UNITED STATES of America, Plaintiff-Appellee,
v.
Melvin Glenn NEAL, Ricky Clyde Duncan, Leslie Raymond Jones,
Clifford P. Sutherland, James Glen Pace, Evelyn Austin
Graham, Timothy Wade Green, Jacky Ronald Pace, Gilbert D.
Smith, Jimmy Wayne Joyce, Defendants-Appellants.
No. 90-1957.
United States Court of Appeals,
Fifth Circuit.
July 21, 1994.
Rehearing Denied Sept. 22, 1994.
George R. Trimber (Court-appointed), Trimber & McAfee, Ft. Worth, TX, for Jones.
Franklin W. Cram, Arlington, TX (Court-appointed), for Sutherland.
John F. Taylor (Court-appointed), Cantey & Hunger, Ft. Worth, TX, for Pace.
George B. Macky, Ft. Worth, TX (Court-appointed), for Graham.
Stephen Mitchell, Hurst, TX (Court-appointed), for Joyce.
Stephen M. Stasio, Ft. Worth, TX (Court-appointed), for Green.
R.H. Wallace, Jr. (Court-appointed), Shannon, Gracey, Ratliff & Miller, Ft. Worth, TX, for Jacky Pace.
Gerhard Kleinschmidt, Ft. Worth, TX (Court-appointed), for Smith.
Danny O. Burns, Ft. Worth, TX (Court-appointed), for Duncan.
David L. Richards, Ft. Worth, TX (Court-appointed), for Neal.
Joe C. Lockhart, Asst. U.S. Atty., Dallas, TX, Fred Schattman, Asst. U.S. Atty., Marvin Collins, U.S. Atty., Ft. Worth, TX, for appellee.
Appeals from the United States District Court for the Northern District of Texas.
Before GOLDBERG, HIGGINBOTHAM, and EMILIO M. GARZA, Circuit Judges.
EMILIO M. GARZA, Circuit Judge:
Defendants Jacky Ronald Pace, James Glen Pace, Melvin Glenn Neal, Ricky Clyde Duncan, Leslie Raymond Jones, Clifford P. Sutherland, Evelyn Austin Graham, Timothy Wade Green, Gilbert D. Smith, and Jimmy Wayne Joyce ("the Defendants") were jointly tried and convicted of various offenses stemming from a conspiracy to manufacture, possess, and distribute amphetamine. All ten defendants were convicted of conspiring to manufacture, distribute, or possess with intent to distribute a controlled substance, in violation of 21 U.S.C. Secs. 841(a)(1) and 846 (1988).1 All ten defendants now appeal their convictions. We affirm in part, vacate in part, and remand in part.
* In 1984 and 1985, Jacky Pace operated an extensive conspiracy to distribute amphetamine. At varying points throughout the conspiracy's existence, Pace recruited the other Defendants into his organization.2 Pace also established a network of phony corporations ("the JRP group") to purchase the chemicals and equipment necessary to manufacture amphetamine and to launder the money he received from his amphetamine operations. Agents of the Drug Enforcement Administration ("DEA") and the Texas Department of Public Safety ("TDPS") apparently learned of Pace's involvement in the amphetamine trade through surveillance of Metroplex Chemicals, a Dallas business that supplied chemicals and glassware to amphetamine manufacturers.
In June 1987, the government brought a forty-three count indictment charging thirty-one persons with various offenses arising out of their participation in Pace's amphetamine distribution ring. The case proceeded to trial in May 1989, but the district court declared a mistrial because of excessive publicity. In October 1989, the case again proceeded to trial, and the jury returned with its guilty verdicts in September 1990.
