UNITED STATES of America, Plaintiff-Appellee, v. Mark C. SAWYER, Defendant-Appellant.
No. 15-5181
United States Court of Appeals, Sixth Circuit.
Argued: March 8, 2016. Decided and Filed: June 3, 2016
825 F.3d 287
Before: BOGGS, GIBBONS, and GRIFFIN, Circuit Judges.
OPINION
JULIA SMITH GIBBONS, Circuit Judge.
In 2006, Mark Sawyer and four co-defendants formed A&E Salvage and purchased the salvage rights to a former industrial site in eastern Tennessee in order to demolish the buildings on site and obtain salvageable material. Despite the presence of large amounts of regulated asbestos-containing material (RACM), A&E Salvage knowingly failed to comply with the National Emission Standards for Hazardous Air Pollutants (NESHAP) for asbestos. The Environmental Protection Agency (EPA) eventually intervened and cleaned up the site, pursuant to its power under the Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) at a total cost of over $16 million. Sawyer eventually pled guilty to one count of conspiring to violate the Clean Air Act,
I.
Sawyer, along with four co-defendants, formed A&E Salvage for the purpose of recovering salvageable materials, such as copper, steel, and aluminum, from the site of the former Liberty Fibers rayon plant in Hamblen County, Tennessee. The site occupied approximately 300 acres and contained multiple buildings, a water treatment facility, as well as extensive above ground piping. Demolition at the site began in October 2006. The defendants’ business records show that A&E Salvage intended to salvage materials within seven buildings on site and then demolish them. At the time A&E Salvage purchased the salvage rights, many of the buildings on site contained RACM, such as pipe-wrap, boiler insulation, roofing materials, and floor tiles. Sawyer and his co-defendants were aware that the site contained RACM, and much of the RACM on site was marked with red dots.
Despite the presence of RACM, the defendants’ salvage and demolition activities failed to comply with the NESHAP standards governing the handling and disposal of asbestos. Among other violations, labor-
On August 8, 2008, the EPA and A&E Salvage entered into a consent agreement whereby A&E Salvage agreed to correct the asbestos violations and comply with the NESHAP during its future removal and demolition activities. On March 10, 2009, the EPA terminated the consent agreement and issued an immediate compliance order to A&E Salvage, Sawyer, and the other defendants. The order stated that all individuals were to cease any activity on the site. Three weeks later, on March 31, 2009, federal agents searched the site, seized documents, and took samples of RACM. The investigators estimated that nearly all 300 acres of commercial property were contaminated with asbestos. Thereafter, the EPA, exercising its power under CERCLA, cleaned up the site, at a total cost of $16,265,418.
In 2011, a grand jury indicted Sawyer and his co-defendants for conspiring to violate the Clean Air Act and defraud the government, in violation of
On October 14, 2014, the probation office filed its presentence investigation report (PSR), which calculated a guideline sentencing range of 87 to 108 months. The statutory maximum for offenses under
On the issue of restitution, the PSR stated that “the final cost for the clean-up at the Site was $16,265,418” but that “an exact amount in relation to requested restitution is not known.” CA6 R.9, PSR at 18. The PSR also specified “[it] is believed that [information supporting the government’s restitution claim] will be provided to the Court prior to the sentencing of the defendants.” Id.
On October 31, 2014, three weeks before the sentencing hearing, the United States submitted notice that it sought restitution in the amount of $10,688,576.71, a subset of the total cleanup costs. The final amount requested did not include indirect costs such as attorney’s fees and other administrative costs and associated travel costs. Attached to its claim, the United States included a spreadsheet known as a SCORPIOS report, which itemized the costs the EPA incurred to pay contractors who undertook the bulk of the cleanup. The report also included direct costs associated with EPA personnel managing the cleanup, which were itemized by individual employees. The government further argued that restitution was mandatory in this case, pursuant to
After two more days of argument in January 2015, the court entered an order finding that restitution was mandatory in this case, pursuant to
Following this order, the district court entered judgment against Sawyer, sentencing him to 60 months in prison and ordered him and his co-defendants, jointly and severally, to pay $10,388,576.71 in restitution to the EPA.
II.
This court reviews de novo whether a defendant is appealing an issue within the scope of an appellate waiver. United States v. Toth, 668 F.3d 374, 378 (6th Cir. 2012).
