The United States appeals the dismissal of Count Four of its indictment against the Defendant-Appellee, Ralph Maza, charging him with a violation of 21 U.S.C. § 848, the Continuing Criminal Enterprise (CCE) statute. Maza moved for dismissal of this count on the ground that it violated his Fifth Amendment rights under the Double Jeopardy Clause because he previously had been indicted and convicted, in the Southern District of Florida, of a violation of 21 U.S.C. § 846. Section 846, Maza argues, is a lesser included offense of § 848; therefore, Count Four is double jeopardy barred unless the government shows that this second prosecution is based on newly discovered evidence pursuant to the due diligence exception to the double jeopardy rule set out in
Brown v. Ohio,
*1006
Relying on our recent decision in
United States v. Gonzalez,
I. BACKGROUND
On October 12, 1989, Ralph Maza was arrested at his residence in Miami and officers seized 22 kilograms of cocaine from his garage. Following his arrest Maza confessed that for some period of time he had allowed his garage to be used to store cocaine in exchange for payment of $50 per kilogram. 1 Maza’s arrest was а product of cooperation between federal officials conducting separate but overlapping investigations. In the case at bar, government agents were investigating a large scale cocaine trafficking network in middle Florida and had already charged numerous members of the organization. As of the summer of 1989 the government knew that cocaine imported by this organization was transported to and stored in Miami at the home of someone known as “the painter.” R2-634-13. The identity of “the painter” was unknown. Id.
After “debriefing” by government agents in Tampa, a cooperating defendant, Jones, was sent to assist federal agents conducting Operation Greenback in Miami, a separate investigation. Id. As a part of his cooperation Jones was to assist Operation Greenback agents in locating “various residences and businesses,” one of which was “the painter’s” house. R2-634-14. Jones identified Maza’s house as that of “the painter.” It was put under surveillance, and Maza’s arrest soon followed. Id. at 13-14.
Maza was then charged in the Southern District of Florida, along with two other defendants, 2 with (I) possession with intent to distribute five kilograms or more of cocaine, in violation of 21 U.S.C. § 841(a)(1); (II) conspiracy to possess with intent to distribute five kilograms or more of cocaine, in violation of 21 U.S.C. § 846; and (III) knowingly and willfully conducting or attempting to conduct a financial transaction involving the proceeds of narcotics trafficking, in violation of 18 U.S.C. §§ 1956(a)(l)(A)(i) and (2). 3 Rl-579 (Exhibit B). Maza pled guilty to the second of these counts 4 and was sentenced to ten years and one month of incarceratiоn, to be followed by five years supervised release. Id. (Exhibit C). 5 Maza is currently serving this sentence.
On July 18, 1990, after his conviction in the Southern District, Maza was indicted in the Middle District of Florida in connection with the on-going investigation of the drug ring there. See Second Superseding Indictment, Rl-366. Count Four of this indiet *1007 ment charges Maza with violating 21 U.S.C. § 848 (CCE), id. at 12-14, and with various substantive offenses relating to narcotics importation and distribution. Id. at 17-22. The predicate acts alleged to support Count Four are violations of 21 U.S.C. § 952 (importation), and 21 U.S.C. § 952 and 963 (importation and attempt or conspiracy to import). 6
On February 20, 1991, Maza moved to dismiss Count Four on the ground that his earlier conspiracy conviction barred the CCE charge because it was a lesser included offense of the CCE. Therefore, he argued, tp avoid double jeopardy, the government must show that it had new evidence of a separate conspiracy which it could not, through the exercise of due diligence, have discovered at the time of his first prosecution. The crux of his argument is that both charges are based on the same conduct.
In response, the government asserted that it was not relying on the earlier prosecution as it was now charging a conspiracy to import rather than a conspiracy to possess with intent to distribute. The government asserted: “In the case at bar, the government can, and will, establish that the defendant, Maza, was a co-conspirator in the importation of cocaine, a conspiratorial agreement that was not set forth in the [earlier] indictment.” Rl-561-12-13. The government’s response was somewhat ambiguous as to whether the importation conspiracy chargеd was factually, as well as legally, distinct from that with which Maza had already been charged. It appeared possible that the government was trying to hold Maza liable for an importation conspiracy based on no more than his agreement to store cocaine in his garage.