II
The Defendants first argue that their Fifth Amendment rights to due process were violated by the excessive delay between the occurrence of the last overt act taken in furtherance of the conspiracy and the bringing of the indictment. The Due Process Clause of the Fifth Amendment protects an accused against preindictment delay. United States v. Lovasco,
III
* The Defendants next contend that the district court erred in denying their motions to dismiss based upon alleged violations of the Speedy Trial Act. The Act requires that a federal criminal defendant be tried within seventy days of his indictment or appearance in front of a judicial officer, whichever is later. 18 U.S.C. Sec. 3161(c)(1). If the Act is violated, the indictment must be dismissed. However, the Act provides for a number of exclusions--time that is not charged against the seventy-day clock. See 18 U.S.C. Sec. 3161(h); United States v. Williams,
Here, the Act's clock began to run on November 16, 1987, the day the last defendant appeared before a judicial officer. United States v. Welch,
On May 18, the district court declared a mistrial, thereby resetting the trial clock to zero. 18 U.S.C. Sec. 3161(e). On the same day, Jacky Pace filed a motion seeking an examination to determine his competency. Thus, the period from May 18 until August 25--when Pace was found competent to stand trial--must be excluded. 18 U.S.C. Sec. 3161(h)(1)(A). Moreover, pretrial motions filed by several Defendants were pending until September 20. Thus, only four days had run from the clock when the Defendants' second trial began on September 25. Consequently, no violation of the Speedy Trial Act occurred.
B
The Defendants also allege a violation of the Sixth Amendment. The Sixth Amendment guarantees that "[i]n all criminal prosecutions, the accused shall enjoy the right to a speedy ... trial." The right to a speedy trial "attaches at the time of arrest or indictment, whichever comes first, and continues until the date of trial." United States v. Garcia,
In examining the reasons for the delay, we must heed the Supreme Court's warning that "pretrial delay is often both inevitable and wholly justifiable." Doggett v. United States, --- U.S. ----, ----,
We also must weigh the fourth factor--whether the Defendants suffered any prejudice as a result of the delay--against the Defendants. Although affirmative proof of particularized prejudice is not essential to every speedy trial claim, id. at ----,
Glen Pace argues that, as a result of the delay, "he lost his opportunity to present evidence as two witnesses died and his army records were lost." Pace, however, has failed to demonstrate that the allegedly lost evidence impaired his defense to any significant degree. For example, he has not adequately explained either why the facts to which the lost witnesses would have testified could not have been elicited from other witnesses or what relevance his lost army records had to the issues of this case. Moreover, he has not explained why neither he nor his attorney took steps to preserve the witnesses' testimony for trial. See Robinson v. Whitley,
IV
The Defendants contend that significant portions of the transcript have been, or possibly could have been, omitted, thus precluding appellate counsel from examining the record for possible errors. They further argue that the trial transcript is so inaccurate as to render it unreliable for the purpose of appellate review. Thus, the Defendants contend that we should reverse the judgment of the district court and remand for a new trial.
* A criminal defendant has a right to a record on appeal that includes a complete transcript of the proceedings at trial. United States v. Margetis,
B
The Defendants next allege that the transcript is unreasonably inaccurate. A transcript need not be correct in every detail. Instead, it need only "report the proceedings with reasonable completeness and substantial accuracy." United States v. Anzalone,
The Defendants correctly note the district court's finding that the more-than-150-volume transcript contained over 300 errors. After reviewing the transcript, however, we agree with the government's position that these errors, most of which were corrected to the parties' satisfaction by the district judge, were primarily of a typographical nature.12 Thus, the Defendants have wholly failed to demonstrate that the transcript is unreasonably incomplete or substantially inaccurate. Finally, the Defendants have not demonstrated that any errors in the transcript have caused them specific prejudice, and we do not believe that our review of the claims raised on appeal is impeded in any way by the relatively minor inaccuracies cited by the Defendants.