Sawyer claims that his 60-month sentence is substantively unreasonable, arguing that it was unreasonable for the district court to sentence him, an individual with no criminal history who pled guilty, to the statutory maximum prison term, particularly in light of the fact that his co-defendants were sentenced to lesser terms. Sawyer concedes, however, as he must, that he “waived his right to appeal from a sentence not above the sentencing guideline range . . . [and that] his term of imprisonment of 60 months was . . . within the advisory Guidelines range.” CA6 R. 16, Appellant Br. at 27. “It is well settled that a defendant may waive any right, even a constitutional right, by means of a plea agreement.” Toth, 668 F.3d at 377 (quoting United States v. Calderon, 388 F.3d 197, 199 (6th Cir. 2004)). This court construes waivers such as Sawyer’s to be binding, and by appealing an issue “that [he] stipulated to and agreed not to contest [Sawyer] is attempting to void the plea agreement.” United States v. Bazzi, 94 F.3d 1025, 1028 (6th Cir. 1996). When a criminal defendant attempts to appeal an issue within the scope of an appellate waiver provision, “[o]nly challenges to the validity of the waiver itself will be entertained on appeal.” Toth, 668 F.3d at 377. Given Sawyer’s concessions and the fact that he does not dispute that he entered his plea agreement knowingly and voluntarily, we decline to review the reasonableness of his sentence.
III.
Restitution orders are subject to a bifurcated standard of review. “Whether a restitution order is permitted under the law is subject to de novo review,” United States v. Elson, 577 F.3d 713, 720 (6th Cir. 2009) (citing United States v. Johnson, 440 F.3d 832, 849 (6th Cir. 2006)), whereas “the amount of restitution ordered is reviewed under the abuse of discretion standard,” Johnson, 440 F.3d at 849 (quoting United States v. Wood, 364 F.3d 704, 714 (6th Cir. 2004)).
A.
Sawyer first takes issue with the district court’s determination that restitution was mandatory in this case pursuant to the Mandatory Victim’s Restitution Act (MVRA),
Sawyer contends that the EPA cannot be a victim an offense against property because the agency does not have a possessory interest in the asbestos-contaminated land. The question raised by Sawyer’s appeal appears to be one of first impression in this circuit: Whether a federal governmental agency forced to expend funds to remedy the harm caused by a criminal offense can be properly deemed a victim of an “offense against property” under
As an initial matter, while “[t]he MVRA does not define ‘offense against property,’ ” United States v. Luis, 765 F.3d 1061, 1065 (9th Cir. 2014), it is clear that offenses that result in the contamination of property with a dangerous or an apparently dangerous substance typically qualify for restitution under
What is equally clear from the case law is that a government agency can be a victim to whom restitution is owed, regardless of whether it has a possessory interest in the affected property. In United States v. Phillips, the defendant was convicted of violating and conspiring to violate the Clean Water Act. 367 F.3d 846, 849 (9th Cir. 2004). The offense of conviction resulted in the discharge of pollutants—sedi-
Sawyer has a rebuttal to this line of cases. He correctly points out that in cases ordering restitution to government agencies enlisted to clean up property the agencies do not own, courts have not definitively answered whether restitution was authorized under
Sawyer’s position suffers from several problems. First,
The Tenth Circuit in Overholt pondered the same reading of the restitution statutes that Sawyer urges here and it rejected such an interpretation:
Perhaps . . . [the] restitution statutes could be read to say that when there is physical damage to property, the only permissible restitution is payment to the property owner of the amount calculated in accordance with that language, regardless of any financial loss to another victim who was not an owner of the property. But that perverse reading of the statute is certainly not “clear or obvious under current law.” If it were, we question whether the Third Circuit would have upheld an order of restitution under the VWPA requiring the defendants to pay the Coast Guard’s cost of cleaning up their pollution of navigable waters.
307 F.3d at 1254 (citing W. Indies Transp., 127 F.3d at 315). Overholt’s reasoning is compelling, and we rely on it to reject Sawyer’s argument that a party without a possessory interest in the damaged property cannot be a victim under the MVRA.
The district court properly concluded that restitution was mandatory under
B.
Sawyer next claims that the government failed to establish by a preponderance of the evidence that all of the EPA’s losses were directly and proximately caused by his offense of conviction.
