UNITED STATES of America, Appellee, v. Víctor Gerardo CORTÉS-CABÁN, Pascual Santiago-Méndez, Luis Enrique Ruperto-Torres, Anthony Domínguez-Colón, and Víctor Gerardo Cortés-Cabán, Defendants, Appellants.
Nos. 09-2094, 09-2211, 09-2285, 09-2376, 09-2461
United States Court of Appeals, First Circuit.
Heard Nov. 8, 2011. Decided Aug. 10, 2012.
691 F.3d 1
Ernesto Hernández-Milán, for appellant Santiago-Méndez.
Nicolás Nogueras-Cartagena, for appellant Ruperto-Torres.
Lydia Lizarríbar-Masini, for appellant Domínguez-Colón.
Scott H. Anderson, Assistant United States Attorney, with whom Rosa Emilia Rodríguez-Velez, United States Attorney, Julia M. Meconiates, Assistant United States Attorney, and Nelson Pérez-Sosa, Assistant United States Attorney, Chief, Appellate Division, were on brief for appellee.
Before LYNCH, Chief Judge, TORRUELLA and STAHL, Circuit Judges.
TORRUELLA, Circuit Judge, opinion of the court except as to Part II.B, Part II.C.1, and Part II.C.2; Dissenting in Part II.B, Part II.C.1, and Part II.C.2.1
“Quis custodiet ipsos custodes?”2
We are presented with highly troubling instances of abuses of police power, including the disturbing practice, conducted by certain members of the Mayagüez Drugs and Narcotics Division of the Puerto Rico Police Department, of planting evidence and conducting illegal searches and seizures in violation of the Fourth Amendment.
Defendants-Appellants Pascual Santiago-Méndez (“Santiago“), Anthony Domínguez-Colón (“Domínguez“), Victor Cortés-Cabán (“Cortés“), and Luis Enrique Ruperto-Torres (“Ruperto“), all police officers in the Puerto Rico Police Department, were charged in a two-count indictment for (1) conspiring to injure, oppress, threaten, and intimidate persons in the town of Mayagüez in the free exercise or enjoyment of their constitutional rights in violation of
All appellants challenge their convictions, asserting that the government failed
In brief, we affirm all appellants’ convictions as to count one. As to the convictions under count two for alleged conspiracy to possess with intent to distribute controlled substances, we are presented with a matter of first impression. And it is here that I part company with my colleagues, who affirm the convictions of Santiago, Cortés, and Domínguez as to count two and conclude that the government‘s evidence satisfies the legal requisites for a conviction of conspiracy to possess with intent to distribute controlled substances under
The evidence supporting the convictions as to both count one (conspiracy to violate civil rights) and count two (conspiracy to possess controlled substances with intent to distribute) is substantially the same and is sufficient to permit the jury to conclude beyond a reasonable doubt the following facts.
I. The Facts
A. The Black Box and the Nefarious Use of its Contents by Certain Police Officers
The underlying criminal acts at issue in this case may be traced back—like so many Pandora-released evils—to a box.
Appellants, members of the Puerto Rico Police Department‘s Mayagüez Drugs and Narcotics Division (the “Division“), were convicted of fabricating criminal cases against citizens through the planting of controlled substances, leading to such citizens’ wrongful arrests based on the fabricated evidence. Several appellants asserted that this was done to meet a department-required weekly quota of arrests.5
From 2005 to 2007, Lieutenant Dennis Muñiz (“Muñiz“) served as the director of the Division. He participated and assisted in overseeing this fabrication practice. At trial, Muñiz, testifying as a government witness, stated that the drugs used by the officers for purposes of fabrication typically were stored in a metal black box that generally was under the care and custody of Santiago, a supervisor in the Division. It was Santiago‘s practice to store the box in a file cabinet in his office. The box contained a mélange of contraband, including crack, cocaine, heroin, aluminum strips, drug paraphernalia, and ammunition rounds. Such contraband was given to agents prior to their execution of a search warrant or other intervention to ensure that an arrest would ensue. Testimony at trial confirmed that Muñiz and Santiago specifically instructed officers to plant drugs if a search or intervention was not “positive,” i.e., did not produce valid
The following acts of fabrication were established beyond a reasonable doubt.7
1. The Stolen Car Incident
Muñiz testified that sometime during his tenure as director of the Division, his daughter called him to report that her car had been stolen. Muñiz stated that he immediately contacted Santiago to help investigate the matter and locate the vehicle while he drove to meet his daughter. Meanwhile, Santiago recruited agents Luis Vélez (“Vélez“) and Domínguez to assist. Soon after, Santiago called Muñiz to inform him that they not only had located his daughter‘s car, but also had arrested three minors whom they were taking to the Division in Mayagüez. Muñiz quickly altered his course to drive to the Division, confirm ownership of the vehicle, and observe the detained youths. On arriving at the Division, Muñiz recognized his daughter‘s car. When he spoke with Santiago, Santiago informed him that he had fabricated a case against the minors, charging them with possession of controlled substances even though no drugs had been found on them at the time of arrest or processing. The arrested minors were processed for possession of controlled substances and robbery of the vehicle, ultimately pleading guilty to both counts. Of course, only the car robbery charge was properly supported by legal evidence.
2. The Search of “El Monstruo‘s” Home
Around the end of 2006 and early 2007, officers conducted a search of the residence of José “El Monstruo.”8 Before leaving the Division to assist with the search, Santiago handed Agent Vélez a small bag containing marijuana and cocaine. Santiago, speaking on behalf of himself and Muñiz, instructed Vélez to “wait for their call” before taking any action, and advised Vélez that the search had to be “positive.” Vélez, also testifying for the government, indicated that he only abided by the second part of the instruction, taking it upon himself to plant the drugs in a closet next to the bathroom upon entering the premises without waiting for Santiago or Muñiz‘s go-ahead. Vélez also testified that he received numerous calls from both Santiago and Muñiz during the search, in which they repeatedly stressed that the search had to be “positive.” During one such call, Vélez stated that he told them “the job had been done” and to “take it easy.” Two individuals present at the residence were arrested as a result of the search and charged with illegal possession of controlled substances.
3. The Monte Isleño Search
In early 2007, Vélez was sent out to conduct another search and seizure operation, this time in the Monte Isleño housing project, the situs of an ongoing drug investigation with various search and seizure orders. Santiago again gave Vélez a bag of contraband, this time containing crack,
4. The Man Who Swallowed Marijuana
Also in early 2007, agents Santiago, Vélez, and Domínguez were conducting a “preventive round” in an unmarked civilian vehicle in the area of Quinto Centenario under Muñiz‘s supervision.9 While patrolling, the officers observed a group of people gathering under a tree. When the group spotted the police officers’ presence in the vehicle, one individual fled, which prompted Domínguez and Vélez to immediately exit the car and give chase. The chase was short-lived, as the individual tripped on his sandals and fell. The officers detained the individual and proceeded to search and question him. The search revealed no contraband on his person, but upon questioning by Vélez the suspect admitted to having swallowed marijuana before the police caught up to him. Vélez testified that he noticed the smell of marijuana on the man‘s breath. The officers proceeded to arrest the subject and to take him to the police station for processing where he was charged with possession of cocaine, despite the fact that cocaine was not found in his possession.
5. The “Planting” at the Puchi Residence
In approximately February or March 2007, agents in the Division prepared for a search and seizure operation targeting a known drug leader‘s home, Omayra Segarra, also known as “Puchi.” Vélez was to be one of the participating agents. Santiago, frustrated with Puchi‘s lack of cooperation in providing the Division with information, decided to “fix” the search. Santiago, as had been done on previous occasions, advised Vélez that the search had to be “positive” and handed him several baggies containing marijuana and cocaine. Additionally, Santiago gave him specific instructions to plant the drugs in both Puchi‘s home and in her car.
Various officers, including Cortés, traveled with Vélez to Puchi‘s residence. Upon arrival, the officers, including Vélez, entered the residence. Vélez walked to a room and planted a bag containing cocaine on a shelf in the closet. He then exited the residence while the other officers continued the search of the home, eventually coming upon the planted evidence. While standing outside the residence, Vélez received a phone call from Santiago, who was en route to Puchi‘s place, seeking an update on the Puchi search. Vélez informed him that the “job up in the residence was done,” but that “the one in [Puchi‘s car] was still not so.”
Soon after, Santiago arrived and obtained the keys to Puchi‘s vehicle from Agent Cortés, who was still inside the home conducting the search. Santiago opened Puchi‘s car‘s passenger door and instructed Vélez to plant the marijuana in the vehicle, which he did. Cortés then arrived with a drug canine, which quickly detected the planted marijuana. Puchi and her husband were arrested for possession of the planted controlled substances.
6. The Columbus Landing Episode
Following Puchi‘s arrest, the agents returned to the Division. Some agents
Vélez left the Division together with Santiago in a police vehicle, while other officers traveled to the project separately. Vélez testified that when he and Santiago arrived at the search location, Santiago handed him a brown paper bag containing baggies of cocaine. Santiago advised Vélez that the search had to be “positive.” Vélez testified that he felt “uncomfortable” with Santiago‘s instructions, and told him that “this had to come to an end, that this manner of working could not continue.” Vélez then entered the home, placed the paper bag containing the cocaine baggies on top of a bureau in a bedroom, and exited the room.
On leaving the room, Vélez said he saw that the other assisting officers already had placed two of the home‘s residents under arrest for legitimately-discovered—i.e., not planted—controlled substances. Santiago, observing the same, instructed Vélez to retrieve the planted paper bag from the bedroom. Vélez complied and hid the bag inside his bulletproof vest pocket. Once Santiago and Vélez had reached their police vehicle, Vélez testified that he threw the drug bag into the private confines of the car and told Santiago, “This can‘t go on. This isn‘t going to happen again.” But like many other plans of mice and men, this was not to be.