V
The Defendants13 contend that the district court erred in denying their respective motions for severance.14 Denial of a motion for severance is reviewable only for an abuse of discretion.15 See Zafiro v. United States, --- U.S. ----, ----,
* Several Defendants allege that they were entitled to severance because their involvement in the conspiracy was extremely limited. These Defendants also contend that the reputations of certain codefendants and evidence of their past crimes created a prejudicial spillover effect. However, a quantitative disparity in the evidence "is clearly insufficient in itself to justify severance." United States v. Harrelson,
B
The Defendants next argue that severance should have been granted because their defenses were antagonistic with the defense presented by Jacky Pace. It is undisputed that, in some circumstances, "mutually antagonistic" defenses may be so prejudicial as to mandate severance. See Zafiro, --- U.S. at ----,
To support their claim of mutually antagonistic defenses, the Defendants point to comments made by Pace's counsel during his opening statement indicating that Pace was guilty of manufacturing and distributing amphetamine.18 See United States v. Romanello,
"Defenses are antagonistic if they are mutually exclusive or unreconcilable, that is, if the core of one defendant's defense is contradicted by that of another." United States v. Rojas-Martinez,
C
The Defendants next argue that they were entitled to severance because separate trials would have allowed the codefendants to testify for each other. The Supreme Court has recognized that "a defendant might suffer prejudice [from a joint trial] if essential exculpatory evidence that would be available to a defendant tried alone were unavailable in a joint trial." Zafiro, --- U.S. at ----,
Both Smith and Glen Pace, however, have demonstrated that Jacky Pace--the undisputed leader of the conspiracy--would have testified on their behalf had severance been granted. During the second trial, Smith submitted an affidavit from Jacky Pace in which Pace maintained that Smith in no way helped or participated in Pace's amphetamine business.21 Additionally, Jacky Pace extensively testified in camera that Glen Pace neither participated in nor in any way intentionally furthered the amphetamine conspiracy. This testimony, quite obviously, is essential to both Smith's and Glen Pace's claims of innocence. Thus, both Smith and Glen Pace have established a bona fide need for Jacky Pace's testimony, the substance of that testimony and its exculpatory nature, and that Jacky Pace would in fact testify. Therefore, we conclude that Glen Pace and Smith should have been tried separately from Jacky Pace. Consequently, we vacate their convictions and remand for a new trial.22 See Romanello,
VI
The Defendants argue that the district court erred in allowing Terry Vernon, an attorney employed by Smith's law firm during 1984 and 1985, to testify in violation of the attorney-client privilege. Vernon testified that Smith invited him to attend a meeting with Duncan, Neal, and a bookkeeper employed by Jacky Pace. Vernon, after reviewing the JRP-group corporate documents presented at the meeting and talking to Duncan and Neal, informed Smith and another attorney that, in his opinion, "this was a money laundering operation, that is was illegal, and that he was not going to get involved in it."23 The district court assumed that an attorney-client relationship existed between Vernon and the Defendants, but allowed Vernon to testify because the communication to Smith fell within the "crime-fraud" exception to the privilege.24 Alternatively, the district court found that the Defendants waived the privilege.25
"The application of the attorney-client privilege is a 'question of fact, to be determined in the light of the purpose of the privilege and guided by judicial precedents.' " In re Auclair,
Here, the district court assumed that an attorney-client relationship existed between Vernon and the persons present at the meeting. Where the privilege exists, it
protects communications from the client to the attorney made in confidence for the purpose of obtaining legal advice. It shields communications from the lawyer to the client only to the extent that these are based on, or may disclose, confidential information provided by the client or contain advice or opinions of the attorney.
Wells v. Rushing,
The Defendants contend that because Vernon did not communicate to Duncan and Neal his conclusion that they were involved in continuing illegal activity, the communication at issue was not "made for the purpose of obtaining aid in the commission of future criminal acts." Therefore, the Defendants conclude that the communication cannot fall within the crime-fraud exception to the privilege. However, the mere fact that an attorney does not agree to participate with a client in criminal activity planned or ongoing at the time the client solicits advice is not dispositive regarding whether the attorney-client privilege can be invoked. See Ballard,
VII
The Defendants next assert they are entitled to reversal because of the prosecutor's alleged misconduct. The acts of misconduct cited by the Defendants consist of violations of discovery rules, improper remarks during the trial, and an improper exhibition of objects during trial that were not placed in evidence. The Defendants further argue that the cumulative effect of the separate acts of misconduct requires reversal. We address each claim in turn.
