Appellant Solomon Bitton Simtob raises three issues in this consolidated appeal from the district court’s sentence following revocation of his supervised release and from his conviction and sentence. We first address whether, in light of
United States v. Miqbel,
Because the district court rendered the decision to revoke Simtob’s supervised release without the benefit of Miqbel, we vacate the revocation sentence and remand for reconsideration in light of our directives set forth in Miqbel and clarified herein. We also vacate Simtob’s conviction and remand for the district court to determine whether Simtob’s alleged misconduct toward the juror resulted in a biased jury. Because we vacate Simtob’s conviction, we also vacate Simtob’s sentence for that conviction, rendering Simtob’s challenge to the reasonableness of his sentence moot.
Factual and Procedural History
On June 21, 1996, Simtob was indicted on various federal drug charges (“1996 indictment”). Following a jury trial held in April 1997, Simtob was convicted of the following offenses: Count I, Conspiracy to Distribute Cocaine in violation of 21 U.S.C. §§ 841(a)(1) and 846; Count II, Possession of Cocaine with Intent to Distribute in violation of 21 U.S.C. § 841(a)(1); and Count IV, Possession of Cocaine with Intent to Distribute in violation of 21 U.S.C. § 841(a)(1). On July 29, 1997, Simtob was sentenced to 41 months imprisonment followed by a six year term of supervised release.
On August 4, 2005, a United States Probation Officer filed a petition to revoke Simtob’s supervised release on the 1996 indictment. Almost two months later, on September 26, 2005, Simtob was indicted again on federal drug charges and on an obstruction of justice charge that flowed from the conduct underlying the petition to revoke (“2005 indictment”). Consequently, the revocation proceedings on the 1996 indictment were stayed pending the outcome of the prosecution on the 2005 indictment.
On December 27 and 28, 2005, a jury trial was held on the 2005 indictment. At the end of the first day, in open court and outside of the presence of the jury, the district court informed counsel that a juror had reported that Simtob had been “eyeballing” the juror and that the juror felt threatened by that conduct. The court then cautioned Simtob that neither he nor anyone else was allowed to intimidate anyone in the courtroom. The court further stated that, upon indication of such conduct in the future, it would take appropriate measures to deal with the situation at that time, and it again emphasized its intolerance of such behavior. When asked if the court’s instructions were clear, Simtob responded that they were, and that he had not looked at anyone in particular. “I look at everybody,” Simtob claimed. The district court did not make any inquiry of the complaining juror regarding the “eye-balling” incident.
At the start of the second day of trial, Simtob’s counsel raised a concern that, because of Simtob’s alleged misconduct, a juror may have made up his or her mind about the verdict already. Counsel asked that the juror be replaced with an alternate to avoid any problems associated with the juror’s perceptions. The Government responded that, if any action were taken, which it thought unnecessary, the court should inquire of the juror or hold an in-camera hearing to determine whether the juror in fact had prematurely made up his or her mind about Simtob’s guilt. The district court ruled that the jury had been “repeatedly admonished not to make up its mind about any issue,” that it was “absolutely satisfied that the jury ha[d] taken those admonishments appropriately,” and *1061 that it saw “no reason to inquire further into th[e] matter.... ” In reaching that conclusion, the court emphasized that Sim-tob “disavowed having engaged in any such conduct.” Ultimately, the court decided that the “issue is best left where it is,” seeing no need to replace the juror.
Simtob was subsequently convicted on Counts I and II for possession with intent to distribute methamphetamine in violation of 21 U.S.C. § 841(b)(1)(B) and distribution of methamphetamine in violation of 21 U.S.C. § 841(b)(1)(C) (“2005 conviction”). Simtob was acquitted on the obstruction charge.
On February 8, 2006, before Simtob was sentenced for the 2005 conviction, the court held a hearing on the revocation of supervised release concerning the 1996 indictment. The district court found that, contrary to Simtob’s arguments, Simtob was on supervised release when he committed the violations leading to the 2005 conviction. Emphasizing that the offense underlying the revocation was the same offense that led to Simtob’s 2005 conviction, the court found that Sim-tob violated the terms of his supervised release, the violation was a Class A violation, and the severity of the conduct required revocation. The court concluded that the evidence, as a whole, demonstrated “a continued pattern of unlawful behavior by [Simtob] that is representative of what [he][had] done over the years on a repeated basis.” The court, moreover, determined that Simtob’s “very serious conduct” warranted imposition of the maximum statutory penalty. It also found that the Guidelines range was “inadequate to address the seriousness of the defendant’s violation, and all of the circumstances of the current violations.” Consequently, the court sentenced Simtob to the statutory maximum of three years in custody with no supervised release.
