Lead Opinion
Opinion for the Court filed by Circuit Judge MIKVA.
Concurring opinion filed by Circuit Judge STEPHEN F. WILLIAMS.
Opinion dissenting in part and concurring in part filed by Circuit Judge HARRY T. EDWARDS.
The appellees in this case were convicted in previous trials of conspiracy to possess unregistered firearms, explosives, and false identification. Subsequently, they were indicted on charges that they aided and abetted in the bombing of several Washington buildings during 1983 and 1984. The district court determined that the double jeopardy clause of the fifth amendment barred the subsequent prosecution of the appellees because the government planned to establish the appellees’ liability for the bombings by using the same actual evidence that the government had used to convict the appellees of conspiracy in their earlier trials. Because we find no support for the use of a “same actual evidence” test in assessing whether successive prosecutions violate the double jeopardy clause, we reverse and remand. We note, however, that under established double jeopardy guidelines the government would be precluded from prosecuting the appellees for the substantive bombings charged if the sole theory of prosecution is vicarious liability under Pinkerton v. United States,
I. Background
A. The Previous Trials
Appellees Blunk and Rosenberg were arrested in Cherry Hill, New Jersey on November 29, 1984, following an investigation that culminated in the police observing Blunk and Rosenberg unload a large quantity of explosives from a U-Haul trailer into a rented public storage area. After further investigation, the government obtained indictments against Blunk and Rosenberg. After a trial in the District Court for the District of New Jersey, they were convicted on nine counts of conspiracy to possess unregistered firearms, explosives, and false identification documents, as well as several substantive counts related to the overt acts charged in the conspiracy. Rosenberg and Blunk were sentenced to 58 years in prison.
Appellee Berkman was arrested on May 23, 1985 while driving toward Doylestown, Pennsylvania. At the time of Berkman’s arrest, FBI agents searched Berkman’s car and found firearms, false identification documents, and explosives. Berkman was subsequently indicted, tried, and convicted in the District Court for the Eastern District of Pennsylvania for conspiracy to possess — and substantive possession of — the firearms, explosives, and false identification papers. Berkman was sentenced to ten years in prison and five years probation.
The appellees were indicted in the District Court for the District of Columbia on four counts of bombing, during 1983 and 1984, the United States Capitol, the National War College Building at Fort McNair, the Computer Center at the Washington Navy Yard, and the Officer’s Club at the Navy Yard (the “Washington bombings”) in violation of 18 U.S.C. §§ 844(f), 2. The appellees were also listed as unindicted co-conspirators in the conspiracy to carry out the foregoing bombings in violation of 18 U.S.C. § 371. Because the government apparently has little evidence linking the three appellees directly to the bombings, it had planned to establish the appellees’ guilt of the substantive bombing charges on a theory of vicarious liability, asking the jury to infer the appellees’ guilt from their involvement in the conspiracy for which they remain unindicted. See Pinkerton v. United States,
C. The District Court’s Decision
On April 11, 1989, Judge Harold H. Greene dismissed the District of Columbia indictments against the appellees on double jeopardy grounds. In his opinion, the district judge noted that the formal elements of the conspiracies of which the appellees had been convicted did not include the acts of bombing for which they were indicted in the District of Columbia District Court. Therefore, under his reading of the double jeopardy test of Blockburger v. United States,
The district court determined that the facts of this case demanded an inquiry beyond the Blockburger “elements test” to see if the government’s prosecution would be a double jeopardy violation. Under its reading of double jeopardy caselaw, the district court concluded that the government was barred from prosecuting the ap-pellees for the substantive bombings charged in the District of Columbia indictments because the government planned to use the “same actual evidence” to prosecute the appellees in the District of Columbia that it had used to obtain the conspiracy convictions in the appellees’ earlier trials. The district court reasoned that the same factors that render successive prosecutions violative of the double jeopardy clause in lesser-included offense cases obtain in this case:
In both instances (1) the evidence in the first trial is the same as that used in the second trial, (2) the evidence is necessarily identical, for at the second trial the offenses could not be proved without use of that evidence, and (3) thus one trial involves relitigation of the other trial in full.
