numbers for overlap, the fact remains that Mr. Margheim contributed significantly more to the delay than the government by seeking this continuance. From a strictly numerical perspective, it is impossible to conclude that the second
Barker
factor is a victory for Mr. Margheim. In fact, it seems that the court’s characterization of this factor as “roughly neutral” was a gift to Mr. Margheim it was not obligated to give.
See AbdusL-Shakur,
Accordingly, though we might have concluded that this factor favors the government, we defer to the district court’s weighing and its determination that Barker ’s second factor is a wash.
3
At the third step of the
Barker
test, we assign strong weight to the defendant’s assertion of his constitutional speedy-trial right, but “[w]e may weigh the frequency and force of [his] objections” to the delay.
United States v. Latimer,
The district court concisely assessed this component of Barker: it recognized Mr. Margheim’s assertion of the right, observed that he asserted the right “relatively late in [the] case,” and deemed the third factor unfavorable to him. R., Vol. I, at 769, 771. Mr. Margheim disputes this finding and argues that his assertion of the right “as early as October 18, 2010,” Aplt. Opening Br. at 23, along with his 2012 motions to dismiss, compel the opposite result.
Viewing Mr. Margheim’s assertion of the right “in the light of [his] other conduct” before trial,
Loud Hawk,
While it is apparent that Mr. Margheim was not “interested in ... avoiding [trial] altogether,”
Tranakos,
4
Barker’s final factor is the extent to which the defendant was prejudiced by the delay. See
Mr. Margheim’s case does not present the extreme circumstances obviating the requirement of a showing of prejudice. Thus, in assessing whether he has alleged prejudice with sufficient particularity, we focus on the interests the speedy-trial right was designed to safeguard: (1) “preventing] oppressive pretrial incarceration”; (2) “minimizing] anxiety and concern of the accused”; and (3) “limiting] the possibility that the defense will be impaired.”
Barker,
According to Mr. Margheim, he was prejudiced by the delay because, during that time, he (1) was incarcerated on “lockdown” for eighteen hours a day; (2) required anxiety and depression medication; and (3) lost track of a supposed eyewitness. The district court agreed as to the first point because Mr. Margheim
*1330
had been undeniably incarcerated since his arrest. This conclusion comports with our view that “prolonged pretrial incarceration is a well-established type of prejudice that a defendant may rely upon in making a Sixth Amendment speedy trial claim.”
11
Seltzer,
Next, the district court determined that Mr. Margheim was prejudiced by his anxiety, depression, and heightened “awareness of ... the unresolved charges against-him.” R., Vol. I, at 770 (quoting
Doggett,
Nonetheless, viewed as a whole, the district court’s prejudice analysis is sound and eliminates any need to split hairs over the anxiety-depression issue. In particular, germane to the prejudice factor that our caselaw accords the most weight (i.e., prejudice to the defense), the district court concluded that Mr. Margheim had
not
demonstrated any cognizable hindrance to his defense, “[whether] through expiration of evidence, loss of witnesses, or unique fading of memory.” R., Vol. I, at 770. It thereby rejected Mr. Margheim’s contention that he had lost track of “a girl at [his] house that would be able to testify that the informant along with the [undercover SA] just walked into [his] house.”
Id.
at 661 (Mot. to Dismiss, filed Apr. 13, 2012). The district court reasonably concluded that this hypothetical testimony pertained only to Mr. Margheim’s withdrawn motion to suppress, which was grounded in a Fourth Amendment unlawful-entry argument. Furthermore, Mr. Margheim has failed to demonstrate that the so-called missing witness’s testimony was vital to his defense. In our view, his vague characterization of her hypothetical testimony does not suggest that it would be exculpatory or otherwise material to his case.
See Tranakos,
We summarize our conclusions regarding the Barker factors as follows: only the first favors Mr. Margheim, the second is a draw, and the third and fourth favor the government. Balancing these factors, we reach the same conclusion as the district court — viz., Mr. Margheim’s constitutional speedy-trial right under the Sixth Amendment was not violated. Accordingly, we affirm.