As an initial matter, because the district court correctly determined that restitution was appropriate in this case, we review the court’s determination regarding the amount of the government’s losses for an abuse of discretion. Elson, 577 F.3d at 725; United States v. Bogart, 576 F.3d 565, 569 (6th Cir. 2009).
Whether restitution is mandatory or permissive, the government must establish that actual losses to a victim were directly and proximately caused by the offense of conviction.
Sawyer raises several objections to the amount of restitution imposed. Initially, he relies on Paroline v. United States, 572 U.S. 434, 134 S. Ct. 1710, 188 L. Ed. 2d 714 (2014), a case involving restitution to victims of child pornography. There, he points out, the Court stated that it is a “bedrock principle that restitution should reflect the consequences of the defendant’s own conduct.” Id. at 1725. The court went on to hold that “a court applying
Sawyer’s reliance on Paroline is misplaced. There, the Court distinguished the hundreds or even thousands of perpetrators of child pornography who “ha[ve] no contact with the overwhelming majority of the [other] offenders” from “a set of wrongdoers acting in concert” such as a ” ‘gang of ruffians’ [that] collectively beats a person.” Id. at 1724-25. The Court went on to express uncertainty about “whether it could ever be sensible to embrace the fiction that this victim’s entire losses were the ‘proximate result’ of a single possessor’s offense.” Id. at 1725 (internal citation omitted). Unlike the isolated and more passive crimes of the defendant countenanced in Paroline, Sawyer’s conviction for conspiracy necessarily implies his concerted action with others. And this is not a case where Sawyer agreed to play a minor role in a larger scheme. Rather, he fully participated in the fundamental aspects of A&E Salvage’s unlawful conspiracy to violate the Clean Air Act. Paroline’s concerns about the legal and administrative sensibility of adopting joint and several liability in child-pornography crimes simply do not translate to a case involving a finite conspiracy with five defendants who were acting in concert.
“[U]nder the MVRA, if someone is convicted of a conspiracy, the court can order restitution for damage resulting from any conduct that was part of the conspiracy and not just from specific conduct that met the overt act requirement of the conspiracy conviction.” Elson, 577 F.3d at 723 (citation and internal quotation marks omitted). Section
Sawyer next contends that the SCORPIOS report submitted by the government was insufficient to establish the government’s losses in this case. He cites a plethora of cases, although none from this circuit, which suggest that summary accounting tables, like the SCORPIOS report, are insufficient standing alone to support a restitution award. See United States v. Waknine, 543 F.3d 546, 557 (9th Cir. 2008) (“[T]he district court erred by relying exclusively on the one-page loss summaries provided by the victims and in not requiring more detailed explanations of the losses each victim suffered.“); United States v. Hartstein, 500 F.3d 790, 796 (8th Cir. 2007) (“Summary tables of accounting data that are based on evidence not before the court, and that a party has challenged as inaccurate, are not sufficient to support a court’s factual findings.“); United States v. Menza, 137 F.3d 533, 539 (7th Cir. 1998) (“[T]he government must provide the district court with more than just the general invoices . . . ostensibly identifying the amount of their losses. The government must provide sufficient explanations (supported by evidence reflected in the record) as to how these invoiced losses directly relate to Menza’s criminal conduct involved in his underlying convictions.“).
In light of these cases, perhaps it would have been an abuse of discretion for the district court to rely solely on the SCORPIOS report, but the report was not the only information underlying the restitution claim. Buerki, an on-site supervisor for the EPA, testified at great length on the first day of the sentencing hearing about the SCORPIOS report. The district court credited her testimony and found that it substantiated the costs detailed in the report. Sawyer attacks her testimony on the basis that she had no personal knowledge of the site prior to her arrival in 2011. He maintains that nothing in the record establishes that all of the asbestos remediation costs were attributable to A&E Salvage’s conspiracy, and suggests, without offering any proof, that some of the EPA’s costs could have been the result of conditions preexisting A&E Salvage’s activities. While Buerki herself lacked personal knowledge of the site prior to 2011, ample evidence in the record rebuts Sawyer’s position, including the following: a timeline and chart of a Tennessee Department of Environment and Conservation asbestos inspector detailing A&E Salvage’s demolition of buildings on the site during 2007, aerial photos of the site pre- and post-demolition, individual reports from workers who worked at the site before and during A&E Salvage’s activities, A&E Salvage’s own records of the demolition, and forty-seven pages of interview notes from people involved in or who witnessed the demolition and salvage operations performed by A&E Salvage.