The District Court ordered an evidentiary hearing on Maza’s motion to dismiss, citing precedent of this Circuit holding that where a defendant has made a
prima facie
showing that double jeopardy would apply the government must present some evidence to show that the second charge is based on “a separate,” or “newly discovered,” conspiracy.
See, e.g., Boldin,
Despite its ruling that this prosecution was not barred by double jeopardy, the District Court thought it was relevant to the resolution of Maza’s motion that the prosecutors in both districts “had precisely the same evidence against the defen-dant_” Rl-590-8. 7 “The government has conceded that the prosecutor in the Southern District had available to him all of the information which was relied upon by the prosecutor in this District, but failed to charge the defendant with a CCE violation.” Id. Believing that Boldin compelled dismissal under these circumstances, the court held that the government’s “lack of due diligence ... bars the prosecution in this case.” Id. We find the trial court misinterpreted our opinion in Boldin and thereby misapplied the due diligence rule. Accordingly, we reverse this ruling. We *1008 discuss the double jeopardy issue to eliminate any possible confusion surrounding its application.
II. ANALYSIS
This ease requires us to launch into an . examination of the Double Jeopardy Clause of the Fifth Amendment, “the decisional law [of which] is a veritable Sargasso Sea which could not fail to challenge the most intrepid judicial navigator.”
Albernaz v. United States,
Due Diligence
The due diligence exception was created to permit a second prosecution in those cases in which the Double Jeopardy Clause would otherwise bar it. The exception was articulated in
dicta
in
Brown v. Ohio,
In the present case the Distriсt Court applied the due diligence concept to preclude a second prosecution which he had already decided was not barred by double jeopardy. This is precisely the reverse order of the correct application of the doctrine. The Double Jeopardy Clause does not preclude bringing in a second action any charge which might have been brought in the first action. Rather, it only precludes those which must have been brought in the first or be forever lost. The due diligence doctrine provides an exception in this latter situation. Thus, it follows, that if the government need not have brought all of its charges in the first action, there was nothing for it to be diligent about. 8
Given the District Court’s ruling that this second prosecution did not offend double jeopardy principles, the duе diligence exception was incorrectly applied. However, the question remains whether the District Court correctly decided Maza’s double jeopardy claim in the first instance. Although the court’s analysis is somewhat confusing, we affirm the result. To explain this conclusion we move out of the relatively narrow straits of the exception, into the hazardous waters of double jeopardy analysis itself.
Double Jeopardy Section 84-6 and the CCE
We think it is fairly clear that 21 U.S.C. § 846 (conspiracy to possess with
*1009
intent to distribute) is a lesser included offense of 21 U.S.C. § 848 (CCE) for double jeopardy purposes. In
Jeffers v. United States,
These decisions were not disturbed by the Supreme Court’s ruling in
Garrett v. United States,
The District Court relied on our opinion in
United States v. Gonzalez,
It is well established that a prior prosecution for a lesser included offense normally bars reprosecution for the greater offense.
Brown,
The Problem of Successive Prosecutions
The Double Jeopardy Clause is interpreted as protecting a number of related, yet distinct interests, not all of which are raised in every case. One of these is protection against successive prosecution.
North Carolina v. Pearce,
The integrity of our system of justice would be threatened if prosecutors could “shop” for a favorable judge or jury until they found one willing to convict, or until a judge imposed the sentence the prosecutors felt was appropriately severe. It would upset the already delicately balanced equities between the government and a criminal defendant if prosecutors could continue to charge the defendant with the same crime until they perfected their presentation of the evidence with several “rehearsals.” Nor would it be desirable for prosecutors to repeatedly charge a defendant out of some illegitimate motive. “[T]he State with all its resources and power should not be allowed to make repeated attempts to convict an individual for an alleged offense, thereby subjecting him to embarrassment, expense and ordeal and compelling him to live in a continuing state of anxiety and insecurity....”
Green,
Set against these concerns is the government’s legitimate interest in apprehending, prosecuting and punishing those who violate the law. Although the Double Jeopardy Clause clearly strikes the balance in favor of the defendant, it should not be construed so restrictively that government is unable to effectively enforce the law. Just as government oppression engenders contempt for justice, so contempt for law is engendered by the system’s inability or failure to enforce it. Paradoxically, overemphasizing either set of these opposing values leads to the same evil: a diminished faith in and respect for the legitimacy of the criminal justice system.
