A jury convicted Marius Canoy of making a telephone call to the Kemmerer Bottling Company (“Kemmerer”) on March 28, 1989, and falsely representing that the Tylenol in the company’s medicine cabinet had been tainted with cyanide. In sentencing Canoy for this offense, the district court initially departed downward from the applicable Sentencing Guidelines range based on Canoy’s extraordinary family circumstances. On reconsideration, however, the district court concluded that our decision in
United States v. Thomas,
I. BACKGROUND
Shortly before 3:00 p.m. on March 28, 1989, Catherine Claassen, a payroll clerk at a Kemmerer bottling plant, picked up the telephone of an absent coworker and heard a male voice with a foreign accent say, “Your Tylenol in the medicine cabinet is laced with cyanide.” “Pardon me” was Claassen’s response, and the man then repeated that the Tylenol in the medicine cabinet had been laced with cyanide. Claassen hung up the phone and immediately reported the call to her supervisor. The two then retrieved the Tylenol packages from the medicine cabinets and took them to the company’s vice president of human resources, who contacted the United States Pood and Drug Administration (the “FDA”). The FDA subsequently tested the Tylenol packages for cyanide, but the tests were all negative.
The materials in Kemmerer’s medicine cabinets, including the allegedly tainted Tylenol packages, had been supplied by Safety Plus, a first aid and safety supply company owned by Allen Jones. Before becoming a customer of Safety Plus in January or February 1987, Kemmerer had received its medical supplies from Zee Medical Service (“Zee”), Jones’ former employer and, coincidentally, the employer of defendant Canoy. In 1988 and 1989, Zee and Safety Plus competed for customers in the thirty-mile radius where Safety Plus conducted business, although Safety Plus had obtained between eighty and ninety percent of the customers in that area. 1 Canoy was the Zee salesperson assigned to the territory that encompassed the Safety Plus sales area, and Zee compensated Canoy solely on the basis of his sales commissions.
Near the end of 1988 and early in 1989, Jones and/or Safety Plus began to receive or became the object of a number of harassing telephone calls. For example, in November 1988, Jones received a call from a man who purported to represent a prospective Safety Plus customer. The man wanted to place an unusually large order contingent on delivery by 5:00 p.m. that day. Jones immediately realized the order was fictitious. Indeed, he recognized the man’s voice as that of Canoy and said, “Look, Marius, why don’t you just go back to work and leave me alone.”
In the same time period, a number of Safety Plus customers received calls in which *896 a man indicated that the customer owed money to Safety Plus. For instance, Albert Cohn, the owner of a steel company, called Jones on March 13, 1989, to ask why Jones had reported his company to a collection agency. It turned out that Cohn had received a call from a man who purported to represent a collection agency and who claimed that Cohn’s company had failed to pay its Safety Plus bill. At the time, Cohn’s company did not owe Safety Plus any money and was not even a Safety Plus customer. Jones assured Cohn that Safety Plus had not reported his company to a collection agency, and Jones told Cohn that a number of his customers had been complaining of similar calls. Cohn received a call from the same man a week later, and the man again purported to represent a collection agency. Cohn recognized the man’s voice as that of the Zee salesman who previously had called on his company.
Also on March 13, 1989, Marlene Migliori-ni, a lumber company manager, called Jones to ask why he had reported the lumber company to the Dunn & Bradstreet collections department. Jones assured Migliorini that he had not and that the lumber company owed Safety Plus no money. Yet Migliorini received a second call after talking to Jones, again from a man purporting to be a Dunn & Bradstreet employee. This time, the man told Migliorini that the company’s credit rating had been damaged by its outstanding debts to Safety Plus. Migliorini called Jones a second time, and he again assured her that Safety Plus had not reported the lumber company to Dunn & Bradstreet. During the same time period, Migliorini received at least three visits from a Zee salesman. When Migliorini told the man that her company purchased its medical supplies from Safety Plus, he asked her to reconsider because Safety Plus was having financial difficulties and would soon go out of business. During the man’s next visit, after Migliorini again stressed her intention to remain with Safety Plus, the salesman became quite upset. Mi-gliorini eventually placed a sign on the lumber company’s medicine cabinet indicating that Zee should not restock the cabinet and that the lumber company would not pay if it did.