Given the ample reliable evidence in the record establishing that A&E Salvage’s activities on the site directly caused the asbestos contamination, which the EPA then cleaned up, it was not an abuse of discretion for the district court to award the government all of its claimed costs minus the $300,000 in costs that Buerki testified were spent cleaning up other hazardous
C.
Sawyer also finds error in the district court’s failure to submit the restitution claim to a jury. In Apprendi v. New Jersey, 530 U.S. 466, 490 (2000), the Supreme Court held that “any fact that increases the penalty for a crime beyond the prescribed statutory maximum must be submitted to a jury, and proved beyond a reasonable doubt.” Five years later, this court grappled with Apprendi in the context of restitution awards and found that “[a]lthough restitution is considered punishment . . . we have nevertheless held that restitution orders are not affected by the Supreme Court’s ruling in [Apprendi] because the restitution statutes do not specify a statutory maximum.” United States v. Sosebee, 419 F.3d 451, 461 (6th Cir. 2005). Sawyer contends that the Supreme Court’s recent expansion of Apprendi’s reasoning to criminal fines in Southern Union Co. v. United States, 567 U.S. 343, 132 S. Ct. 2344, 183 L. Ed. 2d 318 (2012), effectively overrules Sosebee.
Sawyer’s reliance on Southern Union, however, is unavailing. As Sawyer readily admits, Southern Union “did not address the issue of fact-finding concerning restitution obligations.” CA6 R.16, Appellant Br. at 26. What is more, Southern Union did nothing to call into question the key reasoning at the heart of Sosebee, namely that the restitution statutes do not specify maximum awards. See United States v. Churn, 800 F.3d 768, 781-82 (6th Cir. 2015). In Churn, this court determined that Sosebee remains controlling authority, that ”Apprendi does not apply to the MVRA,” and that Southern Union did not cast doubt its conclusions because the statute at issue in that case “had a defined statutory daily maximum.” Id. at 782. In light of Sosebee and Churn, the district court was not required to submit the restitution claim to a jury.
D.
1.
Sawyer attacks the restitution award on various other grounds. First, he contends that the district court should have dismissed the restitution claim because
Where Sawyer’s argument for a strict procedural requirement emanates from, however, is unclear, given
2.
Sawyer also raises due-process concerns about the government’s disclosures in this case. He contends that the government’s disclosure of the SCORPIOS report some three weeks before sentencing was too late to provide him adequate notice and opportunity to respond.
Like the previous claim, this claim is meritless. Sawyer was on notice that restitution would be a contested issue “from practically the outset of this case.” R. 307, Sentencing Tr., Page ID 2008-09. As the trial judge noted at the sentencing hearing, “it has been known for many, many, many months that this court was ultimately going to have to make some factual determinations about restitution in this case.” Id. at 2009. Further, on October 8, 2014, more than forty days prior to the sentencing hearing, the trial court held a status conference concerning, among other things, Sawyer’s motion regarding restitution.
In regards to the information underlying the restitution claim, Sawyer had ample opportunity to review and respond to the documents and witness testimony provided by the government. He received the detailed SCORPIOS report on October 31, 2014, approximately three weeks before the November 19th and 20th restitution hearing. Sawyer filed a reply in support of his motion to dismiss the claim for restitution on November, 10, 2014, which addressed at some length the invoice submit-
Following the November 19th and 20th, 2014, restitution hearing, Sawyer was entitled to and did file objections to the PSR in the form of a supplemental sentencing memorandum. He was even granted an extension of time until December 11, 2014, to file his objections. Sawyer’s written objections to the PSR ultimately included five pages objecting to restitution in this case, including objections to the government’s SCORPIOS report and the government’s witness testimony at the hearing.
In sum, Sawyer was on ample notice of the government’s claim for restitution and of the documents, information, and testimony underlying that claim, and he was given every opportunity and adequate time to respond to the government’s evidence both during and following the sentencing hearing.
3.
Finally, Sawyer points out that the United States has an alternative means of seeking compensation for the costs it incurred cleaning up the former industrial site: a civil cost-recovery action under CERCLA, see
IV.
For the foregoing reasons, we affirm Sawyer’s 60-month sentence and the district court’s restitution award.