The challenge then is to devise a test that enables a court to distinguish when two prosecutions are one too many, so as not to jeopardize that legitimacy. Unfortunately, case law interpreting the Double Jeopardy Clause is often applied without regard to the context in which it arose, i.e. cumulative punishment (or multi-count indictments) versus successive prosecutions. The rather indiscriminate application of rules from one context into another puts at risk many of the interests the Double Jeopardy Clause is intended to protect, as well as the government’s ability to punish infractions of the law.
Interpretation of “Same Offence”
The Double Jeopardy Clause providеs that no person shall “be subject for *1011 the same offence to be twice put in jeopardy of life or limb.” U.S. Const., amend. V, cl. 2. Although on their face these words seem to state an easily understood concept, in practice, defining the scope of their protection has been fraught with difficulties— none more so than the words “same of-fence.” One thing is clear. Whatever else these words may proscribe, they surely were not intended to suggest that a person could not be “twice put in jeopardy” for the “same offence” if he commits the same offense twice. Whether a defendant has committed the same offense twice is a factual question. Therefore, for purposes of successive prosecutions, the question of whether a defendant is being put in jeоpardy for the “same offence” cannot be determined solely with reference to the statutory elements of the offenses charged. Rather, there must also be some determination that the underlying facts that gave rise to the first prosecution are, or are not the sole basis for the second. 13 The Supreme Court, however, has resisted acknowledging the factual element of the double jeopardy inquiry, even though many of its opinions clearly rely, for their applicability to successive prosecutions, on an assumption about the facts.
For example, in the leading case,
Blockburger v. United States,
Blockburger
has been interpreted, however, to require only a comparison of the elements of the statutes charged.
See Grady,
Conversely, the Blockburger approach is not restrictive enough when, because of overlapping and duplicative laws, the number of charges which may be leveled at a defendant on a given set of facts is limited principally by the prosecutor’s imagination and creativity. By the simple expedient of *1012 indicting on new, previously untried theories of fault, the government could avoid much of whatever limitation Blockburger imposed on successive prosecutions, thereby endangering many of the interests the Clause has been interpreted to protect. 15
This problem may be the one the Court intended to address with the lesser included offense rule laid down in Brown
16
because, unlike
Blockburger,
17
Brown
involved successive prosecutions. Even
Brown,
however, reveals that, in articulating the rule, the Court assumed that it would apply where a subsequent prosecution was based on the same set of facts as the first.
18
In
Brown
the Court said that the government may not, under the Constitution, endlessly “divide
a single crime
into a series of temporal or spatial units,” bringing each as a separate prosecution.
Id.,
Thus, there must be an exception to this rule when the second prosecution rests on evidence of a separate offense, though this inquiry comes close to the “single transaction test” which the Supreme Court has “steadfastly refused to adopt.”
Garrett,
Determining the Existence of a Separate Conspiracy
In this case, the separate crimes charged against Maza are separate conspiracies. Although at times evidence of a separate conspiracy is analyzed under the due diligence exception,
see, e.g., Stricklin,
Our examination of the record focuses upon these elements: (1) time, (2) pеrsons acting as co-conspirators, (3) the statutory offenses charged in the indictments, (4) the overt acts charged by the government or any other description of the offense charged which indicates the nature and scope of the activity which the government sought to punish in each ease, and (5) place where the events alleged as a part of the conspiracy took place.
Id.
at 154.
22
The government has the burden of proving a separate conspiracy under these elements and the standard is a preponderance of the evidence.
Loyd,
Applying these elements to the government’s proffer of evidence demonstrates that the CCE violation charged is *1014 distinct in scope, in facts and in objectives from the conspiracy with which Maza was previously charged. Although there is some overlap in the time charged and the places where the offenses were committed, and there is one co-defendant in common in the two prosecutions, there are many distinct elements. First, this indictment charges Maza with a conspiracy to import, while in the prior indictment he pled guilty to a conspiracy to possess with intent to distribute. 23 More importantly, the government has evidence that Maza committed many discrete overt acts for which he was not put in jeopardy in the first proceeding. The scope and nature of these alleged acts is much larger than encompassed by the first case.