* 1
The Defendants contend that the prosecution violated several discovery orders by refusing to provide certain materials and providing other materials after the date ordered by the district court.26 The district court held a hearing regarding discovery matters in December 1987 and, in late January 1988, ordered the government to make available for inspection all physical evidence and to provide defense counsel with a list of all relevant reports.27 The prosecution filed a notice of compliance with the court's order in April.28
Pursuant to Fed.R.Crim.P. 16, which establishes the parameters of discoverable evidentiary materials, "[t]he trial court holds great latitude in the management of the discovery process, including fashioning the appropriate remedy for alleged discovery abuses." Ellender,
We conclude that the district court did not abuse its discretion with regard to discovery matters. A review of the record indicates that when the Defendants notified the court of the government's noncompliance with a discovery order or Rule 16, the district court took appropriate action, including granting continuances so the Defendants would have adequate time to examine the disclosed evidence. Additionally, the Defendants have in no way established prejudice to their substantial rights as a result of any alleged error in the district court's administration of discovery rules. Ellender,
2
Jacky Pace next challenges the prosecution's failure to timely produce a memorandum criticizing the DEA's handling of the Metroplex Chemical operations. On October 5, 1989, shortly after the second trial had started, Jacky Pace requested that the district court order the government to produce all reports criticizing the DEA's operations concerning several chemical supply stores in the Dallas area. On October 10, the district court directed the government to produce such reports. Because the prosecution did not produce the memorandum until April 1990, Pace contends that the government violated the command of Brady v. Maryland, which held that "the suppression of evidence favorable to an accused upon request violates due process where the evidence is material either to guilt or punishment, irrespective of the good or bad faith of the prosecution."29
"To succeed on a Brady claim, a defendant must establish (1) that evidence was suppressed; (2) that this evidence was favorable to the accused; and (3) that the evidence was material either to guilt or punishment." Ellender,
The prosecution produced the memorandum at issue to the Defendants during trial.30 Thus, the prosecution did not suppress any evidence. United States v. McKinney,
B
The Defendants further contend that they are entitled to reversal because of certain improper remarks made by the prosecutor at trial. "Improper comments by a prosecutor may constitute reversible error where the defendant's right to a fair trial is substantially affected." United States v. Anchondo-Sandoval,
The first instance of impropriety cited by the Defendants occurred when the prosecutor remarked during opening statements that some government witnesses were "bad people" because they used drugs. The Defendants argue that this was an indirect comment that they also were bad people. We find nothing inappropriate, however, in allowing the prosecution to inform the jury that several government witnesses had questionable pasts. Cf. United States v. West,
The Defendants next challenge the prosecutor's one-time characterization of questions propounded by Jacky Pace's counsel as an "attack," the prosecutor's "lumping" all the Defendants together by using the term "they" when referring to questions asked by counsel for Jacky Pace, and the prosecutor's placing a box labelled "Fred's box of Gilbert D. Smith's baloney" on a table in view of the jury. After each episode, however, the district court, as requested by defense counsel, instructed the jury to disregard the prosecutor's comments. Consequently, we do not believe that these incidents provide any grounds for reversal.
C
The Defendants submit that the prosecutor engaged in misconduct by allowing a government witness to improperly display to the jury a "pouch" containing a syringe and pills seized from Green at the time of his arrest.33 As the witness had already testified that such items had been seized from Green, we do not believe that allowing the witness to display the pouch constituted reversible error. Cf. United States v. Allie,
D
Lastly, the Defendants contend that even if none of the events of alleged misconduct warrants reversal,34 the cumulative effect of the prosecutor's actions requires a new trial. In support of this assertion, the Defendants cite United States v. Canales,
VIII
The Defendants next submit that the district court committed reversible error by not giving a "multiple conspiracy" instruction.35 The Defendants specifically argue that the evidence presented at trial demonstrated that "a number of conspiracies could have existed other than [the] single conspiracy ... alleged in the indictment."36 The government argues that there was one and only one overall conspiracy and that the Defendants were parties to that conspiracy. We agree.