Vélez participated in yet another search operation later that same day, also at the Columbus Landing housing project, planting the same bag retrieved from the previous operation in a pile of men‘s shoes in the targeted residence, again pursuant to Muñiz‘s instructions. The planted evidence was again the basis for the arrest of the Columbus Landing resident.
7. Bosques’ Revenge
In July 2007, Santiago received a phone call from Agent José Bosques (“Bosques“), who by that time was cooperating with the Federal Bureau of Investigation (“FBI“).10 Bosques told Santiago he needed drugs to fabricate a case against his neighbors, and told him he was going to the Division to obtain some from their stash. Santiago informed Bosques that he had left their cache with Vélez, but that he could take whatever he wanted. Bosques then called Vélez. Vélez was not at the office, but said the black box was. After speaking with Vélez, Bosques again contacted Santiago, informing him of his predicament. Santiago suggested that Bosques contact Agent Bey to see if he could provide him with the drugs, and Bosques did so. He explained to Bey why he wanted the drugs and requested a few bags of marijuana and cocaine. Bey initially told Bosques that he would look into it; however, when Bosques called Bey again while en route to the Division, Bey said he was no longer there, but that he had left the drugs with Domínguez.
When Bosques arrived, Domínguez had them go to the restroom. He then handed Bosques a clear plastic bag containing a small amount of the requested cocaine and marijuana. Upon seeing the small amount of drugs, Bosques asked Domínguez for rounds of ammunition that he could plant in addition to the drugs. Domínguez became suspicious of the request and asked
8. Going to the Dogs
Also in July 2007, civilian Wilfredo Henríquez Pérez (“Henríquez“) arrived home from work and, as was his custom, left to walk his dog. While walking his dog, Henríquez spotted an individual dressed in civilian clothes running towards him brandishing a weapon in his hand. Unbeknownst to Henríquez, the individual was a police officer, Agent Domínguez, to be precise. Domínguez detained Henríquez, hitting him twice on the side of the head. Domínguez then patted Henríquez down, finding five dollars on his person. He arrested him and placed him in a police car.
Henríquez repeatedly asked Domínguez why he was under arrest, but to no avail. Upon arriving at the police station, Henríquez was placed in an office while Domínguez spoke to Vélez. Domínguez then requested two bags of drugs from Vélez. On receiving them, he reentered the office in which Henríquez had been detained, gestured to the bags, and told Henríquez, “this is what I got from you, what I seized from you, ... [i]f you help me, I‘ll help you.” Domínguez, apparently unsatisfied with Henríquez‘s response, decided to release Henríquez soon after. He was about to do so when Henríquez‘s neighbor, Pita Martí (“Martí“), an attorney, arrived at the station. Martí stated that he had witnessed the entire incident of Henríquez‘s arrest, and that at no time did he see Domínguez seize any drugs from Henríquez. A brief confrontation ensued, causing Domínguez to take Henríquez back inside the station, thereby prolonging his detainment. Later that evening, Henríquez was released. No formal drug possession charges were ever filed against him.
9. Confessions in an Unmarked Police Car
In mid-July 2007, Agents Bosques and Cortés, investigating two individuals named Corinna and Bachan, went on a surveillance assignment in an unmarked police car. The agents observed Corinna leave a house in a car and followed him in their vehicle for a brief period. Despite not observing any illegal acts on Corrina‘s part during that time, Bosques testified that Cortés told him “he would ‘dress’ [Corrina] up himself.” Bosques stated he interpreted Cortés’ statement to mean that, when drafting his sworn statement for a search warrant, Cortés would craft the facts in such a manner that they would support the issuance of a warrant.
Also while patrolling, Bosques testified that Cortés spoke to him about a previous arrest, to which he admitted to fabricating the facts. Soon after their surveillance session, Bosques assisted Cortés in drafting a sworn affidavit—containing false information describing events that never took place—to obtain a search warrant against Bachan and Corrina.
10. “Dealing With It” at the El Carmen Housing Project
Bosques went on another surveillance assignment with Agent Ruperto, also in mid-July. Ruperto, one of the higher-ranking officers in the operation, instructed Bosques that he wanted to complete eight arrests that day to satisfy their quo-
The plan for the operation was for Bosques, Cortés, and other participating agents to interview various confirmed drug users and record their names and personal information under the guise of locating a drug rehabilitation program for them. This explanation, in fact, was a ploy for the agents’ ongoing practice of inputting such information to generate false arrest reports.
While patrolling, Ruperto told Bosques that he expected him “to catch a mother-fucker who‘s full of drugs.” When Bosques asked what he should do if he seized an individual with no drugs on his person, Ruperto replied, “[y]ou have to deal with that.” Bosques reminded Ruperto that he was “in zero,” meaning he had just returned from vacation, and thus, had no drugs or substances with which to fabricate a case or an arrest. Ruperto and Bosques continued patrolling and passed the same area in which Domínguez had chased down and arrested Henríquez. Ruperto, remembering the incident, began laughing and remarked, “[Domínguez] did what he had to do.” When Henríquez, by chance, passed by their surveillance point, Ruperto, recognizing him, said, “Look at Flaco, where we arrested him.”11
11. The Unraveling of the Conspiracy to Fabricate Criminal Cases and the Search for the Black Box
On July 17, 2007, FBI agents Edwin Dorsey (“Dorsey“) and Julio Tobar (“Tobar“) approached Cortés as he exited a local courthouse. The federal agents told Cortés that they wanted to speak with him regarding the suspected fabrication of cases occurring in his unit at the time, as well as both his and his officers’ participation in such activity. The federal agents invited Cortés into their vehicle for a more private conversation. Federal agent Tobar then stated that he knew Cortés had in his possession at that time two affidavits containing false information that he had authenticated in court. After Tobar read Cortés his rights, Cortés admitted the falsity of the affidavits and confirmed his involvement in the fabrication of other cases in his unit.
Following their conversation, Dorsey and Tobar sought and executed a search warrant to locate and seize the infamous black box containing the contraband. The subsequent search of the drug unit‘s premises concluded with the agents’ finding the box in Vélez‘s desk. They also discovered more controlled substances in a locker inside the unit‘s premises.
While the FBI agents were executing the warrant, Division officers, including Bosques, Santiago,12 Ruperto, and Vélez, met outside the building to try to concoct an alibi justifying their possession of various contraband and the black box. A potential plan was to inform the federal agents that the black box had been seized during a search of a housing project. The Division officers met again several days later to discuss the FBI search and confirm their stories. Santiago instructed Vélez to prepare a report, explaining that the
On July 21, 2007, Cortés and federal agent Tobar met again. During their meeting, and after Tobar had read Cortés his rights, Cortés admitted that he had participated in the planting of evidence in several of the fabricated cases, listing approximately ten to fifteen instances when he had done so. Cortés additionally admitted to planting evidence approximately twenty times and to executing approximately seventy search warrants containing some degree of false information. Cortés confirmed that during a search of a housing project, he, along with other agents, had gathered information from drug users under the pretense of finding them a rehabilitation program, when in fact the agents were using such data to generate false arrest reports. Lastly, Cortés admitted to giving drugs to Bosques so that he could use them to plant evidence in support of fabricated cases.
On August 23, 2007, a grand jury issued a two-count indictment in the District of Puerto Rico, charging appellants with conspiracy to violate civil rights under
II. Discussion
All appellants challenge their convictions as to count one, with Cortés, Domínguez, and Santiago also challenging their count two convictions.
The standards of review applicable to the issues before us are well-settled. We review a district court‘s
A. Conspiracy pursuant to 18 U.S.C. § 241
Appellants argue that the government failed to present sufficient evidence showing (1) their respective involvement in or agreement to join the
1. Standard of Review and Applicable Law
A conspiracy pursuant to
Additionally, because the normal rules for proving a conspiracy apply, the government must show that “(1) a conspiracy existed, (2) the defendants had knowledge of the conspiracy, and (3) the defendants voluntarily participated in the conspiracy.” United States v. Rodríguez-Ortiz, 455 F.3d 18, 22 (1st Cir. 2006). Direct or circumstantial evidence will suffice to establish each of these elements. Id. We note that an alleged conspirator‘s agreement to participate in a conspiracy “need not be express.” United States v. Lizardo, 445 F.3d 73, 81 (1st Cir. 2006). Moreover, “each coconspirator need not know of or have contact with all other members, nor must they know all of the details of the conspiracy or participate in every act in furtherance of it.” United States v. Martínez-Medina, 279 F.3d 105, 113 (1st Cir. 2002).
2. Analysis
a. Sufficiency of the Evidence
Because the facts in this case amply support the determination that a rational trier of fact could have found, beyond a reasonable doubt, that appellants, acting under color of state law, conspired to violate various Mayagüez residents’ rights, we reject appellants’ arguments as to their count one conviction.
Three cooperating co-conspirators testified, including Muñiz, the Division‘s director from 2005 until the date of arrest, and Vélez and Bosques, officers in the Division. We repeatedly have held that “the uncorroborated testimony of a cooperating accomplice may sustain a conviction so long as that testimony is not facially incredible.” United States v. Torres-Galindo, 206 F.3d 136, 140 (1st Cir. 2000) (emphasis added); United States v. Rosario-Díaz, 202 F.3d 54, 67 (1st Cir. 2000); United States v. Andújar, 49 F.3d 16, 21 (1st Cir. 1995); United States v. Gómez-Pabón, 911 F.2d 847, 853 (1st Cir. 1990). Here, we have the corroborated testimonies of three cooperating witnesses, each of which could allow a jury to reasonably infer that appellants were actively involved in the count one conspiracy. Muñiz, Bosques, and Vélez‘s testimonies repeatedly established appellants’ voluntary participation in an unlawful scheme to fabricate cases and violate citizens’ constitutional rights. Each provided a detailed overview of the Division‘s practice of fabricating cases by planting evidence and falsifying arrest reports. They repeatedly identified active participants, which included appellants, and confirmed one another‘s respective testimonies.