Specifically, at the evidentiary hearing the government summarized for the court the information it had received from the cooрerating defendant Jones. R2-634-11-15. Undoubtedly, some of this evidence, (i.e. the amount of cocaine seized from Maza’s home, Maza’s confession, etc.), was offered in and supported Maza’s earlier indictment. 24 Nevertheless, much of it was not necessary to that prosecution. For example, Jones told investigators that “the painter” (later identified as Maza) was a part of the larger conspiracy in the Middle District and that “all the cocaine that was imported by [this group]” was taken to his house. R2-11 (emphasis added). Jones also placed Maza at meetings and named others he said had implicated Maza in the larger conspiracy. Finally, the government indicated that it had testimony from other defendants in this case that Maza was personally involved with off-loading cocаine shipments. Id. at 13.
Maza suggests that he is being successively prosecuted, under different statutes, for the same act. 25 In fact, the crime with which Maza is now charged relies on separate alleged acts and those acts reveal a separate crime than the one with which he was previously charged. By no stretch was Maza "put in jeopardy” in his first prosecution for the additional acts which support the CCE prosecution here. Although, it undoubtedly subjects a defendant to continuing anxiety, expense and distress to be tried for many crimes, there is no Double Jeopardy bar to prosecuting him for all of the crimes he commits.
Having noted the difference between trying a defendant twice for the same act and trying him twice because he has committed two crimes, there is some merit to thе argument that the government should charge a defendant in one proceeding with all of the offenses it believes he has committed.
26
As this case demonstrates, some of the protected double jeopardy interests,
*1015
in particular finality, are implicated whenever the government elects to split up prosecutions.
See Rodriguez,
On the other hand, a rule requiring consolidation of all cases against a defendant, where the cases are pending in different districts, perhaps even different states, poses many difficulties. Furthermore, this situation is often attributable to the fact that the defendant has engaged in widespread, continuous arid recurring violations of the law in many jurisdictions. “The government,” as an entity, is made up of individuals conducting separate investigations that in many instances overlap. Sharing information from these investigations is often essential to the apprehension of persons who engage in such widespread and continuing criminal сonduct. Adopting a rule that required consolidation of every charge against a defendant pending in every district whenever such information was shared would discourage such sharing.
Moreover, outside of the difficult context of inchoate offenses, the rule we follow today does not seem particularly troublesome. For example, double jeopardy has not been held to bar successive trials of an accused serial killer when his victims are found in many jurisdictions. These are simply “different crimes,” notwithstanding that they may all be prosecuted as “murder.” We think this case is no different. Maza is accused of committing separate criminal acts under separate criminal statutes, and he does not argue that the charges are made in bad faith. Were he to do so, and the evidеnce supported his claim, we might come to a different conclusion, but on a different legal basis. Furthermore, where the government shows no separate facts on which to base its new prosecution, we might view with a jaundiced eye an attempt to re-try old facts on a new theory. Since that is not the case here, we hold that Count Four should be reinstated.
III. CONCLUSION
For the foregoing reasons we vacate the District Court’s order dismissing Count Four. Count Four is reinstated and the matter is remanded.
VACATED, REVERSED AND REMANDED.
Notes
. We note in passing that although both sides refer to this confession it is not included in the record on appeal. Therefore, we rely on the representations made by both parties as to the confession’s content.
. One of these defendants, Carlos Orsono-Res-trepo, is also charged in the present case. He, like Maza, was added to the case in the Second Superseding Indictment filed July 18, 1990.
. The indictment contained a fourth charge not at issue in this appeal.
. As a part of a plea agreement, the government dropped the remaining charges.
. This sentence was imposed after the court found, over the government’s objection, that Maza qualified for a two level decrease under the Guidelines, on the grounds that he was a minor participant in the conspiracy charged and that he had accepted responsibility for his crimes. Id. (Exhibit D) at 4-8.
. The indictment charges him with "knowingly and intentionally attempt[ing] to import” cocaine. Rl-366-14 (emphasis added). The government argued in response to Maza’s motion that it will attempt to establish "a conspiracy to import cocaine." Rl-561-12 (emphasis added). Section 963 refers to both attempt and conspira-
. By saying that both prosecutors "had” the "same evidence” the court obscured the issue of whether both prosecutors relied upon and used the “same evidence” — a consideration crucial to the outcome in this case.