"Defendants are entitled to a multiple conspiracy instruction when they specifically and timely request such an instruction and their theory of multiple conspiracies is supported by the law and has some foundation in the evidence." United States v. Greer,
We believe that the instructions provided by the district court were sufficient to meet the Defendants' concerns.37 See id. at 1088-90 (holding that the jury instructions given by the district court were adequate to inform the jury to consider whether each of several defendants joined the conspiracy described in the indictment). The evidence presented to the jury established that the Defendants joined together to pursue a common goal,38 the nature of the scheme was that of a single conspiracy,39 and that one pivotal figure directed the illegal activities.40 See Maceo,
IX
Joyce argues that the district court erred in allowing testimony that police officers, pursuant to a search incident to his arrest, discovered a firearm in the vehicle that he was driving. Officer James Beasley testified that Joyce had "committed" to entering the driveway of an amphetamine laboratory site when he apparently saw officers surveilling it. When Joyce attempted to leave the area, officers stopped his vehicle. While speaking with Joyce, Beasley noticed a "very strong pungent smell of phenylacetic acid[--a chemical used in the manufacture of amphetamine--coming] from inside the vehicle." Beasley testified that he subsequently saw a pistol "wedged down in the seat beside the driver's right leg," and Joyce then was arrested.
Joyce failed to object at trial to the testimony that he possessed a firearm when arrested.41 Therefore, we may reverse only if the admission of the testimony at issue constitutes plain error. See Fed.R.Crim.P. 52(b); United States v. Greenwood,
X
Lastly, Duncan points out the jury found him guilty of both engaging in a conspiracy in violation of 21 U.S.C. Sec. 846--as charged in count 1 of the indictment--and participating in a continuing criminal enterprise ("CCE") in violation of 21 U.S.C. Sec. 848--as charged in count 5. Duncan contends that participation in a Sec. 846 conspiracy is a lesser-included offense of participation in a Sec. 848 continuing criminal enterprise. The government agrees. See United States v. Devine,
Duncan argues that we should not merely vacate his conviction and sentence under Count 1, but also that we should vacate his sentence under Count 5 and remand for resentencing. We agree. The record is unclear as to whether the conspiracy conviction led the trial court to impose a harsher sentence on the CCE count.42 Consequently, a remand is necessary. See United States v. Michel,
XI
For the foregoing reasons, we VACATE Duncan's conviction for conspiring to possess amphetamine with intent to distribute under Count 1. Additionally, we VACATE the convictions of Smith and Glen Pace and the sentence of Duncan pursuant to Count 5 of the indictment, and REMAND for further proceedings consistent with this opinion. In all other respects, we AFFIRM the judgment of the district court.