On March 23,1989, the harasser apparently decided to try a different tactic. On that date, flowers were delivered to one of Safety Plus’ female employees. The attached card indicated they had been sent by Jones, yet Jones explained at trial that he had sent no flowers. On the same day, Domino’s Pizza called Jones to inform him that it would be delivering the pizza he had ordered but that he should order from a different Domino’s location in the future. Jones testified that he had not ordered a pizza. Finally, Lucenta Tire Company called with a question about the four tires Jones had ordered C.O.D. Again, Jones told the jury that he had not ordered any tires. After this final call, Jones reported the harassment to the police. 2
The following day, Jones’ wife received a threatening telephone call at home. The caller told Jones’ wife that her husband owed him a lot of money, and when she asked the caller to identify himself, the man told her, “I know where you live and I’m going to come and blow your head off.” Jones’ wife could not identify the man’s voice.
Telephone records for March 1989, which the government produced at trial, showed that calls from a pay telephone to Cohn’s steel company and to Migliorini’s lumber company on March 13, 1989, had been billed to Canoy’s home telephone number. The records also showed that on March 23, 1989, calls from a pay telephone to Lucenta Tires, a flower shop, and to Domino’s Pizza had been billed to the same number. The records, however, did not reflect any calls to Kemmerer’s bottling plant on March 28, yet they showed a call billed to Canoy’s home telephone number that had been placed from a pay telephone at 2:49 p.m. on that date, suggesting that Canoy had been at a pay telephone near the time that the threatening call had been made to the Kemmerer plant.
Canoy testified in his own defense at trial. He admitted placing the harassing telephone *897 calls to Safety Plus’ present or potential customers, and he also admitted ordering the flowers, pizza, and tires. He explained that he had done these things merely to annoy a competitor, that he believed it had been the right thing to do, and that it was simply the nature of the business. Yet Canoy denied making the cyanide threat to the Kemmerer bottling plant. The jury apparently found this denial not credible and convicted Canoy of violating 18 U.S.C. § 1365(c). 3 The district court eventually sentenced Canoy to 27 months in prison.
II. DISCUSSION
A Challenges to Conviction
1.
Canoy’s first and most substantial challenge to his conviction relates to the government’s use of a peremptory strike during jury selection to excuse Daniel Ma, a man of Asian descent. Canoy was born and spent most of his life in the Philippines, arriving in the United States in 1985. He maintains that the government engaged in purposeful discrimination under
Batson v. Kentucky,
The Supreme Court held in
Batson
that the Equal Protection Clause of the Fourteenth Amendment grants to defendants “the right to be tried by a jury whose members are selected pursuant to nondiscriminatory criteria” and that it therefore prohibits purposeful racial discrimination in the use of peremptory challenges.
First, the defendant must make a prima facie showing that the prosecutor has exercised peremptory challenges on the basis of race. Second, if the requisite showing has been made, the burden shifts to the prosecutor to articulate a race-neutral explanation for striking the jurors in question. Finally, the trial court must determine whether the defendant has carried his burden of proving purposeful discrimination.
Hernandez v. New York,
Here, the government does not dispute that Canoy made a prima facie showing of purposeful race discrimination. He has shown:
(1) that he is a member of a cognizable racial group;
(2) that the government used a peremptory challenge to remove from the venire a member of a cognizable racial group; and
*898 (3) that the facts and any other relevant circumstances raise an inference that the opposing party used the peremptory challenge to exclude the venireperson on account of that person’s race.
Cooper,
The government’s burden once the defendant has made a prima facie showing is to articulate a race-neutral explanation for its action.
