Defendant-appellant Michael Porcaro appeals from his conviction of federal conspiracy, attempted extortion, and racketeering, in violation of 18 U.S.C. § 1951 (“the Hobbs Act”) and § 1962(c) and (d) (“RICO”). 1 Appellant argues that (1) the district court erred in denying appellant’s motion to sequester the jury, (2) newspaper articles appearing during the trial were so prejudicial as to deprive appellant of a fair trial, (3) the evidence was insufficient to support appellant’s conviction on either of the two counts of attempted extortion under the Hobbs Act (which together constituted the RICO offense); (4) the government’s delayed disclosure of certain exculpatory evidence constituted prosecutorial misconduct and deprived appellant of a fair trial; and (5) the district court erred in denying appellant’s motion for a new trial based on newly discovered evidence. Finding each of these contentions to be without merit, we affirm.
I.
Appellant was one of nine individuals charged in a six-count indictment 2 with racketeering and extortion offenses involving the attempted takeover of a chain of New England massage parlors. Before tri *755 al five of the defendants — Angelo Mercurio, Richard Floramo, Orlando Napolitano, Samuel Nore, and Carmen Fuccillo — pled guilty to the charges contained in the indictment. Of the remaining defendants, Lynette Graebert was a fugitive from justice at the commencement of the trial, and John Jannoni was murdered before trial. Only appellant and Charles Tashjian went to trial in November 1978. After a fifteen-day trial, the jury convicted appellant on counts I (RICO conspiracy), III and IV (Hobbs Act attempted extortion) and V (substantive RICO offense); he was acquitted on count II (Hobbs Act extortion). Tashjian, charged only in count III of the indictment, was acquitted.
II. Sequestration of The Jury
At the commencement of trial, appellant filed a motion to sequester the jury, on grounds that appellant anticipated an unusual amount of publicity regarding the case due to the “nature of the indictment” and the “type of people involved.” The district court denied the motion, observing that there was no indication that the case would generate more than routine press coverage, that no public figures were involved, that no reporters were present in the courtroom, and that the court believed it sufficient to instruct the jury to decide the case solely on the basis of the evidence. In addition, the court had been infоrmed that there was a shortage of available hotel rooms in Boston, and noted the potential inconvenience of transporting a sequestered jury to accommodations some distance away. The court did, however, express its willingness to reconsider a motion to sequester if later developments warranted it.
The decision whether to sequester the jury lies within the sound discretion of the district court.
E. g., Mastrian v. McManus,
At the time of the motion, appellant’s counsel’s prediction of extensive media coverage was purely speculative. There was no claim of adverse pretrial publicity. Although apрellant now stresses the co-defendants’ guilty pleas as a reason for sequestering the jury, this factor was not mentioned by appellant’s counsel at the time of the motion. The district court indicated its intention to instruct the jury to disregard any publicity that might arise (see
infra),
and was diligent in doing so. Despite the court’s offer to reconsider sequestration if a publicity problem arose, appellant never renewed his motion to sequester once objectionable publicity appeared. Appellant has not demonstrated actual prejudice or even substantial likelihood thereof resulting from the failure to sequester.
See United States v. Johnson, supra,
III. Publicity During the Trial
Appellant points to a number of newspaper articles concerning the case which appeared, principally in the Boston Globe, during the course of the trial, as being so inherently prejudicial as to require a new trial. The most prominent of these articles appeаred on page three of the Globe with headlines such as “Five men admit guilt in massage plot,” “Slain mobster tied to extortion,” and “Suspected ‘hit man’ named in massage parlor trial.” Articles concerning the case appeared on a majority of the days of the trial, authored by Globe reporter Richard Connolly, who regularly attended the trial. Although the reports were primarily objective accounts of the charges and the testimony and were often substantially repetitive of previous reports, several of the articles did contain objectionable, inadmissible information. The material ap *756 pellant claims was most prejudicial was the disclosure of the co-defendants’ guilty pleas; characterizations of various of the co-defendants as “organized crime figures” and the like; discussions of co-defendants’ prior arrests, alleged bad acts, convictions and imprisonment, and Mafia ties; and repeated references to the “gangland-style” murder of Jannoni.
Howevеr, with the unfortunate exception of printing one witness’s statement that appellant had “risen quite far in the [Mafia] organization” (together with the fact that the court had ordered it stricken and instructed the jury to disregard it), the various articles contained no prejudicial characterizations of appellant himself, his reputation, prior acts, arrests, or convictions, nor any speculation as to his guilt or innocence. The only explicit references to appellant merely recounted testimony heard by the jury. The crux of appellant’s claim of prejudice appears to be that the articles implicitly linked appellant and his co-defendants as members of the same alleged plot, and thereby impermissibly tainted appellant with guilt by association in the mind of any juror who read the articles. Appellant argues that such frequent and relatively prominent articles in the leading local newspaper could not have failed to come to thе attention of the unsequestered jury, who had not been explicitly instructed not to read the newspapers. Thus, appellant argues, the articles were per se prejudicial.