Notes
Additionally, the jury found Jacky Pace guilty of one count of aiding and abetting the manufacture of amphetamine, in violation of 21 U.S.C. Secs. 841(a)(1) and (2); one count of engaging in a continuing criminal enterprise, in violation of 21 U.S.C. Sec. 848; multiple counts of investing income derived from a drug conspiracy, in violation of 21 U.S.C. Sec. 854; one count of aiding and abetting interstate travel in furtherance of a drug conspiracy, in violation of 18 U.S.C. Secs. 1952 and 2; and one count of conspiring to impede the Internal Revenue Service, in violation of 18 U.S.C. Sec. 371. James Glen Pace was convicted of multiple counts of investing income derived from a drug conspiracy, one count of conspiring to impede the Internal Revenue Service, and one count of using a communication facility to facilitate the conspiracy to manufacture amphetamine, in violation of 21 U.S.C. Sec. 843(b). Neal was found guilty of engaging in a continuing criminal enterprise, multiple counts of investing income derived from a drug conspiracy, and conspiring to impede the Internal Revenue Service. The jury convicted Duncan of engaging in a continuing criminal enterprise, investing income derived from a drug conspiracy, aiding and abetting interstate travel in furtherance of a drug conspiracy, and conspiring to impede the Internal Revenue Service. Smith was found guilty of five counts of investing income derived from a drug conspiracy and one count of aiding and abetting interstate travel in furtherance of a drug conspiracy
Only defendants Glen Pace and Smith challenge their convictions on sufficiency grounds
Glen Pace alleges that the loss of witnesses Herbert Wassom and Roy Pace prejudiced his defense. However, were we to find Pace's speculative assertion sufficient to demonstrate actual prejudice, Pace has not refuted the government's contention that the delay was necessary for investigative purposes. Thus, Pace has not demonstrated that the government intentionally delayed the indictment to gain a tactical advantage. See Lovasco,
The Act provides for the exclusion of "[a]ny period of delay resulting from other proceedings concerning the defendant, including ... 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...." 18 U.S.C. Sec. 3161(h)(1)(F). Here, the Defendants attack the exclusion of time during which motions were pending as unjustified. Nonetheless, the Act is "all but absolute" in excluding time during which motions are pending. United States v. Walker,
We further note that Joyce and another defendant filed a motion for continuance, which the district court, based upon its finding that the ends of justice so required, granted on January 25, 1988. See 18 U.S.C. Sec. 3161(h)(8)(A) (excluding any period of delay resulting from a continuance granted on the basis of the court's finding that the continuance served the "ends of justice"). Two days later, the court set the case for trial on September 7, 1988. On September 1, however, the district court again granted a continuance based upon the ends-of-justice analysis. On October 4, the court set a new trial date of May 1, 1989
In assessing prejudice, we must look to the policies underlying the Sixth Amendment's guarantee of a speedy trial: "(i) preventing oppressive pretrial incarceration; (ii) minimizing a defendant's anxiety and concern; and (iii) assuring that a delay does not impair the defense." Garcia,
We note that Joyce sought a continuance as late as May 13, 1989, which the district court denied
The Defendants contend that we should weigh any delay caused by the number of defendants against the government due to the government's desire to "bring[ ] a mega show trial." However, the Defendants concede that initial joinder was proper
On appeal, Jones, Neal, Joyce, and Duncan are represented by new counsel
For example, it is undisputed that the transcript inaccurately reports that the district court, in response to a defense objection to the admission of certain evidence, stated, "You ain't going to be putting the evidence in by me, buster." The Defendants therefore contend that "whatever explanation [the court] may have offered as to why he admitted the evidence ... is missing." However, the transcript relates that the district court admitted the challenged evidence "because it was made from the [witness's] knowledge. It was a summary and I don't want to argue about it. It's admitted."
Glen Pace alleges that testimony given in camera by Jacky Pace regarding the testimony that Jacky would have given had Glen Pace's trial been severed from his own is not included in the record on appeal. That assertion is incorrect. See part V.C. infra
For example, volumes 82 and 88 of the record on appeal, although purporting to transcribe the same proceeding, contain different language. However, as even the Defendants admit, the cited volumes are "quite similar," and we do not see how the de minimis discrepancies render the transcript unreasonably inaccurate
In this section, "the Defendants" excludes Jacky Pace
Fed.R.Crim.P. 14 provides:
If it appears that a defendant or the government is prejudiced by a joinder of ... defendants ... for trial together, the court may order an election or separate trials of counts, grant a severance of defendants or provide whatever other relief justice requires.