United States v. Whitehorn,
This case ... is one of those presumably rare cases in which the government prosecutes a defendant for conspiracy in successive trials and is forced to reprove*1409 the conspiracy in order to establish the defendant’s guilt for aiding and abetting the substantive offense.
Id. at 850. The court specifically noted that there would be no double jeopardy problem if the government had independent, direct evidence of the appellees’ guilt of the substantive offenses charged in the second prosecution. Id. at 850 n. 161. Here, however, the court found that the government would use all of the evidence in this prosecution that it had used to prosecute the appellees in their earlier trials. The judge determined that the small amount of “new evidence” the government planned to introduce to link the appellees to the Washington bombings was either cumulative of evidence used at the earlier trials or failed to tie the appellees directly to the bombings.
II. Double JeopaRdy and Successive Prosecutions
After reviewing all of the cases cited by the district court in support of its “same actual evidence” test, we conclude that despite some admittedly ambiguous language in these opinions, neither the Supreme Court nor this circuit has ever endorsed a double jeopardy test that looks to the actual evidence presented in successive prosecutions. We likewise conclude that the district court has misread the opinions of our sister circuits addressing double jeopardy in the context of successive prosecutions. In any case, to the extent that any other circuits have suggested that the application of a “same actual evidence” test is appropriate, we decline to follow them.
A. The Supreme Court
The Supreme Court has noted repeatedly that the double jeopardy clause has three functions: (1) it protects against a second prosecution for the same offense after acquittal; (2) it protects against a second prosecution for the same offense after conviction; and (3) it protects against multiple punishments for the same offense. See Brown v. Ohio,
The Court has rejected claims that successive prosecutions are jeopardy-barred because of a substantial overlap in the evidence introduced to prove both offenses. In Gavieres v. United States,
Instead of an actual evidence test, the Court has applied the Blockburger test in successive prosecution cases. In Brown, the Court explained that “[i]f two offenses are the same under [Blockburger ] for purposes of barring consecutive sentences at a single trial, they necessarily will be the same for purposes of barring successive prosecutions.”
The Court’s decision in Ashe is inapposite to the instant case, because Ashe addressed successive prosecutions following acquittal. In Nielsen, even though the statutory definitions of cohabitation and adultery each contained an element that the other did not, the Supreme Court looked to the intent behind the statute prohibiting cohabitation and construed it to include all of the elements necessary to establish adultery. Nielsen,
Some of the Court’s language in Illinois v. Vitale,
In any event, it may be that to sustain its manslaughter case the State may find it necessary to prove a failure to slow or to rely on conduct necessarily involving such failure; it may concede as much prior to trial. In that case, because Vi-tale has already been convicted for conduct that is a necessary element of the more serious crime for which he has been charged, his claim of double jeopardy would be substantial under Brown and our later decision in Harris v. Oklahoma,433 U.S. 682 ,97 S.Ct. 2912 ,53 L.Ed.2d 1054 (1977).
Vitale,
reasonably sure that the Court did not intend to transmute the traditional double jeopardy analysis from an either “up or down” inquiry based on the evidence required to prove the statutory elements of a crime into a “substantial claim” inquiry based upon the evidence that the State introduced at trial.
Thigpen v. Roberts,
B. D. C. Circuit
In United States v. Black,
[although some authority exists for the proposition that, under certain exceptional circumstances, evidence adduced at an earlier trial which is reintroduced at a subsequent trial may give rise to double jeopardy claims, see, e.g., In re Nielsen,131 U.S. 176 [,9 S.Ct. 672 ,33 L.Ed. 118 ] (1889); Jordan v. Commonwealth of Virginia,653 F.2d 870 (4th Cir.1980); United States v. Sabella,272 F.2d 206 (2d Cir.1959), these circumstances are not present here and there is no general prohibition against evidence introduced at one criminal trial being introduced against the same defendant at a subsequent trial for a different offense.