Hernandez,
We agree with the district court that the government offered a facially-neutral explanation for its challenge here. The. government explained that it had not challenged Ma when choosing the regular jury, but only when Ma had been one of four possible alternate jurors. 5 The government viewed Ma as the least desirable of the four and used its only strike to excuse him. It explained to the district court that because Ma had been educated outside the United States and entirely in a foreign- language, the government was concerned with whether English was Ma’s first language. (Tr. at 103, 105.) The three remaining alternates had all been educated in the United States, which the government viewed as preferable in a ease in which what Canoy may have said over the telephone and to investigating FBI-agents was at issue. (Id. at 103.) The district court accepted this explanation, finding that the government had not utilized Ma’s ethnic background or race as a selection criteria. (Id. at 106.) The court was particularly influenced by the fact that the government had not challenged Ma in selecting the regular jury, although it had left two strikes unused. The court also found it “plausible” that Ma had been the least desirable alternate to the government because he had been educated entirely in a foreign country and in a foreign language, although the court also noted that Ma had not exhibited any difficulty speaking or understanding English when questioned by the court. (Id. at 105.) On the basis of these findings, the court allowed the govern *899 ment’s challenge to stand. 6
The district court’s finding that the government did not purposefully discriminate was necessarily fact-based. That finding may therefore not be reversed unless we find it clearly erroneous.
Cooper,
[i]n the typical peremptory challenge inquiry, the decisive question will be whether counsel’s race-neutral explanation for a peremptory challenge should be believed. There will seldom be much evidence bearing on that issue, and the best evidence often will be the demeanor of the attorney who exercises the challenge. As with the state of mind of a juror, evaluation of the prosecutor’s state of mind based on demeanor and credibility lies “peculiarly within a trial judge’s province.”
*900
We have in the past upheld as race-neutral peremptory challenges based on the failure to attain a certain educational level.
See Marin,
Of course, the Supreme Court has reminded us that the potential for a disparate impact does not prove purposeful discrimination per se, as the effect of such a criterion “does not alone show its purpose.”
Hernandez,
Canoy challenges the district court’s credibility assessment on the ground that the government did not strike non-Asian jurors who, unlike Ma, had not received a secondary education. Yet the government’s articulated concern was not with the level of education a juror had attained, but with whether the juror had been educated in a language other than English. The non-Asian jurors without college degrees all had been educated in this country, and the fact that the government accepted them does not render implausible its explanation for striking Ma. Moreover, the only other member of the venire educated outside the United States was a woman who had attended school in England. ■ The government’s failure to strike this woman casts no doubt on its articulated reason for striking Ma.
The district court also was influenced by the fact that the government had not initially challenged Ma in selecting the regular jury, although it had left two strikes unused. (Trial Tr. at 103, 105; Aug. 25, 1993 Tr. at 4-5.) A number of circuits, including this one, have relied on the fact that the government waived available strikes and permitted members of a racial minority to be seated on a jury to support a finding that the government did not act with discriminatory intent in striking another member of the same minority group.
See United States v. Nichols,
Yet Canoy maintains that the government’s non-use of two peremptory strikes in selecting the regular jury actually supports his Batson claim because it had the effect of eliminating Ma as a regular juror (Ma was the twenty-eighth juror overall; one juror was excused for cause and the parties utilized fourteen peremptory strikes, meaning that only the first twenty-seven jurors had a chance of being seated on the regular jury). Indeed, Canoy maintains that the government’s failure to use its two additional strikes was part of its strategy to exclude Ma from the regular jury. We find this scenario rather unlikely, and we certainly do not read Batson to impose a duty on the government to utilize all of its peremptory strikes in order to ensure that members of a racial minority are seated on a jury. We also hesitate to discount the district court’s reliance on the government’s failure to initially strike Ma in finding that the government had not purposefully discriminated when Canoy never argued to the district court that the government’s non-use of its remaining peremptory strikes actually evidenced its discriminatory intent. See Chandler, 12 F.3d at 1431-32 (counsel must clearly inform the district court why the government’s explanation is inadequate to enable the district court to make an informed ruling). Had Canoy made that argument, the district court could then have considered whether to accord any weight to the government’s failure to strike Ma during selection of the regular jury in ruling on Canoy’s Batson objection.