. Our holding in
Boldin
does not compel a different result. The language that Maza refers to in
Boldin
is
dicta
because the court had already held that (with some exceptions) there was no double jeopardy bar to the prosecutions in that case.
Boldin,
.
Jeffers
cannot be cited as holding that 846 is a lesser included offense of the CCE because this was not necessary to its decision.
See United States
v.
Aguilar,
.
Garrett
might be more properly termed a plurality opinion. Although Justice O’Connor joined the majority opinion, her separate concurring opinion reveals that she believed the prosecution in question did not violate double jeopardy because the later prosecution rested, in part, on new evidence.
See Garrett,
. The Court studiously avoided the implications of
Jeffers
on the successive prosecution portion of its discussion, confining itself to comparing the lesser included offense question with the less complicated crime involved in
Brown. Jeffers
was discussed only in connection with the propriety of cumulative punishments. Significantly, the Court in
Garrett
offered as an alternative or additional justification for its holding, that Garrett had continued to commit offenses after his first prosecution and that the CCE charge was based on separate, albeit overlapping, evidence.
See Garrett,
. Grady does not affect the analysis of this case at all, although it reflects a fact based inquiry not unlike the one we apply today, albeit to a different result.
. Saying that certain facts are "the basis” of a charge is not the same as saying certain facts tend to support the charge.
See Dowling v. United States,
. Indeed, in part one of its opinion (the part that is much less frequently cited) the
Blockbur-ger
Court held that the defendant could be separately punished for each individual transgression of the same statute, each constituting a separate offense.
Id.
. The
Blockburger
rule would represent a significant bar on successive prosecutiоns were it the case that a given set of facts could violate only a very limited number of laws. For example, until 1873 the Double Jeopardy Clause was only applied to felonies.
See Ex parte Lange,
85 U.S. (18 Wall) 163, 172-73,
. The Brown court may have been merely attempting to clarify that the Blockburger rule is one of mutuality. That is, it requires that each offense charged have elements distinct from the other. With lesser included offenses only the greater offense has elements that are distinct from the lesser offense. There is a tendency of some courts to find, when construing Blockbur-ger, that if one offense has elements not present in the other that satisfies the test. That is an erroneous reading of Blockburger.
.
In
Blockburger,
. Indeed, this appears to be the basis for the holding in
Grady.
In
Grady
the defendant, Cor-bin, had been prosecuted for drunken driving and crossing the median in an accident in which someone was killed.
Grady,
The language of the
Grady
opinion suggests that the Supreme Court may have been motivated by the same factor which motivated the court in this case when it held that the government’s failure to consolidate the cases against Maza was a failure of "due diligence” that barred further prosecution.
See Grady,
at 524,
. In his dissent in
Grady
Justice Scalia suggests that a "same transaction" test "at least has the merit of being rational and easy to apply ...” compared to the "same conduct” test articulated in the majority opinion.
Grady,
. The Eleventh Circuit, in
Bonner v. City of Prichard,
. Sometimes, the question of the evidence of a separate conspiracy is discussed as if it were relevant to the due diligence exception, although this tends to confuse the issues. For example, in
Boldin
we quoted the language in
Stricklin
that the government need only have “evidence of a
separate
conspiracy” in order for a subsequent prosecution under the CCE to survive double jeopardy analysis.
Boldin
. Marable
was limited by
United States v. Rodriguez,
. It is well settled that a conspiracy to import and a conspiracy to possess with intent to distribute are "separate сonspiracies” for purposes of double jeopardy.
See, e.g., Stricklin,
. Because Maza pled guilty, it is impossible to determine what evidence would have been offered by the government in Mаza's first prosecution had it gone to trial. By the same token, this obviates any concern that the government has had an opportunity to "rehearse" its evidence in the first trial.
. If the government here was trying to bootstrap a violation of the conspiracy to import law onto no more evidence than Maza’s confessed agreement to store cocaine in his garage, we would have, squarely presented, the sort of "same conduct" case presented in Grady. Moreover, an attempt to base a second prosecution solely on a new legal theory of liability, without reference to any separate, if not new, evidence, would more obviously challenge much of the current understanding of the protection afforded by the Double Jeopardy Clause.
.We may have inadvertently encouraged this argument in
Boldin
and subsequent cases to the extent that we have occasionally considered it when raised by a defendant.
See Boldin,