We have determined, supra, that Nielsen does not support a “same actual evidence” test. We also conclude that neither Sabella nor Jordan supports the district court’s close scrutiny of the actual evidence used to convict the appellees in their previous trials to determine if the double jeopardy clause bars their subsequent prosecution for the Washington bombings.
In Sabella, the defendants were convicted of violating 26 U.S.C. § 4705 by selling heroin without a written order. They were subsequently convicted of violating 21 U.S.C. §§ 173, 174 by selling illegally imported heroin.
In Jordan, the defendant was convicted of the misdemeanor offense of obtaining a drug by presenting a forged prescription. In a second trial, the defendant was convicted of possessing a controlled substance.
The foregoing review shows that the Supreme Court has consistently held impermissible the prosecution of an individual in successive trials for two offenses where the evidence required to prove the elements of one offense necessarily suffices to prove the elements of the other. Often, merely examining the statutes defining the two offenses reveals that the elements of one offense are facially contained within the other. Occasionally, however, courts have determined that despite the facial disparity of two statutes, proving the elements of one offense necessarily establishes the elements of the other. See Nielsen,
C. Pinkerton Liability
In rejecting the “same actual evidence” test, we do not disparage the district court’s efforts to avoid double jeopardy in the case sub judice. If the government prosecutes the appellees for the substantive bombing offenses solely on a Pinkerton theory of liability, with no evidence of the appellees’ guilt apart from their involvement in the conspiracy to bomb, then the double jeopardy clause precludes the subsequent prosecution. In reaching this conclusion, we do not compare the actual evidence that the government presented in the appellees’ previous conspiracy trials with the evidence it plans to offer in the substantive bombing trial. Instead, consistent with the double jeopardy guidelines outlined above, we examine in the abstract the evidence required to establish the elements of each offense. The jeopardy bar arises because despite the facial disparity of the elements required to establish the appellees’ guilt of conspiracy to possess unregistered firearms, explosives, etc. and the elements necessary to prove liability for the substantive bombings, a Pinkerton theory of liability for the bombings necessitates re-proving each element of the conspiracy of which the appellees stand convicted.
In order to establish the appellees’ vicarious liability for the Washington bombings under Pinkerton, the government must prove: (1) that the appellees were members of a conspiracy which had as one of its objects the Washington bombings; and (2) that some member of the conspiracy other than the appellees actually carried out the Washington bombings. See Pinkerton,
Our conclusion is in accord with the Supreme Court’s decision in Garrett v. United States,
We emphasize that the government is not precluded from prosecuting the appel-lees for the Washington bombings on a theory of liability of aiding and abetting or on a theory of direct participation in the bombing. Nor is it precluded from using any evidence introduced at earlier trials. The existence of the conspiracy may even be used as circumstantial evidence that the appellees aided and abetted or participated in the bombings. (If the government does rely on the conspiracy as circumstantial evidence, the trial judge may, in his discretion, give an anti-Pinkerton charge, making clear to the jury that they cannot impose liability based solely on the defendants’ participation in the conspiracy.) The government is disabled only from relying on a theory of liability that requires the jury (or judge sitting without a jury) to find as a necessary ingredient the appellees’ participation in the conspiracy for which they have already been convicted.
The dissent mischaracterizes the breadth and focus of our holding. We do not challenge the proposition that a conspiracy and the object of that conspiracy may be prosecuted separately in separate trials. Indeed, we have stated directly that the government may prosecute the appellees in the case sub judice for the Washington bombings even though they have been convicted in earlier trials of a conspiracy which is indivisible from the conspiracy to bomb. The litany of caselaw that the dissent offers to prove this unobjectionable point is neither new nor directed at the narrow issue we are forced to confront in this case. We hold simply that the government may not, consistent with the Supreme Court’s teachings regarding the prosecution of greater and lesser-included offenses in successive trials, prosecute the appellees for the Washington bombings on a theory of liability that necessarily requires the
The dissent purports to refute our conclusion by reference to Pinkerton, claiming that “Pinkerton itself is dispositive of the issue at hand.” Dis.Op. at 1426. Yet, a careful reading of Pinkerton reveals that it did not — and could not — have properly addressed the question posed by this case. Pinkerton involved a single prosecution. Therefore, the unique problem caused by successive prosecutions of greater and lesser-included offenses was not available for the Pinkerton Court’s consideration. Moving beyond Pinkerton to the successive prosecution context, we are forced to confront the Supreme Court’s teaching in Brown that the successive prosecution of greater and lesser-included offenses is prohibited.