The three officers explained that agents generally met at the Division before executing a search warrant or performing other forms of police intervention, at which times Santiago would hand out contraband to agents with instructions to plant evidence to prevent a “negative” search. They described the black box and its location in the office, as well as the source and nature of its contents. Additionally, they specifically detailed various incidents in which Santiago and Muñiz provided officers with drugs to plant evidence to ensure a positive result and to the subsequent consequences of such actions to the citizens in question.14
Moreover, none of the witnesses’ respective testimonies was facially incredible. Torres-Galindo, 206 F.3d at 140; Rosario-Díaz, 202 F.3d at 67. Their respective testimonies were vindicatory of the others; defense counsel zealously challenged each witness’ credibility throughout trial; and both sides highlighted the witnesses’ participation in the crimes committed for the jury‘s consideration. The credibility and weight to be given to the testimony of these witnesses were classical issues for the jury.
Even if it could plausibly be argued that the testimonies of Muñiz, Bosques, and Vélez were not sufficient to sustain the jury‘s determination—a conclusion that is unsupportable on this record—the government also introduced a series of audio and video recordings that corroborated the witnesses’ testimonies and further insulated the conclusion that they conspired to deprive citizens of their constitutional rights.15
Appellants’ arguments do little to persuade us that the corroborated and detailed evidence presented at trial was so insubstantial or incredible that the jury‘s convictions could not be supported by the weight of the evidence. At most, appellants’ challenges address whether the government satisfied its evidentiary burden of establishing their involvement in a conspiracy to violate constitutional rights. However, the case law makes clear that a conspirator‘s agreement to participate “need not be express, [and] may consist of no more than a tacit understanding,” United States v. Echeverri, 982 F.2d 675, 679 (1st Cir. 1993) (quoting United States v. Glover, 814 F.2d 15, 16 (1st Cir. 1987)) (internal quotation marks omitted); “[t]here is no need for a conspirator to know the other participants in the conspiracy,” United States v. Rivera-Ruiz, 244 F.3d 263, 268 (1st Cir. 2001); “the government need not prove that the defendant[s] knew all the details ... of the conspiracy,” United States v. Nueva, 979 F.2d 880, 884 (1st Cir. 1992); a conspirator does not have to “realize the full extent of the conspiracy to be found guilty,” Rivera-Ruiz, 244 F.3d at 268; and specific intent may be established through circumstantial evidence alone. United States v. Donato-Morales, 382 F.3d 42, 47 (1st Cir. 2004).
Here, the evidence established that various identified officers in the Division (including appellants) met with one another and received contraband with specific instructions to fabricate cases. These officers accepted the contraband and participated in several incidents of planting to ensure positive results. Additionally, the record shows the officers were cognizant of their co-conspirators’ identities, participated in nefarious activities with knowledge as to their illegal object, and understood the overall purpose of the conspiracy. In fact, the evidence establishes that the conspirators often dis-
The government‘s evidence as to count one overwhelmingly clears the requisite evidentiary bar. We thus affirm appellants’ convictions as to the count one conspiracy.
b. Ruperto‘s Inconsistent Verdicts Argument
Ruperto raises the separate argument that the jury verdict as to him was unreasonable because he was acquitted of count two, but convicted under count one. He contends that the count one conspiracy involved the fabrication of cases that turned on the conspirators’ intent to use drugs for planting, the latter of which was targeted under count two‘s charge. We reject Ruperto‘s argument.
Case law is clear that “verdicts are not inconsistent if the elements of the two charged counts are not identical.” United States v. Berbere, 229 F.3d 1134, 2000 WL 1160439, at *1 (1st Cir. 2000) (unpublished table decision) (emphasis added). The elements of the charges in counts one (conspiracy to violate citizens’ constitutional rights) and two (conspiracy to possess with intent to distribute a controlled substance) are different: one is a violation of rights charge and the other a drug distribution charge. Even if the verdicts could somehow be deemed inconsistent, “the Supreme Court has made it clear that verdict inconsistency in itself is not a sufficient basis for vacating a conviction,” United States v. López, 944 F.2d 33, 41 (1st Cir. 1991), provided that “the appellate court is satisfied that there was suffi-
B. Conspiracy Pursuant to 21 U.S.C. §§ 841(a)(1) & 846
Santiago, Cortés, and Domínguez argue that the evidence was insufficient to convict them of conspiring to possess controlled substances with an intent to distribute in violation of
Our review of the district court‘s
“As with any question of statutory interpretation, our analysis begins with the plain language of the statute.” Jimenez v. Quarterman, 555 U.S. 113, 118 (2009); see also Recovery Grp., Inc. v. Comm‘r, 652 F.3d 122, 125 (1st Cir. 2011). The Controlled Substances Act, as codified at
It is the third element, specific intent to distribute, with which defendants take issue. Specific intent requires a showing that the defendant intended the proscribed outcome as his purpose. United States v. Dyer, 589 F.3d 520, 528 (1st Cir. 2009). This raises two related issues: what constitutes “distribution” within the meaning of the statute, and, given the meaning of that term, whether the conspirators had the requisite specific intent to distribute required by the statute.
1. The Meaning of “Distribute”
The term “distribute” is defined under the Controlled Substances Act as “to deliver (other than by administering or dispensing) a controlled substance or a listed chemical.”
Courts, including this one, have held that “distribute” is defined broadly under
“Absent a clearly expressed legislative intention to the contrary, that language must ordinarily be regarded as conclusive.” Albernaz v. United States, 450 U.S. 333, 336 (1981) (quoting Consumers Prod. Safety Comm‘n v. GTE Sylvania, Inc., 447 U.S. 102, 108 (1980)) (internal quotation marks omitted). There is no clearly expressed legislative intention to the contrary here, so we regard the text as conclusive. There is no language anywhere in the statute which supports defendants’ argument of non-coverage. Rather, as explained later, there is other language which works to the contrary.
Application of
Congress, recognizing that narcotics typically pass through several hands be-
Based on this deliberate choice not to restrict
In accord with this view of the term “distribute,” we have recognized that distribution takes place in a wide variety of contexts and the relevant question is not the ultimate objective. For instance, we have stated that “[w]hether or not sharing [drugs] with a girlfriend is often so prosecuted, it is as much ‘distribution’ as selling on a street corner.” United States v. Boidi, 568 F.3d 24, 29 (1st Cir. 2009). Likewise, we have noted that “[i]t is well accepted that drugs may be distributed by giving them away for free;
Furthermore, the statute carves out specific exceptions for legitimate activities which do not include the conduct here, and which require the statute to be read against defendants’ arguments. Congress was well aware of the question of legitimate handling of drugs, for it carved out exceptions, but those exceptions do not include the activities in which these defendants engaged.
In one exception, Congress determined that distribution of drugs by certain registered persons is lawful:
Every person who ... distributes any controlled substance or list I chemical, or who proposes to engage in the distribution of any controlled substance or list I chemical, shall obtain annually a registration issued by the Attorney Gen-
eral in accordance with the rules and regulations promulgated by him.
Under
Even more importantly, Congress carved out a specific exemption for distribution of controlled substances by law enforcement officers, but only to the extent that they are “lawfully engaged” in the enforcement of drug laws. See
(d) Immunity of Federal, State, local and other officials
Except as provided in sections 2234 and 2235 of title 18, no civil or criminal liability shall be imposed by virtue of this subchapter19 upon any duly authorized Federal officer lawfully engaged in the enforcement of this subchapter, or upon any duly authorized officer of any State, territory, political subdivision thereof, the District of Columbia, or any possession of the United States, who shall be lawfully engaged in the enforcement of any law or municipal ordinance relating to controlled substances.
This provision protects accepted law enforcement tactics such as sting or reverse-sting operations in which officers handle and transfer drugs.20 the transfer of sus-
Because only those officers “lawfully” enforcing the controlled substances laws are protected under
Indeed, a plurality of the Supreme Court has explained that “[i]f the police engage in illegal activity in concert with a defendant beyond the scope of their duties the remedy lies, not in freeing the equally culpable defendant, but in prosecuting the police under the applicable provisions of state or federal law.” Hampton v. United States, 425 U.S. 484, 490, 96 S.Ct. 1646, 48 L.Ed.2d 113 (1976) (plurality opinion) (emphasis added). This was said in the context of rejecting a defendant‘s argument that the conduct of law enforcement agents in a reverse-sting narcotics operation required vacating the defendant‘s conviction. See id.
