Michael P. Vitale was charged with the crime of engaging in the business of dealing in firearms without a license. 18 U.S.C. § 922(a)(1). The parties stipulated that he did not have a license to deal in firearms and Vitale admitted that he had sold some firearms and had arranged for a friend to sell others. The only issue for the jury was whether he was engaged in a business. The jury found that he was. Vitale has appealed to this court, alleging a variety of procedural errors. After a careful review of the issues, we affirm the conviction.
The first contention is that the trial court should not have allowed Detective Mayeux to explain that he went to the bar where he met Vitale because the state police detectives received “information of possible criminal activity conducted at this particular bar.” The premise of Vitale’s objection is that this testimony was hearsay that should have been excluded. Unquestionably, it should have been excluded if it had been offered for the truth of the matter, that is, to prove that unlawful acts were being committed.
United States v. Cain,
5 Cir. 1979,
This suggestion of a cloud of criminality enveloping the defendant is best not used. There is little legitimate justification for it save to show that the police official was on business, not a vigilante, and, when necessary, such evidence can readily be supplied in some other fashion less prejudicial to the defendant. Yet we have previously allowed police agents to testify in a similar fashion for the limited purpose of explaining why they were at a particular location.
See, e. g., United States v. Gomez,
5 Cir. 1976,
As Vitale points out, the trial court failed to instruct the jury on the limited use of this testimony. Our cases approving testimony of a similar nature have noted that the trial court instructed the jury in its use,
Gomez, supra,
Vitale also argues that the testimony should have been excluded because it was unfairly prejudicial under Rule 403, F.R.Evid. However, Vitale did not make this specific objection known to the court at trial, as required by Rule 103(a)(1). Even assuming that the trial court was aware of the nature of the objection, we cannot say that, under Fifth Circuit precedent, the decision to allow this testimony into evidence was an abuse of discretion.
See United States v. Johnson,
5 Cir. 1977,
Vitale’s second ground of error is that the trial court incorrectly prevented a witness, Robert Bolds, from answering on cross-examination a question that was proper under Rule 704, F.R.Evid. However, the alleged error was not preserved for review, because Vitale’s attorney failed to make an offer of proof making the substance of the evidence known to the trial court.
See
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F.R.Evid. 103(a)(2). Under the law of this circuit, the propriety of a decision to exclude evidence will not be reviewed if an offer of proof was not made at trial.
United States v. Winkle,
5 Cir. 1979,
Vitale next argues that he was entitled to a directed verdict because the government failed to prove that he was in the business of selling guns for profit. Vi-tale argues that, before
United States v. Shirling,
5 Cir. 1978,
Vitale finally asserts that the trial court’s instruction on reasonable doubt, erroneously changed the test to the less stringent preponderance of the evidence standard. However, because Vitale’s attorney did not object to this charge and did not submit his own charge to the court, plain error must be demonstrated. F.R.Cr.P. 52(b). Although one sentence in the charge was not proper, the court’s charge, taken as a whole, adequately conveyed the correct meaning of reasonable doubt to the jury.
See United States v. Rodriguez,
5 Cir. 1978,
For these reasons, the conviction is AFFIRMED.