For all of these reasons, then, this record does not leave us with the definite and firm conviction that the district court erred in finding no purposeful discrimination in the government’s challenge to Daniel Ma.
2.
Canoy next contends that he was denied due process when the government delayed his indictment until almost four years after the threatening telephone call and three years after he allegedly had confessed to FBI agents. He argues that the government’s delay prevented him from obtaining exculpatory telephone records because Illinois Bell, in the regular course of its business, destroys all telephone records after a period of eighteen months. Canoy maintains that absent the prosecutorial delay, he would have subpoenaed the telephone records of other persons who may have been responsible for other harassing telephone calls and used those records to convince the jury that someone else had made the threatening call here.
A defendant’s primary safeguard against prosecutorial delay lies in the applicable statute of limitations, yet the Fifth Amendment’s Due Process Clause “also plays a limited role in protecting defendants from oppressive delay.”
United States v. Window,
Although we have consistently noted the differing standards applied in our eases, we only recently had occasion to resolve the conflict. In
United States v. Sowa,
The defendant’s obligation to show actual and substantial prejudice is an exacting one:
Anagnostou
observes that “it is not enough ... to offer some suggestion of speculative harm; rather, the defendant must present concrete evidence showing material-harm.”
Canoy’s contention is that the pre-indictment delay prevented him from subpoenaing telephone records of other individuals who may also have been harassing Safety Plus, Jones, and/or his wife because the records had been destroyed after eighteen months. Canoy is confident that these telephone records would have implicated others in the alleged harassment and would have permitted him to argue to the jury that one of the other harassers had made the threatening call to the Kemmerer plant. But Canoy’s allegations are even more speculative than those suggesting that prosecutorial delay caused a witness who would have provided testimony helpful to the defense to become unavailable. For example, we have consistently rejected vague allegations of prejudice even where a defense witness died during the period of pre-indictment delay.
See, e.g., Pharm,
Although we need not address the government’s reasons for the delay in light of our finding that Canoy was not actually and substantially prejudiced by it, we note that there is no evidence indicating that the government delayed the indictment in bad faith in order to gain a tactical advantage. The government explains instead, and without contradiction from Canoy, that the delay resulted from its investigatory process, grand jury proceedings, an exchange between the parties of discovery materials, and then by lengthy pre-indictment plea negotiations before Canoy finally decided not to enter a plea. Thus, even if Canoy had shown actual and substantial prejudice from the delay, we would not find a violation of due process.
Canoy has raised two other challenges to his conviction that do not require discussion here. We have considered each of those arguments and find that neither would support a reversal of Canoy’s conviction. The conviction is accordingly affirmed.
B. Sentencing
1.
Canoy also asks that we review the refusal below to grant a downward departure from the applicable Sentencing Guidelines range on the basis of extraordinary family circumstances. The district court initially sentenced Canoy on August 25, 1993, and it determined to depart downward from the 27 to 33 month range on the basis of Canoy’s extraordinary family circumstances. The court found that Canoy is a good father, that he has three exemplary children, and that his family would suffer “substantially” and perhaps “irreparably” were he incarcerated for a full 27 months. (Aug. 25,1993 Tr. at 41-42.) The court thus departed downward pursuant to U.S.S.G. § 5H1.6 and sentenced Canoy to 18 months in prison. A week later, the government asked the court to reconsider its departure, arguing that the court had provided no prior notice of its intention to depart and that the departure was foreclosed by our decision in
United States v. Thomas,
The government concedes that we have jurisdiction to review Canoy’s challenge to his sentence, as the district court believed it lacked authority to depart on the basis of extraordinary family circumstances in light of
Thomas I. See United States v. Poff, 926
F.2d 588, 590-91 (7th Cir.1991) (en banc) (refusal to depart downward reviewable on appeal if district judge believed it lacked legal authority to depart),
cert. denied,
— U.S. —,
In
Thomas I,
we addressed whether the district court could consider a defendant’s extraordinary family circumstances in departing downward from a ten-year mandatory minimum sentence.