The district court’s preliminary instructions stressed the jurors’ duty “to decide this case solely on the basis of what you see and hear in this courtroom,” pointed out the potential unreliability of edited newspaper accounts of a trial, and admonished that the jurors were not to decide “on the basis of what you may read in the paper as to what happened in the courtroom.” However, the court declined to instruct the jurors to avoid exposure to media accounts of the trial, stating:
I am not going to tell you that if you see a newspaper story that has something to do with the case, don’t read it. I am not going to impose that burden on you and I have not been requested by counsel to impose that burden on you.
What I am imposing on you is the burden of remembering that your responsibility is to decide the case solely on the basis of what you see and hear in the courtroom. You don’t need anybody else to tell you what you saw and heard here in this courtroom. You have good eyes and ears, good common sense, and you know what you have seen and heard in this courtroom.
... If there is any one of you who has read anything in the newspapers that causes you to have any doubt as to whether or not you have the ability to give all the parties in this case a fair and impartial trial ... then I want you to signify by raising your hand, and I will see you here at the bench....
In response, one juror indicated he had read about the guilty pleas and expressed confusion regarding the conspiracy charge. After questioning at the sidebar, both appellant’s counsel and the prosecutor stated that they were satisfied that the juror remained impartial. Appellant raised no objection to the court’s instructions or voir dire of the jury. Nevertheless, appellant now contends that the initial publicity “was so massive and so timеd that it was prima facie prejudicial.”
We note that defendant did not object to the district court’s instruction, quoted
ante
at p. 5, or request an instruction to the contrary, and in fact affirmatively endorsed the court’s handling of the matter. Thus, we do not have before us the question whether it would be error, over objection, to give an instruction stating or implying, as this instruction did, that jurors are free to read media accounts of the trial. We do not wish to be understood as approving such an instruction, however, and we take note of considered recommendations that, in any case that appears likely to generate media coverage, the trial court instruct jurors against yielding to the temptation to read, listen to, or watch newspaper, radio, or television reports of the trial.
E. g.,
ABA Standards on Fair Trial and Free
*757
Press § 3.5(e), at 12-13 (1968); Revised Report of the Judicial Conference on the Operation of the Jury System on the “Free Press — Fair Trial” Issue,
For several reasons we reject appellant’s argument that the newspaper coverage of the trial deprived him of a fair and impartial trial. First, appellant’s failure to make timely objections to the district court’s handling of the publicity issue or to request other inquiries and curative procedures is sufficient to foreclose appellant from now raising allegations of prejudicial publicity as grounds for a new trial. 3 Appellant never objected to any of the court’s instructions or suggested a different course. To the contrary, apрellant’s counsel invariably expressed satisfaction with the court’s repeated general instructions regarding the jury’s duty to disregard any information about the case originating outside the courtroom and to decide the case solely on the basis of the evidence.
In
United States v. Perrotta,
In this case, however, appellant insisted that the jurors
not
be polled regarding any of the articles, despite the district court’s offer to do so and the prosecutor’s suggestion that this was the proper procedure. In each instance where appellant’s counsel expressed “concern” as to the potentially prejudicial effect of a given newspaper article, the court asked what appellant wanted done, and in fact did all that was ever
requested
— i.
e.,
repeated its general admоnition. Having deliberately waived the opportunity to ascertain whether any juror had in fact seen any of the allegedly prejudicial articles, and if so to inquire into the
effect
of any such exposure, appellant cannot now complain of the court’s handling of the publicity issue. A district court has discretion in dealing with such matters,
see United States v. Jones,
Despite his failure to demonstrate any indication of actual prejudice, appellant argues that the nature and extent of the publicity in this case was such thаt its collective impact “went beyond tolerable limits”; that prejudice must be presumed to have tainted the verdict. Thus, the argument goes, the burden of negating prejudice shifted to the government and appellant was relieved of the usual duty of showing actual juror prejudice or at least a substantial likelihood of prejudice. This argument is without merit.
The circumstances of this case bear no resemblance to the extreme “media circus” cases in which appellate courts hаve presumed prejudice without any showing of actual bias, in light of pervasive and sensational publicity attending the trial.
Cf.
*758
Murphy v. Florida,
The cases in which such presumptive prejudice has been found are those where prejudicial publicity so poisoned the proceedings that it was impossible for the accused to receive a fair trial by an impartial jury. The clearest paradigms ... [are cases where] the press saturated the community with sеnsationalized accounts of the crime and court proceedings, and was permitted to overrun the courtroom. ...
United States v. Capo,
In the usual case, where the publicity appearing during the trial is neither inherently prejudicial nor unusually extensive, the defendant must assume the traditional burden of showing actual jury prejudice.
Gordon v. United States,
In summary, it cannot be said that appellant was denied a fair trial by reason of prejudicial publicity.