Moreover, the immunity in
Here, these defendants were not “lawfully engaged in the enforcement of any
The dissent argues that the statute must be interpreted to preclude these prosecutions because there have been no decisions on prosecutions under
In short, both the language and the intent of
2. Specific Intent to Distribute
We turn to the defendants’ argument that the evidentiary record does not support a conspiracy with the object of possessing controlled substances with an intent to distribute under
As said, specific intent requires a showing that the defendant intended the proscribed outcome as his purpose. Dyer, 589 F.3d at 528. In the context of a charge of conspiracy to “possess with intent to ... distribute” controlled substances,
The relevant intent here is the “intent to distribute.” The dissent argues that because the officers’ intent was to fabricate cases by planting evidence, the officers cannot have had the specific intent to distribute the drugs. This argument conflates the specific intent to distribute required by the statute with the very different question of the ultimate objective. Only the former is an element of the statute; the ultimate objective is not a part of the statutory test. That this was Congress‘s intent is shown not only because there is no reference to the ultimate objective as a matter of statutory language, but also because Congress decided not to make buying or selling elements of the offense. What matters as to specific intent is that the defendant intended to transfer the drugs to someone else.26 See Boidi, 568 F.3d
The dissent also suggests that specific intent to distribute the drugs requires that the defendant intend to either further the incidence of drug abuse or intend to introduce or circulate the drugs into society‘s illicit drug market channels. This is not the test for specific intent under
The dissent further argues that the specific intent to commit this particular offense cannot be inferred from the actions undertaken by defendants to distribute the drugs. We disagree. The defendants were not charged with distribution; they were charged with conspiracy to possess with intent to distribute controlled substances. The fact that the defendants did in fact distribute the drugs is quite properly considered in determining whether the defendants had earlier entered into a conspiracy to possess with intent to distribute such drugs. See United States v. Coleman, 584 F.3d 1121, 1125 (8th Cir. 2009) (evidence that the defendant “repeatedly provided crack” to individuals for resale “alone provided a sufficient basis to infer that [the defendant] knowingly and intentionally joined an agreement to distribute crack“); United States v. Smith, 233 Fed. Appx. 297, 300 (4th Cir. 2007) (“By assisting Smith in the actual distribution of crack ..., it was reasonable for the jury to infer that Carr knew Smith was involved in the illegal distribution of a controlled substance and knowingly participated in Smith‘s possession of crack cocaine with the intent to distribute.“); United States v. Childress, 58 F.3d 693, 728-29 (D.C. Cir. 1995) (defendant‘s acts of delivering bags containing drugs “would normally support an inference that he had the specific intent to further the object of the conspiracy” to distribute and to possess with intent to distribute); United States v. Douglas, 874 F.2d 1145, 1159 n. 24 (7th Cir. 1989) (where defendant “was charged with conspiracy to possess with intent to distribute,” the “[e]vidence of [the defendant‘s] drug distribution before and after the purchases from [another individual] is probative of [the defendant‘s] intent with regards to the drugs he bought — did he possess the drugs with intent to distribute them?“); United States v. Thomas, 551 F.2d 347, 348 (D.C. Cir. 1976) (per curiam) (where defendant is charged with possession with intent to distribute, testimony that an “actual drug sale” took place is “directly probative” of the defendant‘s intent to distribute the drug).
Further, the evidence, “taken as a whole and in the light most favorable to the prosecution,” United States v. Lopez-Lopez, 282 F.3d 1, 19-20 (1st Cir. 2002), would permit a rational jury to determine beyond a reasonable doubt that the defendants were guilty of conspiring to possess with intent to distribute a controlled substance in violation of
The evidence at trial included the testimony of three co-conspirators: Lieutenant Dennis Muñiz, the director of the Division from 2005 to 2007, as well as Luis Vélez and José Bosques, two officers in the Division. All three witnesses described the distribution chain, namely the pattern by which Santiago and Muñiz would distribute illegal drugs to officers with instructions to transfer the evidence to the victim‘s person, property, or presence in order to yield
The witnesses described particular instances in which at least one of the defendants transferred drugs to the victims, many of whom were known drug leaders and dealers. All three defendants were identified as having participated in at least one such planting. The drugs were generally transferred to the drug leaders’ property or presence in the hope that other officers would subsequently discover them and arrest the victim before the drugs could be transferred again. For example, at the home of Omayra Segarra, a/k/a “Puchi,” a known drug leader, the drugs were left both on a shelf in the closet and in Puchi‘s vehicle. Other officers eventually came upon the planted evidence and used it to make an arrest. Similarly, at José “El Monstruo‘s” home, the drugs were left in a closet next to the bathroom before any officers initiated a search. Other officers later came upon the evidence when searching and, again, used it to make an arrest. At two housing projects, Monte Isleño and the Columbus Landing project, both of which were known sites of drug activity, the drugs were placed in a bureau drawer and a pile of men‘s shoes, respectively, and left there to be later discovered by other searching officers.
To the extent the defendants challenge the credibility of the government‘s witnesses, our sufficiency analysis does not permit us to “‘assess the credibility of a witness, as that is a role reserved for the jury.‘” United States v. Rivera-Rodríguez, 617 F.3d 581, 595 n. 6 (1st Cir. 2010) (quoting United States v. Troy, 583 F.3d 20, 24 (1st Cir. 2009)); see also United States v. Calderon, 77 F.3d 6, 10 (1st Cir. 1996) (“It [is] well within the jury‘s province for it to choose to believe the testimony of [the defendant‘s] accomplices in the face of ... cross-examination of their characters and motives—and to disbelieve [the defendant‘s] version of the story.“). In any event, the testimony of each witness was corroborated, not only by the testimony of the other witnesses, but also by the audio and video recordings.
The evidence of a conspiracy to possess with intent to distribute goes beyond the officers’ actual physical acts of transferring and planting of drugs, and includes numerous instances of discussion as to distribution and planting of drugs among the officers before, during, and after the arrests. The witnesses testified that the defendants regularly met at the Division before executing a search warrant, at which point Santiago would hand out drugs to agents with instructions to transfer the drugs to the victims’ persons, property, or presence in order to fabricate a “positive” search.27
The testimony also identified several instances in which the co-conspirators did the planting in teams and/or discussed with one another the incidents of evidence planting. The witnesses also testified that, when the FBI executed a search warrant to locate and seize the black box, several of the co-conspirators met to try to concoct an alibi for their possession of the box and the drugs it contained.
C. Sentencing Challenges
Appellants Domínguez, Santiago, and Ruperto raise individual challenges to their respective sentences. We address each challenge in turn. We review the district court‘s interpretation and application of the sentencing guidelines de novo and factual findings for clear error. United States v. Aguasvivas-Castillo, 668 F.3d 7, 13 (1st Cir. 2012).
1. Domínguez‘s Challenge
Domínguez argues that the district court erred in its determination of the drug quantity to use in sentencing Domínguez for his role in the conspiracy as to count two. This challenge fails.
The district court sentenced Domínguez to 40 months’ imprisonment as to count one and 78 months’ imprisonment as to count two, to be served concurrently, based on a guidelines range of 78 to 91 months.28 The district court found that counts one and two resulted in a combined base offense level of 28, and that no adjustments applied. The base offense level for count two was calculated based on the quantity of drugs involved in the offense. See
The quantity of drugs the district court used for guidelines calculations purposes was the quantity of drugs seized when the FBI searched the defendants’ offices on July 17, 2007, which amounted to 6.8 grams of crack cocaine, 3.91 grams of heroin, and 86.4 grams of marijuana. These drugs were found in three locations: the black box, an area of Santiago‘s office, and a hiding spot in the ceiling. This translated to a drug quantity value of between 100 and 400 kilograms of marijuana. See
Under the guidelines, although advisory, the quantity of drugs attributable to a defendant for sentencing purposes is based on both the charged conduct and the relevant uncharged conduct. United States v. González-Vélez, 587 F.3d 494, 508 (1st Cir. 2009); see also
We review drug quantity determinations in two steps. First, we review de novo “whether the district court‘s drug quantity determination was based on an individualized determination” of the “quantity of drugs attributable to, or reasonably foreseeable by, the offender.” United States v. Cintrón-Echautegui, 604 F.3d 1, 5 (1st Cir. 2010). If the district court made such an “individualized determination, our review is for clear error.” Id.
Domínguez contends that the district court erred in determining that he was sufficiently close to the conspiracy such that the quantity of drugs seized was reasonably foreseeable to him. We reject this challenge.
The district court made an individualized determination. The district court recognized that the amount of drugs seized could not be attributed to Domínguez unless the drugs were reasonably foreseeable to Domínguez. The district court found that this was a closely knit conspiracy to plant drugs to obtain arrests, that Domínguez knew about the black box being one of the sources of drugs, and had been seen with the black box. The district court also found that Domínguez was close to the leaders of the conspiracy and had participated in two acts of planting drugs, at least one of which was with drugs from the black box.29 The district court concluded, based on this evidence, that the quantity of drugs seized was reasonably foreseeable to Domínguez.
Because an individualized determination was made, clear error review applies. We will only reverse for clear error if “upon whole-record review, an inquiring court ‘form[s] a strong, unyielding belief that a mistake has been made.‘” Id. at 6 (quoting Cumpiano v. Banco Santander P.R., 902 F.2d 148, 152 (1st Cir. 1990)).
There was no clear error. Domínguez does not dispute the quantity of drugs seized, but rather only argues that the quantity was not reasonably foreseeable to him. It was not clear error for the district court to find the quantity reasonably foreseeable to him, given the evidence outlined above. We affirm Domínguez‘s sentence.
2. Santiago‘s Challenge
Santiago challenges the district court‘s imposition of a three-level enhancement for his role in the offense under
While the guidelines do not define the term “supervisor” or “manager,” we have held that “[e]vidence of the defendant‘s role in the conspiracy ‘may be wholly circumstantial,’ and need only show that he ‘exercised authority or control over another participant on one occasion.‘” United States v. Flores-de-Jesús, 569 F.3d 8, 34 (1st Cir. 2009) (quoting United States v. García-Morales, 382 F.3d 12, 19-20 (1st Cir. 2004)); see also United States v. Cruz, 120 F.3d 1, 3 (1st Cir. 1997) (en banc) (stating that the analogous enhancement based on “organizer, leader, manager, or supervisor” status in
In this case, there was extensive testimony as to Santiago‘s role in supervising or managing the conspiracy. Santiago‘s official position was as a supervisor in the division. The witnesses testified that Santiago was in charge of maintaining the black box and distributing the drugs to the other officers before search operations. When Santiago was out of town in July 2007, he transferred the box to Vélez, so that Vélez could provide the officers drugs in his absence. During a variety of searches, Santiago issued instructions as to the planting of drugs. For instance, before the search of José “El Monstruo‘s” home, Santiago provided bags of cocaine and marijuana to Vélez, with instructions to wait for a call from Santiago and Muñiz; Santiago and Muñiz called Vélez during the search with instructions to plant the drugs. Similarly, before the search of “Puchi‘s” residence, Santiago provided Vélez with cocaine and marijuana along with instructions that the search had to result in an arrest. Santiago later arrived at the scene, after discussing the situation with Vélez over the phone. When Vélez protested that he did not want to plant the drugs, Santiago told him to do so, and Vélez complied; Santiago later instructed Vélez to retrieve the drugs, and Vélez again complied. Bosques testified that “Santiago was the one who ordered me to do whatever work.”