On April 3, 2006, the court sentenced Simtob for the 2005 conviction, finding the recommended Guidelines range of 78 to 97 months inadequate and sentencing Simtob to 240 months imprisonment on Count I and to 97 months on Count II, to be served concurrently, followed by eight years of supervised release on Count I and six years on Count II, to be served concurrently.
Jurisdiction and Standard of Review
We have jurisdiction pursuant to 28 U.S.C. § 1291. We review sentences, including those imposed upon revocation of supervised release, for reasonableness.
See Miqbel,
Discussion
I. Reasonableness of the revocation sentence
Simtob challenges the district court’s imposition of his sentence upon revocation of his supervised release. Specifically, Simtob argues that his revocation sentence is unreasonable because the court relied on the seriousness of the offense underlying the revocation when determining his sentence, in contravention of Miqbel. The Government responds that, even if that consideration were improper, the court rested its sentencing decision on other permissible factors, such as Simtob’s continued pattern of unlawful conduct. Thus, the Government argues that Simtob’s sentence should stand.
*1062
On February 8, 2006, the district court sentenced Simtob to the maximum statutory penalty of three years for violating his supervised release. Since then, we have issued a decision that provides further guidance concerning what district courts may properly consider in revocation sentencing.
See Miqbel,
We take this opportunity to clarify the directives set forth in Miqbel. Contrary to Simtob’s contention, we did not set forth a blanket proposition that a court in no circumstances may consider the seriousness of the criminal offense underlying the revocation. The seriousness of the offense underlying the revocation, though not a focal point of the inquiry, may be considered to a lesser degree as part of the criminal history of the violator. As the Sentencing Guidelines Manual indicates, “at revocation the court should sanction primarily the defendant’s breach of trust, while taking into account, to a limited degree, the seriousness of the underlying violation and the criminal history of the violator.” U.S.S.G.M. Ch.7, Pt. A(3)(b) (emphasis added). Indeed, 18 U.S.C. § 3583(e) specifically directs sentencing courts to consider “the nature and circumstances of the offense and the history and characteristics of the defendant,” as set forth in 18 U.S.C. § 3553(a)(1).
To ignore the new violation underlying the revocation entirely would be to ignore a key predictor of a violator’s potential for reintroduction into society without relapse.
See, e.g., United States v. Tadeo,
A district court may not impose a revocation sentence
solely,
or even primarily, based on the severity of the new criminal offense underlying the revocation, as the sentence for that offense is left to the sentencing court.
See Miqbel,
Here, the weight that the district court gave the seriousness of Simtob’s criminal conduct underlying the revocation of supervised release is unclear. The district court cited Simtob’s “continued pattern of unlawful behavior,” a permissible consideration under § 3583(e), but it also stated that the offense leading to the revocation of supervised release was “very serious conduct” and it found the “Chapter 7 policy statements and [G]uideline[s] range ... inadequate to address the seriousness of [Simtob’s] violation, and all of the circumstances of the current violations.” To the extent that the district court placed *1064 special emphasis on the seriousness of Simtob’s new criminal conduct as the primary consideration for the sentence upon revocation of supervised release, the court’s sentence would be unreasonable. Because the district court rendered its decision without the benefit of Miqbel, we vacate and remand for re-sentencing in light of the permissible considerations set forth in Miqbel and clarified herein.
II. Possible juror bias
Simtob contends that because the juror indicated that his alleged act of “eye-balling” the juror made the juror feel “threatened,” the juror’s perception of the event may have influenced the verdict on his underlying drug convictions. Simtob further argues that the court failed to take appropriate corrective measures to rectify the perceived problem. Thus, Simtob requests that we remand for an evidentiary hearing on this issue. The Government responds that an evidentiary hearing was unnecessary because Simtob denied having engaged in any such conduct and the court acted appropriately given the relatively neutral nature of the conduct. The Government further argues that, even if the court should have pursued the matter further, any error was harmless, given the “overwhelming evidence” on the drug counts and the acquittal on the obstruction count.