As noted above, much of the case-law that the dissent cites supports the proposition that a defendant may be prosecuted for a conspiracy and the object of that conspiracy in separate trials. See United States v. Bayer,
The dissent dismisses vicarious liability under Pinkerton as “a theory of proof —nothing more and nothing less.” Dis.Op. at 1424. This is disturbing, as is the dissent’s conclusion that the prosecution’s theory of liability does not meaningfully transform the elements of the offense from the perspective of double jeopardy. See id. at 1424-1425. The simple fact is that if the prosecution proceeds on a theory of vicarious liability in this case the only actions by the appellees that the government must prove is that they were involved in the same conspiracy of which they have been convicted. This is radically different from establishing some affirmative link to the bombings, and while it may be permissible in a single prosecution, our cognizance of the values at stake in successive prosecutions for greater and lesser-included offenses leads us to find a subsequent prosecution on a vicarious liability theory violative of double jeopardy.
D. Exceptions to Double Jeopardy
The government also claims an exception to whatever jeopardy bar might exist because it asserts that it was precluded from prosecuting the appellees in a single trial for the Washington bombings and the con
With respect to appellee Dr. Berkman, the government asserts that venue for the Washington bombings did not lie in the Eastern District of Pennsylvania because, except as provided by statute or rule, the government must prosecute a case in the district where the crime was committed. The government asserts that none of the actions that Berkman carried out in the Eastern District of Pennsylvania were in furtherance of the bombings and, therefore, the government could not prosecute Berkman for the bombings in the Philadelphia trial. Without addressing the merits of this argument, we note simply that the government could have prosecuted Berk-man for both the Washington bombings and the conspiracy charge in the District of Columbia. The Supreme Court has held that a conspiracy prosecution may be brought in any district in which some overt act in furtherance of the conspiracy was committed by any of the co-conspirators. See Hyde v. United States,
The government’s argument with respect to Blunk and Rosenberg will require further inquiry by the district court on remand. The government contends that it could not have brought the substantive bombing charges against Blunk and Rosenberg in their earlier trial because the government did not possess essential evidence linking them to the Washington bombings until after they had been convicted and sentenced in New Jersey. The government thus asserts that it falls within a claimed “due diligence” exception to the double jeopardy clause alluded to in Brown,
The government also argues that venue for the substantive bombing charges did not lie in the District of New Jersey for the same reasons that it did not lie in the Eastern District of Pennsylvania. We reject this argument for the same reasons we rejected it for appellee Berkman. As with Berkman, venue for Rosenberg and Blunk would have been proper in Washington for both the substantive bombing offenses and the conspiracy offense. The only difference is that the government might have lacked sufficient evidence to link Rosenberg and Blunk to the bombings at the time of the first trial. But that difference is only relevant to the due diligence exception issue. Venue is a wholly separate inquiry, and no venue barriers prevent the conspiracy and substantive bombing offense from being brought in a single prosecution.
E. Conclusion
The constitutional guarantee against double jeopardy has never proven as easy to administer judicially as it sounds in abstract policy terms. All can agree that a defendant ought not to be doubly tried or doubly punished for the same offense. What separates permissible prosecutions from the proscribed turns on ephemeral distinctions that give rise to numerous and difficult parsings of the term “double jeopardy.” We decline to add to the permutations by approving a “same actual evidence” test. But we and the government must adhere to the longstanding double
We reverse and remand for proceedings consistent with this opinion.
Concurrence Opinion
concurring.