In light of this evidence, the district court did not err in finding that Santiago “exercised authority or control over another participant on [at least] one occasion.” Id. at 19-20 (quoting García-Morales) (internal quotation marks omitted).
Santiago also asserts without analysis that the overall sentence was unreasonable, and so has waived this challenge. Even bypassing waiver, the argument fails on its own terms. The district court properly calculated the guidelines range, so we review the reasonableness of the sentence for an abuse of discretion. Gall v. United States, 552 U.S. 38, 51, 128 S.Ct. 586, 169 L.Ed.2d 445 (2007);
3. Ruperto‘s Challenge
Ruperto asserts that the district court erred in applying the sentencing guidelines when determining his sentence. We review the district court‘s interpretation of the sentencing guidelines de novo. United States v. Sicher, 576 F.3d 64, 70 (1st Cir. 2009).
Ruperto argues that the district court erred when it computed his advisory guideline range because it applied
The record shows that the district court held two hearings concerning Ruperto‘s sentencing. During the second hearing, held on July 31, 2009, the district court decided to apply guideline
[Appellant‘s Counsel]: As we addressed in our opposition to the Government‘s informative motion, we represent no opposition to guideline
2H1.1 and the 12 level base offense level that is contained there.The Court: That[ guideline
2H1.1 ] is the one I am going to use.* * * *
[Appellant‘s Counsel]: ... And we are basically in agreement with the Court that
2H1.1 is the guideline to apply in this case.The Court:
2H1.1 is the one I‘m going to apply.* * * *
The Court: ... Since the Defendant was a public official at the time of the offense and the offense was committed under color of law, a six level increase is applied pursuant to
United States Guidelines 2H1.1(b)1 .* * * *
The Court: Yes, this Defendant‘s report should also be amended to include the
Ruperto, in essence, is stepping up to the plate when the players have already cleared the field. We find no error in the district court‘s interpretation or application of the sentencing guidelines to Ruperto, and we therefore affirm.
III. Conclusion
We are both disturbed and disheartened by the incidents underlying this appeal. Appellants, as police officers, held positions of authority that society regards with admiration and respect, and which it trusts to safeguard our freedoms, not infringe upon them; to protect us from harm, not be the instigator thereof; and to stand the post, not be the cause for the watch. As often echoed, with great power comes great responsibility,34 and appellants showed themselves susceptible to corruption‘s tarnishing influence often found lapping at the shores of such power. Simply put, appellants disregarded the honorable integrity of their guardian role, and civil liberties were dealt the tragic blow. We can express no greater disapproval or remorse than this: we are saddened and indignant that today, it falls to us to assume the role of guarding the guardians.
Affirmed.
TORRUELLA, Circuit Judge, dissenting as to Part II.B, Part II.C.1, and Part II.C.2.
As stated in Part II.A of my opinion for the court, my colleagues and I agree that the record supports the government‘s allegations as to count one, i.e., that appellants’ actions in planting drugs for the purpose of fabricating criminal cases constitutes a violation of
I.
On carefully considering the distribution statute‘s mental state requirement, legislative history, and the historical background surrounding its enactment, I believe that my colleagues’ conclusion in Part II.B of the court‘s opinion—that the officers’ scheme of possessing and illegally planting controlled substances with the sole intent to fabricate grounds for a target‘s unlawful arrest is tantamount to possession of controlled substances with an intent to distribute—asks far too much of both Congress‘s purpose in creating such legislation and the statute‘s expressly-stated specific intent requirement.
Firstly, I believe my colleagues’ analysis incorrectly centers on whether the officers’ actions could properly constitute “distribution,” an issue that is not before us and on which I offer no comment. Nor do I believe it appropriate for my colleagues to go as far as they have and conclusively hold that the officers’ actions here constitute distribution, see Maj. Op. at 23, 24—that charge has not been presented to this court, and I believe it is a question best left unaddressed.
Specifically, the majority on this issue consistently analyzes appellants’ arguments on count two by focusing solely on their physical acts. See Maj. Op. at 16
Our concern on this appeal, however, is not the appellants’ conduct, but rather, the question of whether they held the requisite statutory mental state at the time they planted the drugs. Indeed, the officers here were not charged with the physical act of distribution; rather, they were charged with possession of controlled substances with the particular mental intent to distribute, a crime requiring a higher mental showing than the act of distribution. To conclude otherwise, as my colleagues now do, waters down the law‘s specific intent element to nothing more than a general intent requirement.
Furthermore, I harbor serious misgivings as to my colleagues’ analytical approach because I believe it has the unwanted effect of removing the statute from its firmly planted and long-acknowledged legislative moorings. As discussed infra, Congress‘s purpose in enacting the statute at issue (as confirmed by its historical background and legislative history) was to target the twin evils of drug abuse (in the form of personal consumption) and drug trafficking (in the sense of injection of drugs into society‘s illicit channels). Significantly, neither of these elements is at play here.
Finally, I believe my reading of the statute‘s prohibition against possession of controlled substances with an intent to distribute as requiring a higher mental showing than simply an intent to physically move a controlled substance is supported by the fact that no other judgment ever has been issued sustaining the government‘s novel interpretation, namely, that an intent to falsify cases through planting evidence is commensurate with an intent to commit drug distribution. In fact, the entire sweep of federal criminal jurisprudence up to the present case lacks any precedent in which the planting of controlled substances with the purpose of fabricating criminal charges has been held to constitute an intent to violate our nation‘s drug laws. This dearth of prosecutions and convictions on the books supporting such a statutory interpretation is not, in my view, coincidental. Nor, as my colleagues claim, do I believe that it may be explained away as a simple exercise of prosecutorial discretion; rather, I believe it is more likely the proper exercise of prosecutorial prudence, i.e., refraining from overreach.
II.
To prove the substantive offense at issue, possession with intent to distribute, the government must establish that appellants “knowingly and intentionally possessed, either actually or constructively, a controlled substance with the specific intent to distribute.” United States v. García-Carrasquillo, 483 F.3d 124, 130 (1st Cir. 2007) (emphasis added).35 The task at hand boils down to this: to determine whether appellants’ intent to fabricate cases via planting controlled substances constitutes an intent to distribute within the meaning of what Congress has proscribed through the legislation in question.
A. Express Itself: Statute‘s Plain Language
I begin with the statute‘s language. See Ernst & Ernst v. Hochfelder, 425 U.S. 185, 197, 96 S.Ct. 1375, 47 L.Ed.2d 668 (1976) (stating the “starting point in every case involving construction of a statute is the language itself” (quoting Blue Chip Stamps v. Manor Drug Stores, 421 U.S. 723, 756, 95 S.Ct. 1917, 44 L.Ed.2d 539 (1975) (Powell, J., concurring)) (internal quotation mark omitted)); see also Recovery Grp., Inc. v. Comm‘r, 652 F.3d 122, 125 (1st Cir. 2011).
The majority accepts the government‘s request that the court‘s analysis end here and adopt a literal, mechanical reading of the statute. And at first blush, “distribute,” defined under the broadly-worded language of the statute to include delivery or transfer of a controlled substance, seems, potentially, to encapsulate the officers’ actions under count two: the officers took and received controlled substances from one individual and/or location, brought the drugs to the homes of their targets, and temporarily placed them in a location cognizant that another officer would soon thereafter seize the drugs.
But such a literal viewing of the underlying acts—focusing solely on the objective physical movement of the drugs—overlooks an important aspect of the plain language of the statute. To establish a violation of
The majority claims that I confuse the question of specific intent with overall objective. See Maj. Op. at 19-20, 23-24. I do no such thing. Specific intent, as discussed infra, “requires more than a knowing violation of the law,” namely, that “[t]he defendant[] act with a bad purpose or with the objective of committing the act prohibited by the law.” United States v. Dyer, 589 F.3d 520, 533 (1st Cir. 2009) (Torruella, J., concurring in part and dissenting in part) (citing cases). In contrast, motive or “ulterior intent” has been defined as “[t]he intent that passes beyond a wrongful act and relates to the objective for the sake of which the act is done.” Black‘s Law Dictionary 882 (9th ed. 2009); see also United States v. Boardman, 419 F.2d 110, 113-14 (1st Cir. 1969) (accepting trial court‘s jury instruction (for a different crime) generally distinguishing between motive and intent; noting trial court‘s definition of motive as “that which tempts, induces or moves a person to commit a crime,” and intent as “the purpose or mental state with which the person does the act“).