Although we have expressed serious concerns regarding criminal megatrials, United States v. Ellender,
Thus, the Defendants agree that joinder initially was proper. See Fed.R.Crim.P. 8(b)
The jury found Neal not guilty of the criminal acts alleged in counts 25-31; Jacky Pace not guilty of counts 3 and 41; Glen Pace not guilty of count 5; Sutherland not guilty of counts 3, 5-31; and Smith not guilty of counts 6-26 and 43
During his opening statement, Pace's counsel remarked that Pace did "not dispute committing the acts of purchasing chemicals, manufacturing amphetamine, and participating in the sale of amphetamine." Continuing, counsel stated that "Jacky Pace did precisely what [the government] said that he did in this Indictment insofar as manufacturing and selling amphetamine." In admitting his guilt, Pace rested his defense at trial on his claim of outrageous government conduct. Pace argued to the jury that the DEA tacitly consented to his activities by allowing him to repeatedly purchase the chemicals required for manufacturing amphetamine as part of its plan to identify the "major" drug dealers in the Dallas-area
But see United States v. Kane,
The Defendants also contend that Pace's counsel referred to the codefendants as "kingpins." We disagree. Counsel did not refer to the codefendants as kingpins, but instead argued that the government made Jacky Pace into a drug kingpin by allowing him to manufacture amphetamine:
In summary we're going to try to show you that when after lo, those many years when the DEA and other law enforcement agencies permitted Mr. Pace's activities to go on, that when they finally got around to indicting him in June of '87 it was hailed as a big case for the Drug Enforcement Administration and the United States Attorney's Office. That's the only answer that I can give you as to why those agents would permit that type of activity to go on, not out of ill motive, not out of ill served sense of what their purpose is, but simply because in their zeal to try to make the kingpins, they did indeed, ladies and gentlemen, make the kingpins. And if Jacky Pace is a kingpin as he sits here before you today[,] by the time this trial is over with we're going to show you that it's because the Drug Enforcement Administration made him that.
Jacky Pace averred that Smith: "did not obtain or deliver for [Pace] any glassware, chemicals or other items necessary for producing amphetamine"; "did not sell any amphetamine for [Pace]"; did not "commit[ ] any act in furtherance of any amphetamine manufacture, sale or distribution in which [Pace] participated"; "was not a part of the 'Pace Organization' "; "did not enter into any agreement, partnership or association ... to manufacture, distribute or sell or to possess with intent to distribute or sell amphetamine"; and was retained by Pace only "as an attorney at law."
Thus, we find that the evidence presented below was sufficient to support a verdict against them and need not address their other individual claims of error. See Romanello,
The Defendants do not contend on appeal that Vernon's testimony regarding the corporate structure of the JRP group or the documents that he examined during the meeting involved privileged communications. See Joint Brief at 70 ("The communication divulged by Vernon in the instant case is singular: Vernon's alleged communication to [Smith and Cordes]....")
We note that the better route would have been for the district court to determine first whether an attorney-client relationship existed and, in the alternative, decide issues involving exceptions to or waiver of the privilege. See Harrelson,
The Defendants initially argue that these findings are clearly erroneous because the district court originally ruled that the communication at issue was privileged, but that the privilege was waived. We find nothing erroneous, however, about the district court's decision to clarify the record by stating the exact reasons why it admitted the testimony in question
The Defendants also contend that the prosecution's failure, prior to trial, to produce certain reports and statements prepared by government agents violated the Jencks Act. The Jencks Act provides in relevant part:
After a witness called by the United States has testified on direct examination, the court shall, on motion of the defendant, order the United States to produce any statement ... of the witness in the possession of the United States which relates to the subject matter as to which the witness has testified....