See
21 U.S.C. § 841(b)(1)(A). After the government had made a motion for a downward departure pursuant to 18 U.S.C. § 3553(e)
8
to account for Thomas’ substantial assistance to the government, the district court, citing the fact that Thomas alone was responsible for three mentally disabled, adult children, two of whom lived with her at the time, and was also the legal guardian of a four-year-old grandson, imposed a sentence of probation. In reviewing that sentence,
Thomas I
resolved a number of issues under the Guidelines, and it is important that we distinguish between them here. The
Thomas I
panel first held that a sentence of probation was forbidden by section 841(b)(1)(A), the statute imposing the ten-year mandatory minimum sentence, because that statute also provides that “[njotwithstanding any other provision of law, the court shall not place on probation or suspend the sentence of any person sentenced under this subparagraph.”
Having reached that conclusion, the panel proceeded to consider Thomas’ argument that Guidelines section 5H1.6 authorized the district court to consider her extraordinary family circumstances. At the time of our decision in Thomas I, section 5H1.6 provided:
Family ties and responsibilities and community ties are not ordinarily relevant in determining whether a sentence should be outside the guidelines. Family responsibilities that are complied with are relevant in determining whether to impose restitution and fines. Where the guidelines provide probation as an option, these factors may be relevant in this determination. If a defendant is sentenced to probation or supervised release, family ties and responsibilities that are met may be relevant in the determination of the length and conditions of supervision.
Despite the Sentencing Commission’s use of the word “ordinarily” in the first sentence of section 5H1.6, the
Thomas I
panel concluded that even extraordinary family circumstances would not provide a basis for departure from an imprisonment range.
By the time Mattie Lou Thomas was re-sentenced on remand, however, the Commission had amended section 5H1.6 in several significant respects:
Family ties and responsibilities and community ties are not ordinarily relevant in determining whether a sentence should be outside the applicable guideline range. Family responsibilities that are complied with may be relevant to the determination of the amount of restitution or fine.
(Eff. Nov. 1,1991). We observed in
Thomas II
that although this amendment had not disturbed
Thomas I’s
primary holding that “only factors relating to a defendant’s assistance to the
government
should affect the extent of a departure from a statutory minimum sentence,” it “may affect the second of
Thomas I’s
alternative bases of decision”— that departures accounting for extraordinary family circumstances are forbidden by section 5H1.6 even in the absence of a statutory minimum.
Yet Canoy’s sentence is based only on a Guidelines range and not a statutory minimum. Thus,
Thomas I’s
holding that even extraordinary family circumstances would not provide a basis for departure from a statutory minimum does not apply here. Instead, the district court found itself without authority to depart due to
Thomas
I’s alternative holding — that section 5H1.6 does not authorize departures from a sentencing range to account for family circumstances even in an extraordinary case.
See
The government insisted at oral argument that the other circuits agree with
Thomas I
that even extraordinary family circumstances may
never
provide a basis for departure from a sentencing range. Yet each of the cases referenced by the government involved a departure from a statutory minimum
(see su
pra, at 905), and as we explained in
Thomas II,
“different rules apply to the[se] two types of departures.”
Because our sister circuits have uniformly rejected
Thomas
I’s interpretation of section 5H1.6 both before and after the November 1, 1991 amendment, and because that amendment omits the language on which
Thomas I
specifically relied, we hold today that a district court may depart from an applicable guidelines range once it finds that a defendant’s family ties and responsibilities or community ties are so unusual that they may be characterized as extraordinary. Any other reading would be inconsistent with the plain language of section 5H1.6 in that it would render meaningless the Commission’s use of the phrase “not ordinarily relevant.” If a particular factor is “not ordinarily relevant” to the district court’s decision to impose a sentence “outside the applicable guideline range,” then it necessarily follows that the factor may be relevant in an extraordinary case.