When the officers here performed the disputed acts, they did not hold the requisite intent to engage in drug distribution; instead, their intent while planting the drugs was always to fabricate a case against a particular target in order to effectuate a seemingly lawful arrest of that mark. The officers’ motive, to the extent relevant, was provided to us in their briefs (the merits of which we need not and do not consider or address here, see United States v. Santistevan, 39 F.3d 250, 255 n. 7 (10th Cir. 1994));36 to satisfy an alleged Department-mandated arrest quota. Thus, the majority‘s contention that my analysis of the officers’ specific intent (i.e., their particular mental state at the time they planted the controlled substances) is nothing more than an analysis of the officers’ overall objective for performing such
To my reading, the majority does not adequately explain how a specific intent crime (possession with intent to distribute) may require the exact same intent showing as a general intent crime (distribution). See McKenzie v. Risley, 842 F.2d 1525, 1545 (9th Cir. 1988) (noting “general and specific intent are distinct and different“). Nor do I find the majority‘s conclusion that the officers’ underlying physical acts, if accepted to constitute drug distribution (which the majority does), are sufficient, in and of themselves, to prove a specific intent to distribute. Cf. Morissette v. United States, 342 U.S. 246, 276, 72 S.Ct. 240, 96 L.Ed. 288 (1952) (fact that defendant performed actus reus of crime was relevant to whether defendant had intent to commit actual act of stealing, but was insufficient for purposes of showing the requisite mens rea of a specific intent to steal or convert property from another); Koehler v. United States, 189 F.2d 711, 715 (5th Cir. 1951) (Russell, J., dissenting) (citing cases and noting “the fatal taint inflicted by the language of the judge with reference to the intent legally presumed to follow from the commission of acts,” which had the effect of negating the “well established rule of law that where wilfulness is an essential ingredient of an offense the specific intent must be proved as an independent fact and cannot be presumed as a matter of law from the commission of an unlawful act“); Hubbard v. United States, 79 F.2d 850, 853 (9th Cir. 1935) (similar). While the act of distribution would undoubtedly be a relevant factor to consider when assessing the officers’ mental state, I do not believe (presuming distribution occurred) it should be the only one given the surrounding factual circumstances of this case, a point I address further infra. See United States v. Berrios, 676 F.3d 118, 137 (3d Cir. 2012) (“[A] defendant‘s specific intent is to be judged [b]ased upon the totality of all the surrounding facts and circumstances.” (quoting United States v. Anderson, 108 F.3d 478, 485 (3d Cir. 1997)) (emphasis added)).
I thus proceed to address the higher evidentiary intent bar that the government had to (and in my mind, failed to) clear in this case.
1. General Intent versus Specific Intent
It is a fundamental principle that the trier of fact generally must assess both a defendant‘s actions and mind-set, splitting a crime into two parts: the actus reus of the crime (a physical act or omission, the performance (or lack thereof) of which the legislature has deemed unlawful), and the mens rea of the person committing the crime (the defendant‘s intent or mental state at the time of the crime). When assessing mental intent, courts generally distinguish between two kinds: general and specific.
The former (general intent) requires a showing that a defendant intended to perform a certain act. His mental intent, however, need only be to perform the physical act itself, that is, the actus reus of a crime; he need not possess any intent to violate the law. See United States v. Veach, 455 F.3d 628, 631 (6th Cir. 2006) (noting that a general intent crime “requires only that a defendant intend to do the act that the law proscribes” (quoting United States v. Gonyea, 140 F.3d 649, 653 (6th Cir. 1998))); United States v. Kleinbart, 27 F.3d 586, 592 n. 4 (D.C. Cir. 1994) (“A general intent crime requires the knowing commission of an act that the law makes a crime.“); United States v. Phillips, 19 F.3d 1565, 1576-77 (11th Cir. 1994) (“[A] defendant need not intend to violate the
In contrast, where specific intent is required, a heightened mental state is a sine qua non. The government must show not only that a defendant had a general intent to perform a particular act, but also, that he possessed a corresponding mental state when executing such acts. That is, that the defendant performed the offending acts with the specific purpose of producing the law‘s legally forbidden result, or the desired outcome of executing the actus reus was in fact to violate the law. See Dyer, 589 F.3d at 528 (describing a specific intent crime as one in which “the defendant specifically intended ... [the proscribed] outcome as his purpose,” or “purposefully and affirmatively desired [the proscribed] unlawful outcome“); see also Morissette, 342 U.S. at 265, 72 S.Ct. 240 (stating that a showing of “specific intent or purpose [] will require some specialized knowledge or design for some evil beyond the common-law intent to do injury.“); Oduche-Nwakaihe v. Att‘y Gen. of U.S., 363 Fed.Appx. 898, 901 (3d Cir. 2010) (“Specific intent requires not simply the general intent to accomplish an act with no particular end in mind, but the additional deliberate and conscious purpose of accomplishing [the] specific and prohibited result.” (quoting Pierre v. Att‘y Gen. of U.S., 528 F.3d 180, 189 (3d Cir. 2008)) (internal quotation mark omitted in original)).
Notably,
Thus, the government shoulders the burden of establishing that the defendants here had the particular purpose of committing the unlawful act of narcotics distribution when in possession of the controlled substances. See Clark v. Arizona, 548 U.S. 735, 766, 126 S.Ct. 2709, 165 L.Ed.2d 842 (2006) (“[A] defendant is innocent unless and until the government proves beyond a reasonable doubt each element of the offense charged, including the mental element or mens rea.” (internal citations omitted)). While there is evidence in the record to support the defendants’ possession of controlled substances, no evidence supports the finding that their intent when receiving drugs from “the box” and planting them in their targets’ residences was for any other purpose than fabricating false cases.
It is well-accepted that specific intent—an intangible concept—may be established by either direct or circumstantial evidence. See United States v. Cannon, 589 F.3d 514, 517 (1st Cir. 2009); United States v. DesMarais, 938 F.2d 347, 352 (1st Cir. 1991) (“Seldom can ‘specific intent’ be established by direct evidence ... [but it may] [n]evertheless ... be demonstrated ‘through the use of circumstantial evidence so long as the total evidence, including reasonable inferences, is sufficient to warrant a jury to conclude that the defendant is guilty beyond a reasonable doubt.‘” (quoting United States v. Campa, 679 F.2d 1006, 1010 (1st Cir. 1982))). Given the challenges presented in proving an individual‘s subjective mental state, both this court and our sister courts have recognized that a specific intent to distribute controlled substances may be inferred from various factors. These factors include, among others, (1) the quantity of drugs in a defen-
Here the evidence before the jury for purposes of proving an intent to distribute on the part of the defendants included witness testimony and audio and video recordings showing that defendants received controlled substances, brought them to targets’ homes to plant them (thereby framing the victims and providing grounds for arrest), and almost immediately thereafter, seized the drugs and returned them to their place of storage so that the vicious conspiratorial cycle of false inculpation could repeat itself. Described more suc-
First, where specific intent is a distinct element of a crime (as here), such element must be proved separately from the actual commission of the crime itself. See, e.g., Morissette, 342 U.S. at 276, 72 S.Ct. 240 (noting that evidence showing defendant actually took property weighed towards whether defendant “conscious[ly] and intentional[ly]” committed the crime; “[b]ut that isolated fact is not an adequate basis on which the jury should find the criminal intent to steal or knowingly convert.... [w]hether that intent existed, the jury must determine, not only from the act of taking, but from that together with defendant‘s testimony and all of the surrounding circumstances“); United States v. Miles, 360 F.3d 472, 477 (5th Cir. 2004) (“[S]trict adherence to the specific intent requirement contained in the text of the ... statute is important to ensure that only ‘conduct that is really distinct from the underlying specified unlawful activity’ is punished under th[e] provision.” (quoting United States v. Brown, 186 F.3d 661, 670 (5th Cir. 1999))); United States ex rel. Vraniak v. Randolph, 261 F.2d 234, 237 (7th Cir. 1958) (where specific intent is an element of a crime, “the specific intent must be proved as an independent fact and cannot be presumed from the commission of the unlawful act“). Thus, even if the officers’ case fabrication actions constituted drug distribution as such, the govern-
And secondly, the “surrounding circumstances” of this case consist of the highly disturbing practice of police officers fabricating cases by planting evidence. The officers’ constant and unchanging intent—including while driving to the targets’ residences, entering their homes, and placing the controlled substances in a location for subsequent seizure—was to create an illusion of law enforcement, that is, catching their victims in a seemingly illegal act, and using the illusion as a justification for an unlawful arrest. The controlled substances here were simply the officers’ instrument of choice that they played to their victims’ downfall.
The reality is that the officers could have selected from a variety of instruments—swapping narcotics for firearms, ammunition rounds, or even endangered animals—and still have held the same intent (fabricating a case against a target and creating grounds for their arrest) while performing the same physical acts of driving to a home, temporarily depositing their instrument-of-choice in a location, and subsequently retrieving it. I find this to be a noteworthy point.
In reviewing other precedent in which an intent to distribute has been inferred from varying factors such as drug quantity, drug purity, or presence of drug paraphernalia, a switching of drugs with another item would have changed the question of intent entirely. And yet here, if the officers could have executed the same acts with different objects (i.e., not controlled substances) and still satisfied the same intent and achieved the same overall objec-
For the officers here to have held an intent to distribute, the court (as it has) would have to accept that an intent to physically pass, move, or pick-up a controlled substance is all that is needed to be shown to establish an intent to distribute under the 1970 Act. But this, in effect, emasculates the specific intent requirement of
Having carefully considered the plain language of the statute, I fail to understand the majority‘s conclusion, the upshot of which dilutes a specific intent crime‘s mental state requirement to nothing more than a general intent showing. I thus turn to the Act itself for guidance. Though this court generally has recognized that “[t]he words of the statute are the first guide to any interpretation of the meaning of the statute ... if the meaning is plain,” we also have noted that this “maxim has inherent flexibility,” as “[e]ven seemingly straightforward text should be informed by the purpose and context of the statute.” Greebel v. FTP Software, Inc., 194 F.3d 185, 192 (1st Cir. 1999). The fact that the defendants’ objective actions, when broken down to their most basic linguistic descriptive form, may be described as a “delivery” or “transfer” of drugs does not, for me, resolve the question of whether the officers held the requisite statutory intent to distribute such substances.