We review “a trial court’s decision regarding jury incidents ... for [an] abuse of discretion.”
Long,
Despite the lack of evidence that Simtob had any direct contact with the jury, the presumption of prejudice applies here because “even indirect coercive contacts that could affect the peace of mind of the jurors give rise to the Remmer presumption.”
Rutherford,
This the Government cannot do on the record before us. When a source presents the court with a “colorable claim of juror bias,” the court must make some inquiry of the juror, whether through an in camera hearing or otherwise, to determine whether the allegedly affected juror is incapable of performing the juror’s functions impartially.
See Dyer,
From the record, we cannot discern whether Simtob’s alleged conduct of “eye-balling” impaired the juror’s ability to act impartially. The district court conducted no inquiry of the juror from which it could draw any inferences of the juror’s impartiality, even though the juror claimed, during trial, that “he or she
felt
that [Simtob] was staring at [him or her] in a threatening manner.” (Emphasis added.) Nor did the district court consider the possibility that the juror may have communicated his or her perception of a threat to other jurors.
Cf. Angulo,
Without any inquiry whatsoever into the juror’s state of mind or communications with other jurors, the district court had no way of knowing whether any juror harbored lingering bias from the eye-balling incident. Although helpful to aid our understanding of the measures that the court undertook to rectify the perceived problem, the district court’s handling of the incident sheds no light on the juror’s actual state of mind. The question of bias is still open, and it is one that we cannot answer on this record because it is a factual determination for the district court to make.
Because the district court made no inquiry of the juror when the juror voiced his or her concern that the defendant’s alleged act of eye-balling the juror made the juror feel threatened, it abused its discretion in failing to take proper remedial action on the facts of this case. We, therefore, vacate Simtob’s conviction and remand for the district court to recall the complaining juror and to undertake whatever inquiry it deems appropriate— whether through an in camera hearing or otherwise — to determine whether the perceived threat impaired that or any other juror’s ability to act fairly and impartially. 1 Upon remand, the district court must make findings about possible bias that the affected juror or any other juror may have harbored as a result of the alleged eyeballing incident. If the district court finds no *1066 such impairment, it can, of course, reinstate the conviction.
Before concluding, we acknowledge the Government’s argument that the fact that Simtob was acquitted on one charge may diminish the possibility that bias was present. That Simtob was acquitted on one charge, however, does not erase the potential that bias might have contributed to the juror’s ability (or inability) to act fairly and impartially with respect to the other charges. There are many reasons that could explain away the acquittal, including ones that would work against the Government’s argument, seeing as the acquittal could have been caused by the juror’s fear of retaliation. Simtob’s partial acquittal, therefore, does not change our decision to vacate and remand.
III. Reasonableness of sentence for the 2005 conviction
Simtob challenges the reasonableness of the district court’s decision to depart from the Guidelines when sentencing Simtob for the 2005 conviction based on the court’s determination that the Guidelines did not adequately take into account the 18 U.S.C. § 3553(a) sentencing factors. Because we vacate Simtob’s 2005 conviction, however, we also vacate the sentence imposed for it, mooting Simtob’s challenge.
Conclusion
Because the district court’s revocation sentencing decision was made without the benefit of Miqbel, we vacate and remand for re-sentencing in light of that decision and the clarifications herein. We likewise vacate Simtob’s 2005 conviction and remand for the district court to recall' the affected juror and to determine whether the juror was capable of performing his or her duties impartially during trial and to take appropriate action as it finds warranted in light of the juror’s response. Because we vacate Simtob’s conviction, we also vacate his sentence, mooting his challenge to its reasonableness.
VACATED and REMANDED.
Notes
. We recognize the difficulties in recalling a juror post-verdict, such as memory deficiency, locating the juror, and inconvenience to the juror. We also acknowledge the hesitancy that courts face in "haul[ing] jurors in after they have reached a verdict in order to probe for potential instances of bias, misconduct or extraneous influences.”
United States v. Sun Myung Moon,