IV. The Sufficiency of the Evidence
In considering the suffiсiency of the evidence supporting appellant’s conviction on Counts III and IV, we review the facts and all the reasonable inferences to be drawn from them in the light most favorable to the government.
Glasser v. United States,
Counts III and IV charged appellant with two instances, respectively, of attempted extortion in violation of the Hobbs Act, 18 U.S.C. § 1951. That statute provides, in pertinent part:
*759 (a) Whoever in any way or degree obstructs, delays, or affects commerce or the movement of any artiсle or commodity in commerce, by robbery or extortion or attempts or conspires so to do, or commits or threatens physical violence to any person or property in furtherance of a plan or purpose to do anything in violation of this section shall be fined not more than $10,000 or imprisoned not more than twenty years, or both.
(b) As used in this section— ******
(2) The term “extortion” means the obtaining of property from another, with his consent, induced by wrongful use of actual or threatened force, violence, or fear, or under color of official right.
A. Count III
Count III arose out of the alleged attempt by appellant and others under his control to evict by extortionate means the franchises of the Swedish Sauna massage parlor in Reading, Massachusetts. The evidence, viewed most favorably to the government, indicated that appellant, through a corporation which he controlled (“G.M.”), attempted to coerce the franchisees of the Reading Swedish Sauna (Farinа and Mancinelli) either to purchase the franchise or vacate it some three months before the expiration of the franchisees’ contract to operate the sauna, and that appellant and his agents explicitly disclaimed any reliance on or adherence to the contract, and attempted to intimidate the franchisees through threats and physical violence.
It is the jury’s responsibility to choose among various reasonable constructions of thе evidence.
United States v. Klein,
Appellant argues that even if the above actions are all attributed to him, he nevertheless cannot be convicted of violating the Hobbs Act because he was acting pursuant to G.M.’s “inherent right” to enforce the terms of the management agreement against Farina and Mancinelli. Thus, relying on
United States v. Enmons,
Enmons
dealt with the question whether the use of violence (sabotage of equipment owned by the employer) by striking union members in order to obtain higher wages and other benefits constituted extortion under the Hobbs Act. In a five-to-four decision, the Supreme Court held that the use of unlawful means to achieve legitimate union
objectives
— i.
e.,
greater comрensation for genuine services — does not violate the Hobbs Act. The court concluded that the term “wrongful” in the Act “limits the statute’s coverage to those instances where the obtaining of the property itself would be ‘wrongful’ because the alleged extortionist had no lawful claim to that property.”
*760
Appellant’s reliance on Enmons is misplaced. First, the evidence was sufficient to support a finding that appellant and his associates were not in fact acting in reliance on any contractual rights they may have had to the premises under the Management Agreement when they threatened Farina and Mancinelli and demanded immediate payment of the $50,000 or eviction. No legal basis for these actions was even suggested at the time. It is undisputed that Farina and Mancinelli’s contract to operate the Reading sauna extended to August 31, 1975. Both appellant and co-defendant Mercurio disclaimed any reliance on the contract. It was not until late June, 1975, nearly one month after G.M.’s agents assaulted Farina, that G.M. first purported to assert its contractual right to evict Farina and Mancinelli for alleged violations of the Management Agreement. 4 Thus, it could be reasonably inferred that appellant’s assertion of property rights to the premises was a mere pretext, resorted to only after attempts to obtain the property (or money) prematurely through intimidation had failed. Enmons does not permit a subsequently conceived, post-violence legal claim to property to sanitize retroactively an attempted extortion.
Second, quite apart from misplaced reliance on alleged property rights, appellant’s interpretation of
Enmons
is without support.
Enmons
is a labor case dealing with the unique problem of strike violence.
United States
v.
Cerilli,
The [Enmons] court’s reasoning was obviously and explicitly tied to the labor context and more specifically to the strike context. Any application of Enmons to cases outside of that context must be done with caution. Otherwise, there is danger that Enmons, if read as the appellants read it, could effectively repeal the Hobbs Act.... Thus we understand Enmons as not relying primarily on the legitimacy of the uniоn’s objectives but rather on the clear Congressional intent ... that violence during labor strikes not be punishable as extortion under the Hobbs Act.
Affirmed.
Notes
. RICO stands for Racketeer Influenced and Corrupt Organizations, referring to patterns of racketeering offenses made unlawful in 18 U.S.C. §§ 1961-1963 (1976).
. Defendant Porcaro was charged only in counts one through five. Count six charged obstruction of justice in violation of 18 U.S.C. § 1503.
.
But cf. United States v. Williams,
. G.M. representatives appeared at the Reading establishment on June 20, 1975 to attempt to evict Farina and Mancinelli, but were ordered to leave by a uniformed policeman. By letter of June 27, 1975, G.M.’s attorney demanded that Farina correct alleged violations of paragraph 9 (Payments to Company), 11 (Covenant not to Compete), and 19 (Operator’s Defaults) or be evicted.