As the Supreme Court has recently noted, ceasing our statutory examination at a literal-reading-only point in the analytical roadway “would ignore the rule that, because statutes are not read as a collection of isolated phrases, ‘[a] word in a statute may or may not extend to the outer limits of its definitional possibilities.‘” Abuelhawa v. United States, 556 U.S. 816, 819-20, 129 S.Ct. 2102, 173 L.Ed.2d 982 (2009) (alteration in original) (quoting Dolan v. U.S. Postal Serv., 546 U.S. 481, 486, 126 S.Ct. 1252, 163 L.Ed.2d 1079 (2006)); U.S. Nat‘l Bank of Or. v. Indep. Ins. Agents of Am., Inc., 508 U.S. 439, 455, 113 S.Ct. 2173, 124 L.Ed.2d 402 (1993) (“Over and over we have stressed that ‘[i]n expounding a statute, we must not be guided by a single sentence or member of a sentence, but look to the provisions of the whole law, and to its object and policy.‘” (alteration in original) (quoting United States v. Heirs of Boisdore, 49 U.S. 113, 122, 8 How. 113, 12 L.Ed. 1009 (1849))). Thus, ever mindful that “[i]nterpretation of a word or phrase depends upon reading the whole statutory text, considering the purpose and context of the statute, and consulting any precedents or authorities that inform the analysis,” Dolan, 546 U.S. at 486, 126 S.Ct. 1252, I shift back into drive from my plain language stop and proceed onward down the statutory language analysis highway to determine whether an intent to fabricate cases equates to an intent to distribute.
B. Statutory Purpose
1. Historical Context
The Controlled Substances Act was the product of a decades-long battle of trying to curb the ever-rising tide of drug abuse and drug trafficking in the United States. The Act, however, was not Congress‘s first swing at bat in attempting to combat the growing drug market. Congress‘s efforts to erect legislative walls to control the flow of narcotics both into and within the United States, and to counter the social problems associated with drug abuse and addiction, date as far back as the nineteenth century.47 A review of those laws predating the Act reveals a plethora of legislation with two predominant targeting themes: (1) drug abuse and (2) drug trafficking.
The turn of the century brought with it the rising popularity of patent medicines used to treat common ailments. These medicines, however, contained addictive ingredients (e.g., opium, morphine, and cocaine) and contributed to a growing population of addicts. To combat these sources of addiction, Congress enacted legislation, the Pure Food and Drugs Act of 1906, that required labeling of medicines and prohibited the manufacture or shipment of misbranded or adulterated drugs in interstate commerce.48 The goal was to discourage consumption via public exposure of such medications’ addictive and dangerous ingredients.
Subsequent years showed Congress taking more forceful steps to restrict and contain the flow of narcotics, whether into,
The Harrison Act served two principal purposes: (1) it created a federal watchdog system whereby the trafficking in narcotics was surveilled from the drugs’ date of entry or manufacture until their time of consumption, and (2) it established criminal penalties for drug trafficking that occurred outside legally authorized entities, persons, or chains. See generally 38 Stat. 785; United States v. Doremus, 249 U.S. 86, 90-95, 39 S.Ct. 214, 63 L.Ed. 493 (1919) (discussing Harrison Act‘s regulation of drugs and upholding the Act on grounds that it did not exceed Congress‘s tax powers). The Harrison Act thus affirmatively placed a fork in the drug marketing road—which has remained firmly planted ever since—dividing the flow of narcotics between two distinct paths, the high (legal) road, and the low (illegal) road. The Harrison Act directed such narcotic traffic by requiring manufacturers, producers, dispensers, distributors, and purchasers of drugs to both register with the government and to pay a special occupational tax. See Quinn & McLaughlin, at 593; see also Raich, 545 U.S. at 10-11, 125 S.Ct. 2195. Any type of sale, transfer, or exchange of drugs could only occur following a written order—limited to execution on documents specifically provided by the Commissioner of Internal Revenue—made by the person receiving such drugs. See Quinn & McLaughlin, at 593-94. Lastly, strict record-keeping requirements were imposed on anyone involved in the drug distribution system, allowing Congress to maintain a vigilant eye over both the drugs themselves and their corresponding transferors and recipients.
Notably, the Harrison Act‘s efforts to target the illicit drug market—by casting light on all types of transfers and participants in the drug distribution system—had the unfortunate effect of pushing illegitimate transactions further into the shadowy realms beyond the reach of the law, with black market transactions thriving, like mushrooms, in the darkness.52 After a patchwork of laws directed at targeting drug trafficking and drug abuse, the narcotics theme took full and center govern-
President Nixon‘s famous declaration of a “war on drugs” led to a complete transformation of the drug policy playing field.53 Congress sought to create legislation “that would consolidate various drug laws on the books into a comprehensive statute, provide meaningful regulation over legitimate sources of drugs to prevent diversion into illegal channels, and strengthen law enforcement tools against the traffic in illicit drugs.” Raich, 545 U.S. at 10, 125 S.Ct. 2195; see also id. at 12 (“[P]rompted by a perceived need to consolidate the growing number of piecemeal drug laws and to enhance federal drug enforcement powers, Congress enacted the [Controlled Substances Act]“). And so the historical marathon of legislation came to a rest and the Comprehensive Drug Abuse Prevention and Control Act of 1970 came into being, consisting of three titles: Title I, addressing the prevention and treatment of narcotic addicts; Title II (most relevant for purposes of this appeal), addressing drug control and enforcement; and Title III, addressing the import and export of controlled substances. 84 Stat. 1238, 1242, 1285.
2. Legislative History
The legislative history of the Controlled Substances Act reveals that Congress transferred its same twofold intent as had existed in prior legislation, namely, targeting drug abuse and drug trafficking, into its passage of the 1970 Act. The Report of the Senate Judiciary Committee on the Controlled Substances Act of 1969 states that “[t]he control of drug abuse and of both the legitimate and illegitimate traffic in drugs is the main objective of the bill.” S.Rep. No. 91-613, at 4 (1969) (emphasis added). The House Committee Report on the bill similarly notes that the Act was intended to unite in a single statute the prior “plethora of legislation” targeting drug offenses, bringing together the “more than 50 pieces of legislation” that previously had targeted the twin evils of drug abuse and drug traffic and that had led to “a confusing and often duplicative approach to control of the legitimate industry and to enforcement against the illicit drug traffic.” H.R.Rep. No. 91-1444, 1970 U.S.C.C.A.N. 4566 at 4571 (1970).54 Additionally, the House Committee Report breaks the soon-to-be Act into three provisions, Title I (focusing on drug abuse), and Titles II and III (focusing on drug trafficking), the division of which further reaffirms Congress‘s twofold objective.55
Exploration into the legislative history additionally reveals the following regarding Congress‘s intent in passing the Controlled Substances Act.
a. Drug Abuse
The legislative history confirms that Congress intended to maintain its focus on drug abuse. Specifically, Congress sought to define those drugs of interest, focusing on their “abuse potential, and psychological and physical effects,” using such categorizations as a basis for creating penalties that corresponded with the severity of a substance‘s abuse potential. H.R.Rep. No. 91-1444, at 4571; 4575-77; 4599-605; see also Touby v. United States, 500 U.S. 160, 162, 111 S.Ct. 1752, 114 L.Ed.2d 219 (1991) (“Violations involving schedule I substances carry the most severe penalties, as these substances are believed to pose the most serious threat to public safety.“); United States v. Moore, 423 U.S. 122, 132, 96 S.Ct. 335, 46 L.Ed.2d 333 (1975) (noting that “[i]n enacting the CSA Congress attempted to devise a more flexible penalty structure than that used in the Harrison Act,” with penalties “geared to the nature of the violation, including the character of the drug involved“); see also Gonzales v. Oregon, 546 U.S. 243, 273-74, 126 S.Ct. 904, 163 L.Ed.2d 748 (2006). Congress‘s consideration of the physical and mental effects substances could have on an individual required it to acknowledge those drugs capable of inciting dependency and awakening new addict populations, the latter of which could further foster incidents of drug trafficking. H.R.Rep. No. 91-1444, at 4573-74; 4592-95; 4599-605. Congress‘s review of various substances’ addictive natures for purposes of categorization, determination of corresponding penalties based on their “abuse potential,” and concern with recurring drug abuse‘s effects on the individual, further reaffirm Congress‘s intent to target drug abuse under the Act, with drug abuse being equated with drug addiction. See Oregon, 546 U.S. at 273, 126 S.Ct. 904 (noting the Controlled Substances Act “consistently connect[s] the undefined term ‘drug abuse’ with addiction or abnormal effects on the nervous system“).
b. Drug Trafficking
The legislative history also confirms Congress‘s directed aim at drug trafficking, both legitimate and illegitimate. See Moore, 423 U.S. at 134-35, 96 S.Ct. 335 (“The legislative history [of the Controlled Substances Act] indicates that Congress was concerned with the nature of the drug transaction ... [and] with the diversion of drugs from legitimate channels to illegitimate channels.“). For instance, the House Committee Report states the Act‘s goal of “reduc[ing] the availability of drugs subject to abuse except through legitimate channels of trade and for legitimate uses.” H.R.Rep. No. 91-1444, at 1970 U.S.C.C.A.N. 4566 at 4574; see also id. at 4569 (same); id. at 4571-72 (same); id. at 4589 (same); id. at 4590 (acknowledging that “law relating to the regulation of narcotics provides a closed system” of such drugs, making it “possible to keep diversions of narcotic drugs from legitimate channels of trade to an almost irreducible minimum“); id. at 4607 (noting the importance of maintaining “effective controls against diversion of particular controlled substances into other than legitimate medical, scientific, and industrial channels“).