I concur in the opinion of the court but write separately to make clear why I believe the government cannot proceed on the theory established in Pinkerton v. United States,
The Supreme Court stated the authoritative test for double jeopardy in Blockburger v. United States,
The applicable rule is that where the same act or transaction constitutes a violation of two distinct statutory provisions, the test to be applied to determine whether there are two offenses or only one, is whether each provision requires proof of a fact which the other does not.
As each charge (in order to survive a double jeopardy attack) must entail proof of a fact not needed for the other,
The reference to the “require[d] proof of a fact” carries an ambiguity. Looked at in the raw, it might seem to bar successive prosecutions for two crimes if, because the defendant managed to compress his criminal conduct, witnesses could not intelligibly describe one without describing the other. This is clearly not what the Court has meant. Thus Gavieres v. United States,
Instead, a “fact” is “require[d]” to be proved if it is one the jury must find in order to convict. Cf. Pryor v. Rose,
The test could in some instances pose nice questions as to the level of generality at which the necessary “facts” are to be defined. In Vitale, for example, would there be no double jeopardy problem if under Illinois law the court could properly charge the carelessness component of manslaughter in generic terms rather than specifically requiring a finding of failure to slow? Happily, no such problem is posed by the present case, where, if the government proceeds on Pinkerton’s theory of vicarious liability, the court must charge
Conviction on the Pinkerton theory would “require[ ] proof of a fact” required for the defendants’ conspiracy convictions. (And, as we shall see, the conspiracy charges did not require proof of any legally relevant fact in addition to the ones needed for the substantive bombings.) A charge instructing the jury under Pinkerton shows how a defendant’s membership in the conspiracy becomes part of the facts necessary for the substantive conviction:
If you find that the defendant is guilty of conspiracy as charged in Count One, you may also find the defendant guilty of a substantive offense as charged in any other count of the indictment, provided that you find that the essential elements of that count as defined in these instructions have been established beyond reasonable doubt, and provided that you also find beyond reasonable doubt,
First, that the offense defined in the substantive count was committed pursuant to the conspiracy, and
Second, that the defendant was a member of the conspiracy at the time the substantive offense was committed.
Under the conditions just defined a defendant may be found guilty of a substantive count even though he did not participate in the acts constituting the offense as defined in the substantive count. The reason for this is that a co-conspirator committing a substantive offense pursuant to a conspiracy is held to be the agent of the other co-conspirators.
United States v. Zabic,
As the charge demonstrates, the Pinkerton theory alters the necessary elements of the offense. Without the Pinkerton charge, the jury is told to impose liability only if it finds that the defendant “participate^] in the acts constituting the offense.” With Pinkerton, the jury is expressly told that it need not make this finding. The elements of the offense are respecified as (1) the defendant’s membership in the conspiracy, and (2) commission of the substantive offense by any members) acting pursuant to the conspiracy.
The first of those facts, of course, is the essential one needed for defendants’ prior convictions for conspiracy (conceded by the government to have been the same conspiracy in both charges). As a result, the conspiracy conviction did not require “proof of a fact which [the present charge] does not,” unless the overt act necessary for conspiracy conviction counts for Blockburger purposes.
The government contends that the second prosecution should be allowed since, in the abstract realm of the statute books, the elements of conspiracy and of the substantive offenses seem totally dissimilar. But that is not the Blockburger approach, which looks to the facts the government is required to establish in the real world. The government’s position involves this curiosity: prosecution of the defendants under Pinkerton would be barred if the Pinkerton principle were explicitly codified in a statute. That it arises from judicial construction should make no difference.
Nothing in today’s holding disables the government from introducing the defendants’ participation in the conspiracy as tending to prove that they either directly participated in the substantive offenses or aided and abetted their commission. In the absence of a Pinkerton charge the agreement to conspire will not be a fact necessary for liability; any conviction will be consistent with Blockburger. See Pereira v. United States,
The strongest argument against our result might be a claim that it unravels Pinkerton itself. That decision upheld separate punishments both for conspiracy and for substantive offenses committed by other members of the conspiracy, even for the defendant whose guilt of the substantive offense was based solely on his membership in the conspiracy. Since the double jeopardy clause and the Blockburger test normally apply as much to successive prosecutions as to multiple punishments, today’s decision might seem inconsistent with that result.