IV
Because Mr. Margheim was not deprived of his statutory or Sixth Amendment right to a speedy trial, we conclude that the district,court was correct not to dismiss the indictment, and we AFFIRM Mr. Margheim’s conviction. 13
Notes
. Filing a motion to continue the trial date does not operate as- a waiver of a defendant’s rights under the Act.
See United States v. Allen,
. As the district court noted, this factor "is not dispositive.” R., Vol. I, at 764;
see United States v. Loud Hawk,
. Mr. Margheim’s suggestion that the second
Vogl
factor favors
him
because he personally "did not consent to” the ends-of-justice continuance, Aplt. Opening Br. at 10, is legally untenable. On its face, the Act permits courts to grant continuances "at the request of the defendant
or his counsel."
18 U.S.C. § 3161(h)(7)(A) (emphasis added). The Supreme Court’s guidance on trial management indicates that this provision does not require the defendant’s personal acquiescence.
See New Yorkv. Hill,
. Mr. Margheim was initially named in six counts; the government agreed to dismissal of the sixth original count.
.
See United States v. Messer,
. We reject Mr. Margheim’s contention that "[t]he motion to withdraw the suppression motion was not a motion,” Aplt. Supp. Br. at 4, because it does not "state the grounds on which it is based and the relief or order sought,” Fed.R.Crim.P. 47(b). In our view, Mr. Margheim’s filing was a "motion!] that may be made before trial” — i.e., a "request that the court can determine without a trial of the general issue.” Fed.R.Crim.P. 12(b)(2) (capitalization altered). And, in the same vein, Federal Rule of Criminal Procedure 47 makes clear that any time a party ”appl[ies] to the court for an order,” as Mr. Margheim did by announcing his intent to withdraw the suppression motion, he "must do so by motion.” Fed.R.Crim.P. 47(a). We do not accept Mr. Margheim's apparent view that his motion was self-executing; in light of our circuit's reliance in "significant measure on the ability of the district court to manage its own docket,”
Katzv. Gerardi,
. We do not include the filing date of this motion — April 13, 2012 — in our calculation because that date has already been counted toward the government’s motion for a seven-day ends-of-justice continuance.
. "[I]t is either a formal indictment or information or else the actual restraints imposed by arrest ... that engage the particular protections of the speedy trial provision of the Sixth Amendment.”
United States v. Marion,
. The thirty-first codefendant was added in the superseding indictment.
. One of the government's motions was due to its own negligence.
See
R., Vol. I, at 173 (Mot. filed July 20, 2010) (“The government inexplicably allowed the Court’s disclosure deadline to pass ... [and] cannot offer any justifiable excuse for this missed deadline....”). Under
Barker,
however, negligence is considered "[a] more neutral reason” on a par with overcrowded courts.
. The fact that Mr. Margheim was in custody for pending state charges at the time of his arrest,
see
R., Vol. I, at 732 n.l (Gov’t’s Resp. to Def.’s Mot. to Dismiss, filed Apr. 16, 2012), arguably
could
support the opposite finding.
See Perez v. Sullivan,
. Mr. Margheim rejoins that he had no obligation to describe the missing witness's expected testimony with particularity.
See
Aplt. Reply Br. at 9. However, his citation to
Seltzer
on this point is inapposite. In
Seltzer,
while we concluded that the defendant's ability to prepare his case was impaired, we in no way suggested that he was relieved of the obligation to describe potential witnesses' testimony with particularity.
See Seltzer,
. Volume 4 of the record, which includes transcripts of
ex parte
proceedings involving protected attorney-client communications, was provisionally filed in this court under seal. We conclude that the confidentiality concerns engendered by the contents of Volume 4 constitute the type of "real and substantial interest,”
Eugene S. v. Horizon Blue Cross Blue Shield of N.J.,
6‘