Additionally, the Senate Judiciary Committee Report on the Controlled Sub-
Regarding the Act‘s aim at drug trafficking, we also observe these points. First, the legislative history repeatedly distinguishes between legitimate versus illegitimate forms of trafficking. See, e.g., H.R.Rep. No. 91-1444, at 4569 (distinguishing between members of the “legitimate distribution chain” and those “outside the legitimate distribution chain“); id. at 4571 (distinguishing between “the legitimate industry” and “enforcement against the illicit drug traffic“); id. at 4572 (same); id. at 4574 (describing a reduction in drug availability subject to abuse “except through legitimate channels of trade and for legitimate uses“); id. at 4584 (same); id. at 4589 (same); id. at 4590 (same); id. at 4601-02 (same); id. at 4606-07 (same).
Second, the legislative history indicates that legitimate “channels” or “markets” or “distribution chains” generally are determined by whether or not the participants are registered or authorized manufacturers, wholesalers, retailers, or users of narcotics, i.e., market participants; if they are not, then they fall outside the legitimate realm and into the “illicit market” category. See H.R. Rep. 91–1444, at 4569 (stating the bill requires “registration of manufacturers, wholesalers, retailers, and all others in the legitimate distribution chain, and makes transactions outside the legitimate distribution chain illegal“); id. at 4589 (same); id. at 4602 (same); id. at 4605-06 (same); S.Rep. No. 91-613, at 6 (same).
Third, Congress‘s imposed registration requirements serve not only to verify whether a participant is involved in the legitimate or illicit drug market, but also, to ensure Congress‘s watchful gaze over each controlled substance and its respective movements to try and further curtail drug abuse and its associated problems. See H.R.Rep. No. 91-1444, at 4569 (noting registration of manufacturers, wholesalers, retailers, and others in legitimate distribution chain meant to ensure “control by the Justice Department of problems related to drug abuse“).
Fourth, legislative history links participation in drug distribution with participation in the drug market or drug industry. Specifically, the legislative history indicates that Congress sought to create a “closed system” of drug manufacturing, distribution, and dispensing that (ideally) would lead to a diminishment—if not extinction—of the illicit drug market. See H.R.Rep. No. 91-1444, at 4571-72 (“The bill is designed to improve the administration and regulation of the manufacturing, distribution, and dispensing of controlled substances by providing a ‘closed’ system of drug distribution for legitimate handlers of such drugs” that would “significantly reduce the widespread diversion of these drugs out of legitimate channels into the illicit market, while at the same time
Similarly, Congress connects the flow of controlled substances with its effect on commerce, again effectively linking drug distribution with the drug market. See H.R.Rep. No. 91-1444, at 4596 (“Controlled substances either flow through interstate or foreign commerce or they have a substantial and direct effect upon interstate commerce....“); id. (“Those substances manufactured or distributed on a purely intrastate basis cannot be differentiated from those manufactured or distributed for interstate commerce....“).
In sum, the legislative history on trafficking reveals that Congress intended to target both legitimate and illegitimate drug trafficking; legitimate trafficking correlates with drug movement through legitimate “channels” or “distribution chains;” the key players in a “legitimate channel” or “legitimate distribution chain” consist of registered manufacturers, wholesalers, retailers and the like; registration serves the dual purpose of enabling effective monitoring of all legitimate drug transfers and further curbing incidents of drug abuse through careful surveillance; Congress connects drug distribution, whether via registered or unregistered entities, with participation in the drug market, whether licit or illicit; and it lastly links any such participation in the drug market with a potential for drug abuse and its corresponding problems.
It is thus beyond cavil that the object and intent of the Controlled Substances Act was the control of drug abuse and drug trafficking. With this legislative framework in mind, I return to the facts of our case.
C. Back to the Facts
The evidence adduced at trial revealed that the officers’ intent at all times while handling the controlled substances was to fabricate a case against a given mark. Specifically, the evidence (consisting of testimony from cooperating witnesses and audio and video recordings) showed that all controlled substances were kept in the care and custody of Santiago. Santiago only accessed the box, or allowed others to so access the box, when officers were planning to execute a search warrant or perform another form of police intervention potentially leading to arrest. Officers who received the controlled substances did so with specific instructions to make any search or intervention turn out “positive” through the use of planted drugs. The officers’ only use of the drugs consisted of going to a location in which the target was located, planting the evidence, and using it as grounds for a seemingly lawful arrest. All drugs were then immediately returned to the black box, to a co-conspirator‘s control, or, if there was more than one search or intervention in a given day, used again in the same manner to falsify grounds for a mark‘s arrest.
Thus, taken together, the evidence shows that the one sole, consistent purpose motivating the officers’ actions and collective scheme was to falsify cases against certain targets by means of planting evidence, with controlled substances serving as their weapon of choice, and to retrieve and store the drugs once they no longer were being used for such falsification purposes.56 Their intent was never to con-
Courts, including ours, have consistently recognized Congress‘s intent to broadly target ever-evolving forms of drug transactions through enactment of the Controlled Substances Act and its coinciding provisions.58 Moreover, the legislative history makes clear that Congress‘s goal in enacting the Controlled Substances Act was to target drug abuse and drug trafficking, and that
It is axiomatic that the law presumes men intend the natural consequences of
In my view, the government‘s evidence falls short of the requisite specific intent mark for us to affirm appellants’ convictions for violating
III.
After a thorough search, I have been unable to find any decision, reported or otherwise, in which an individual has been charged or convicted for violation of the statutes as charged under count two, nor has the majority (or the parties, for that matter) pointed to any such decision or precedent.60 The absence of any precedent since the Controlled Substances Act‘s enactment in which a person has been charged (much less convicted) for possession of controlled substances with an intent
To begin with, I flag this concern not because I believe it may reasonably be contended that the underlying acts of planting at issue here never have taken place before, nor because I believe we hold the power to invalidate a conviction solely on the basis of whether a track record of such prosecutions in the past exists. See Maj. Op. at 22. As to the former point, though one would hope such incidents are few and far between, I am not so naive as to think that past police misconduct has never encapsulated such condemnable acts. And to the latter, I raise this lack-of-precedent point solely to reinforce my contention that the distribution statutes at issue—
Moreover, I find it quite telling that the government deemed this dearth of supporting precedent a relevant factor when deciding which charges it properly could bring in this case. Specifically, the government at oral argument explained that, when initially preparing the indictment in this case, “the Department” (which I presume to mean the Department of Justice) sent out an agency-wide email requesting the respective views of all other “offices” (which I assume refers to all other U.S. Attorney offices), as to whether the officers in this case could be charged with possession with intent to distribute for their underlying acts of police misconduct. The government conceded that its broad conferral revealed no consensus whatsoever from the Department as to whether such acts fell within the ambit of
At the very least, the fact that no other judgment has been issued sustaining the government‘s novel interpretation of an in-
IV.
To be clear, any abuse of the authoritative badge is reprehensible and an indignity to the very laws the badge is charged with upholding. But I simply cannot accept the government‘s—and now majority‘s—novel position that an intent to fabricate cases and falsify arrests is tantamount to an intent to commit drug distribution. Although I do not question prosecutors’ accepted discretion to pick and choose among those statutes it deems most applicable to the crimes and charges at issue, such power is not absolute, particularly where the evidence does not support the crime charged. This is such a case. I thus would reverse the convictions of appellants Santiago, Cortés, and Domínguez under count two and remand their cases for resentencing based only on the count one conviction. For this reason, I likewise dissent to Parts II.C.1 and II.C.2 of the opinion.
Notes
S.Rep. No. 97-672, at 11 (1982) (citation omitted).[l]aw enforcement agents should not engage in serious and harmful criminal activity, or intentionally injure innocent third parties, in an attempt to deter crime. There is little doubt that the costs of such tactics—both to the target and to society—are likely to outweigh by a substantial amount the benefits gained through deterrence of crime.
H.R.Rep. No. 91-1444, 1970 U.S.C.C.A.N. 4566 at 4567 (emphasis added).to deal in a comprehensive fashion with the growing menace of drug abuse in the United States (1) through providing authority for increased efforts in drug abuse prevention and rehabilitation of users, (2) through providing more effective means for law enforcement aspects of drug abuse prevention and control, and (3) by providing for an overall balanced scheme of criminal penalties for offenses involving drugs.
(Emphasis added).It was the object of the conspiracy to possess with the intent to distribute controlled substances in the fabrication of cases against individuals in the Commonwealth of Puerto Rico in order to further the object of the conspiracy contained in Count One of this indictment.
The government describes the object of the count one conspiracy as “[t]o plant illegal controlled substances on or near persons in the Commonwealth of Puerto Rico,” and “[t]o swear out false search warrant affidavits against persons in the Commonwealth of Puerto Rico,” both of which resulted in “the unreasonable seizures and unlawful detentions and arrests of these persons.”
In its charging of the “Manner and Means” the officers’ used to effectuate the object of their count two conspiracy, the government provides:
(Emphasis added).The foregoing object of the [Count Two] conspiracy was to be accomplished as follows:
- Defendants and other uncharged co-conspirators would use their status as sworn officers of the POPR Mayaguez Drug/Narcotics/Vice Unit to retain controlled substances seized at various times during the conspiracy in order to use these controlled substances to fabricate cases against individuals in the Commonwealth of Puerto Rico.
- The defendants and other uncharged co-conspirators would share these controlled substances amongst themselves in order to assist each other in carrying out the objects of the conspiracy contained in Count One of this Indictment.