But despite the Court’s general use of the same doctrine in both contexts, its function is quite different in the two. Because the legislature could always impose a longer sentence for any offense, the only question in cases of multiple sentences is the meaning of the criminal statutes. See Brown,
In contrast, the prohibition against successive prosecutions lies at the core of the double jeopardy clause. It arises, as Judge Friendly pointed out in United States v. Sabella,
Second, Pinkerton itself never explained the aspect of the decision critical here — allowing multiple punishments both for conspiracy and a substantive crime where the defendant’s liability for the second derives solely from his membership in the conspiracy. In so far as it discussed double jeopardy, it lumped together both the defendant who was active in the substantive offenses and the one who was not. As to the latter, of course, it went on to establish what we have referred to as the Pinkerton
The result in Pinkerton forecloses a double jeopardy claim in the context of consecutive sentences. See United States v. Cerone,
Notes
. I.e., the "set” of elements of each crime must contain an element not included in the set of elements of the other.
. The Washington bombings were not charged as overt acts in the first trials. That overt acts not involving the Washington bombings were "necessary" for the first convictions was due, of course, to the government’s not charging any overt act involving those bombings. Had it relied on such an overt act, the overlap in offenses would be indisputably fatal.
. Given the function of double jeopardy for multiple punishment cases, it is not clear why the Supreme Court need have any role in the matter for state cases, other than to correct state court decisions mistakenly applying the federal clause, as it did in Missouri v. Hunter. Compare id. at 369-74,
Concurrence Opinion
dissenting in part and concurring in part:
I dissent to express my strong disagreement with the majority’s conclusion that application of the double jeopardy clause in the conspiracy setting turns on the character of the Government’s proof. I would reverse the judgment of the District Court because it is plainly at odds with Supreme Court precedent. I would also remand the case to allow the Government to proceed with prosecution unimpeded by the double jeopardy clause.
Like the majority, I conclude that Blockburger v. United States,
Unlike the majority, however, I do not believe that a different rule applies when one of the offenses in question happens to be conspiracy. The Supreme Court has “long and consistently recognized ... that the commission of [a] substantive offense and a conspiracy to commit it are separate and distinct offenses.” Pinkerton v. United States,
I. Background
The facts underlying this case are addressed in the majority opinion and need be restated only briefly here. Appellees Susan Rosenberg, Timothy Blunk and Alan Berkman (collectively “the appellees”) all stand indicted for multiple counts of violating 18 U.S.C. § 844(f) (Supp. V 1987) for their alleged participation in a series of
The issue on appeal is whether successively prosecuted offenses are the “same” for double jeopardy purposes merely because they arise out of a common factual transaction. Because Supreme Court precedent conclusively establishes that the identity of two offenses turns on the elements of the statutes in question rather than on the evidence adduced at trial, and because conspiracy by this test is a separate offense from destruction of government property by bombing, I would reverse the District Court and permit the instant prosecution to go forward unimpeded by the double jeopardy clause.
II. The DISTRICT Court’s Application of an “Actuau-EvidenCe” Test is Wrong as a Matter of Law
Since at least as early as the 1911 case of Gavieres v. United States,
It is true that the acts and words of the accused set forth in both charges are the same; but in the second case it was charged, as was essential to conviction, that the misbehavior in deed and words was addressed to a public official. In this view we are of opinion that while the transaction charged is the same in each case, the offenses are different.
Id. at 342,
It is from the Gavieres Court’s distinction between factual transaction and statutory offense that the so-called “Blockburger test” derives. See Blockburger v. United States,
The Supreme Court has continued to follow the rule of Gavieres and Blockburger in its most recent successive-prosecution cases. See, e.g., Illinois v. Vitale,
In a successive prosecution following a conviction, a court performing double jeopardy analysis should examine the evidence only if it determines — on the basis of
The opinion of the District Court misconstrues these cases. The trial court found the use of an actual-evidence test by courts after they have determined that two or more offenses are the same to mean that such a test should be used to determine whether the offenses are the same. This clearly is not the law, and appellees’ suggestions to the contrary are simply wrong.