See Monaco,
2.
The question that remains is whether Ca-noy’s family circumstances may be considered extraordinary. The district court thought they could, primarily because Canoy is a good father, he has three exemplary children who all are “straight-A” students, and because the district court believed that the family unit would suffer “substantially” and perhaps “irreparably” if Canoy were incarcerated for 27 months. (Aug. 25, 1993 Tr. at 41-42.) The government maintains that even if the Guidelines permit departures on the basis of extraordinary family circumstances, Canoy’s circumstances here do not rise to that level. The government submits that the district court based its finding only on Canoy’s extraordinary children and that we should not permit a departure on that basis.
Because until today, we have interpreted section 5H1.6 to prohibit all departures based on family considerations, we have not had occasion to consider what separates the usual and ordinary family circumstance from the truly exceptional and extraordinary. The other circuits have developed a significant body of law on this question, however. Those courts have generally indicated that the disintegration of existing family life or relationships is insufficient to warrant a departure, as that is to be expected when a family member engages in criminal activity that results in a period of incarceration.
See, e.g., Gaskill,
The line between the usual and the unusual is admittedly a fine one. Then-Chief Judge Breyer observed in Rivera that:
It may not be unusual, for example, to find that a convicted drug offender is a single *908 mother with family responsibilities, but, at some point, the nature and magnitude of family responsibilities (many children? with handicaps? no money? no place for children to go?) may transform the ‘ordinary’ case of such circumstances into a case that is not at all ordinary.
It may well be, as the government contends, that Canoy’s family circumstances are not sufficiently compelling to warrant a departure under section 5H1.6. Yet we are unwilling on the present record to rule out that possibility. We shall therefore remand to the district court for consideration of a departure in light of our discussion here. If the district court again finds that Canoy’s family circumstances are extraordinary, the court should clearly explain the facts supporting-its conclusion. The district court’s vantage point in this regard is unique, as that court has had the benefit of seeing and hearing from Marius Canoy and the members of his family at the sentencing hearing below. Moreover, because this court reviews on appeal only the comparatively few Sentencing Guidelines cases that may present a colorable appellate issue, the district courts may have a better feel for what is or is not unusual or extraordinary.
See Rivera,
III. CONCLUSION
Having rejected the alleged improprieties in the trial below, we affirm Canoy’s conviction. Yet because we hold that a district court may depart from an applicable sentencing range under U.S.S.G. § 5H1.6 when it finds the defendant’s family circumstances to be extraordinary, we vacate Canoy’s sentence and remand for resentencing.
*909 AFFIRMED IN PART, VACATED IN PART, AND Remanded.
Notes
. Zee was a much larger company than Safety Plus, and this thirty-mile radius represented only a small portion of Zee’s overall sales territory.
. Jones eventually closed Safety Plus in March 1990 because of all the negative publicity the company received as a result of the Tylenol incident and the other harassing telephone calls. He then started a new company under a different name.
. That statute provides:
(c)(1) Whoever knowingly communicates false information that a consumer product has been tainted, if such product or the results of such communication affect interstate or foreign commerce, and if such tainting, had it occurred, would create a risk of death or bodily injury to another person, shall be fined not more than $25,000 or imprisoned not more than five years, or both.
(2) As used in paragraph (1) of this subsection, the term "communicates false information" means communicates information that is false and that the communicator knows is false, under circumstances in which the information may reasonably be expected to be believed.
. The Supreme Court recently extended
Batson
to the exercise of peremptory challenges that are the result of intentional gender discrimination.
See J.E.B. v. Alabama ex rel.