18 U.S.C. Sec. 3500(b) (emphasis added). Thus, the Jencks Act does not require that the prosecution disclose such reports prior to trial. See United States v. Campagnuolo,
Prior to the hearing, the government provided defense counsel with access to discoverable evidence using a "discovery room" into which it placed all tangible evidence. See United States v. Kenny,
The prosecution sought additional time to comply with the portion of court's order directing it to (1) "designate by April 18, 1988 those documents which it does not intend to introduce into evidence," (2) "segregate and identify, by April 25, 1988 those documents, excluding investigative reports, in which a specific defendant is mentioned by name," and (3) provide copies of the latter documents to defense counsel
The other Defendants contend that the tardy disclosure of the memorandum constitutes evidence of prosecutorial misconduct in that if the memorandum would have been available earlier in the proceedings, it would have supported Jacky Pace's defense and the district court would have granted their motions to sever. However, the district court's decision to deny the severance motions did not turn on the credibility of Pace's defense, but rather that his defense was not mutually antagonistic with the claims of innocence made by the other Defendants
As it turned out, the government's case agent, TDPS Lieutenant Mike Dunn, authored the memorandum
As his brief recognizes, "the trial court allowed counsel for Defendant [Jacky] Pace to delve into matter of the DEA and DPS involvement in operating chemical and glassware supply houses...."
The Defendants also submit that the prosecutor engaged in misconduct by arguing the case during his opening statement. After reviewing the cited pages of the record, we conclude that the prosecutor did not argue the case during opening statements. Instead, the prosecutor merely informed the jury what he believed the evidence would demonstrate
The pouch had not been, and was not, admitted in evidence
Indeed, the Defendants appear to concede this point. See Joint Brief at 60 ("Where, as here, prosecutorial misconduct does not directly violate a criminal defendant's rights....")
The Defendants preserved this error by requesting such an instruction at trial
At times, it appears as if the Defendants contend that the evidence was insufficient to support their convictions for conspiracy. For example, they allege that "[n]o agreement was proven to exist between [them]." However, the jury, in convicting them of conspiracy, specifically found the existence of such an agreement, and that finding is supported by the evidence
The district court instructed the jury:
Two essential elements are required to be proved beyond a reasonable doubt in order to establish the offense of conspiracy charged in the Indictment:
That two or more persons in some way or manner, positively or tacitly, came to a mutual understanding to try to accomplish a common and unlawful plan, as charged in the Indictment,
That the defendant willfully became a member of such conspiracy
....
The Indictment charges a conspiracy between the named defendants and others, both named and unnamed.... [Y]ou cannot find a defendant guilty unless you find beyond a reasonable doubt that the defendant participated in a conspiracy as charged with at least one other person, whether named or not, as charged in the Indictment.
In your consideration of the conspiracy offense as alleged in the Indictment, you should first determine, from all of the testimony and evidence in the case, whether or not the defendant under consideration wilfully became a member of such conspiracy.
If the jury should find from the evidence beyond a reasonable doubt that the conspiracy charged in the Indictment existed, and that the defendant under consideration and at least one other person were members of the conspiracy, then proof of the conspiracy is complete; and it is complete as to every person found by the jury to have been willfully a member of the conspiracy at the time alleged in the Indictment.
R. at 557-60 (emphases added)
A common purpose exists in a plan to derive personal gain through the manufacture and distribution of amphetamine. See United States v. Maceo,
We have stated that
[w]here the activities of one aspect of the scheme are necessary or advantageous to the success of another aspect of the scheme or to the overall success of the venture, where there are several parts inherent in a larger common plan, ... the existence of a single conspiracy will be inferred.
United States v. Elam,
"A single conspiracy exists where a 'key man' is involved in and directs the illegal activities, while various combinations of other participants exert individual effort toward a common goal." Richerson,
To the extent Joyce's claim of error can be construed a challenge to Beasley's subsequent testimony that Joyce was arrested for possessing the pistol, Joyce again failed to lodge a contemporaneous objection
Duncan was sentenced to concurrent terms of imprisonment of sixty years on the CCE count and fifteen-years on conspiracy count. On the other counts of conviction--investing income derived from a drug conspiracy, aiding and abetting interstate travel in furtherance of a drug conspiracy, and conspiring to impede the Internal Revenue Service--Duncan received terms of ten years, five years, and five years, all to run concurrently with the CCE sentence