T.B.,-U.S.-,
. An understanding of the district court's jury selection procedure is helpful to placing Canoy’s Batson challenge as well as the government's race-neutral explanation in proper perspective. The district court first seated three successive panels of fourteen jurors and questioned the members of each panel. Overall, forty-two veni-repersons were questioned. All three panels were then tendered to the parties at one time, and the district court permitted Canoy ten peremptory strikes and the government six. The district court had previously explained that the first twelve' unchallenged jurors would comprise the regular jury. The court then utilized the same procedure to select two alternate jurors, with each party permitted one additional peremptory strike. Ma was the last member of the second panel of fourteen venirepersons, or the twenty-eighth juror overall. When the three panels were tendered to the parties for selection of the regular jury, the government exercised four of its six strikes but did not strike Ma. Canoy used all ten of his peremptory strikes. Because one juror had been excused for cause and fourteen others through, peremptory strikes, Ma was not seated on the regular jury but was the first of four possible alternates. The government used its additional peremptory strike in the alternate-selection phase to strike Ma.
. In denying Canoy's post-trial motion, the district court reiterated its belief that the government's explanation had been truthful. (Aug. 25, 1993 Tr. at 4-5.)
We also note for the sake of completeness that neither of the two alternate jurors selected in place of Ma actually deliberated on the verdict, leading the government to argue that Canoy suffered no prejudice. There is some authority for the proposition that a
Batson
error relating to an alternate juror may be harmless where no alternate actually deliberates on the verdict.
See United States v. Lane,
A prosecutor’s wrongful exclusion of a juror by a race-based peremptory challenge is a constitutional violation committed in open court at the outset of the proceedings. The overt wrong, often apparent to the entire juty panel, casts doubt over the obligation of the parties, the jury, and indeed the court to adhere to the law throughout the trial of the cause. The voir dire phase of the trial represents the jurors’ first introduction to the substantive factual and legal issues in a case. The influence of the voir dire process may persist through the whole course of the trial proceedings.
(internal quotation omitted).
Powers
also observed that "racial discrimination in the selection of jurors casts doubt on the integrity of the judicial process and places the fairness of a criminal proceeding in doubt” and that the unconstitutional selection procedure "may pervade all the proceedings that follow.”
Powers,
. We note as well that Canoy was on notice within the eighteen-month period before Illinois Bell would have destroyed the relevant telephone records that he was suspected of making the call to Kemmerer. The company received the threatening telephone call on March 28, 1989, and Canoy was questioned by FBI agents about that call on January 5, 1990. Indeed, one of the agents testified at trial that Canoy admitted on that date that he had made the threatening telephone call. Yet Canoy made no attempt at that time to obtain from Illinois Bell the telephone records that allegedly would have helped to exonerate him.
. That statute provides:
(e) Limited authority to impose a sentence below a statutory minimum — Upon motion of the Government, the court shall have the authority to impose a sentence below a level established by statute as minimum sentence so as to reflect a defendant's substantial assistance in the investigation or prosecution of another person who has committed an offense. Such sentence shall be imposed in accordance with the guidelines and policy statements issued by the Sentencing Commission pursuant to section 994 of title 28, United States Code.
. We note initially that this portion of
Thomas I
was arguably dicta because it was unnecessary to the court’s primary conclusion that substantial assistance to the government provides the only basis for departure from a statutory minimum sentence pursuant to 18 U.S.C. § 3553(e) and U.S.S.G. § 5K1.1.
. As the following list of authorities indicates, later decisions of the Fourth, Eighth, and Ninth Circuits hold that extraordinary family circumstances may provide a basis for departure. (See infra, at 906.)
. Indeed, other courts cite our decision in
Thomas I
as the
only
example of a case where section 5HI.6 has been interpreted to forbid such departures even in an extraordinary case.
See Gaskill,
. Because we depart from a portion of Thomas I today, we circulated this opinion to all judges of this court in regular active service pursuant to Circuit Rule 40(f). No judge desired to rehear this case en banc.
. The district court in Alba had found that the period of incarceration required by the Guidelines "might well result in the destruction of an otherwise strong family unit," and the Second Circuit concluded that this finding was not an abuse of the court's discretion. Id.