III. The MajoRity Misconstrues the Law in Relying on Pinkerton to Support a Limited “Actual-EvidenCe” Test
Pinkerton v. United States,
The second pertinent holding is that the Government may prove a defendant’s guilt of both the substantive offense and the conspiracy through overlapping evidence. Even absent direct evidence that the defendant committed the substantive offense in question, the jury, if properly charged, may find the defendant guilty of the substantive offense so long as it finds that he engaged in the conspiracy and that his codefendant committed the substantive offense as a reasonably foreseeable means of furthering their shared criminal ends. See Pinkerton,
Relying on Pinkerton and its progeny, the circuit courts of appeals have uniformly held that the double jeopardy clause poses no bar to convicting a defendant for both conspiring to commit an offense and actually committing it, regardless of the order in which the two are prosecuted and regardless of the Government’s proof at trial. See, e.g., United States v. McCullah,
Under these principles, there can be no double jeopardy impediment to the prosecution of the appellees. Even assuming that the Washington bombings with which the appellees are now charged were the product of the conspiracies for which the appel-lees were convicted in the New Jersey and Pennsylvania trials, the fact remains that the bombings and the conspiracies are separate offenses under the Gavi-eres-Blockburger test: the conspiracy
Notwithstanding the overwhelming weight of Supreme Court and lower court authority, the majority reaches a different conclusion. The majority accepts, as do I, that Blockburger and Gavieres supply the proper analysis in successive-prosecution cases. It concludes, however, that once a defendant has been convicted for conspiracy, the Government in a subsequent trial is barred from relying on the Pinkerton doctrine to prove the defendant’s guilt of any connected substantive offense. Because, under the Pinkerton doctrine, the Government need only show that the defendant engaged in the conspiracy and that some member of the conspiracy committed the substantive offense in question, the majority reasons that the conspiracy in effect becomes an “element” or even a “lesser-included offense” of the substantive offense. The majority therefore concludes that the appellees can be prosecuted for the Washington bombings only if the Government forgoes reliance on the Pinkerton doctrine.
In my view, the majority’s holding seriously misconstrues the Pinkerton doctrine. The Pinkerton doctrine is a theory of proof — nothing more and nothing less. That its use does not transform the elements of the substantive offense in any manner relevant to the double jeopardy clause is borne out by the result in Pinkerton itself. See Harden,
Both the majority and concurring opinions cite United States v. Larkin,
In short, Pinkerton itself is dispositive of the issue at hand. However, if it were necessary to go beyond Pinkerton to resolve the question before us, a useful source of guidance would be cases examining the double-jeopardy implications of aider-and-abettor liability. The policies underlying the Pinkerton doctrine and aider- and-abettor liability are very similar,
The appellees invoke policy considerations to justify a special double jeopardy rule in the conspiracy setting. Their fear is that the Government, armed with the Pinkerton doctrine, could “reprove” a defendant’s guilt of conspiracy over and over again in order to establish his guilt of various substantive offenses. Such a result, the appellees argue, would transgress the double-jeopardy-clause values of finality and repose. See Brief for Appellee Alan Berkman at 37-38; Brief for Appellees Susan L. Rosenberg and Timothy A. Blunk at 43-45.
These concerns are not sufficient to support the limited actual-evidence test established by the majority. Finality and repose, it is true, play a prominent role in application of the double jeopardy clause in the successive-prosecution setting. See, e.g., United States v. Wilson,
The problem with the majority’s approach is that it invites prosecutorial bad faith. Because the majority’s rule prohibits the Government in a successive prosecution from using a particular theory of proof — the Pinkerton doctrine — the rule announced today will create strong incentives for the Government to distort its evidence to fit a licit theory. The only alternative to using such a tactic is to join transactionally related conspiracy and substantive offenses in a single prosecution — a course that the Supreme Court has “steadfastly refused” to force upon the Government. Garrett,
III. CONCLUSION
The teachings of the Supreme Court are clear. First, for purposes of the double jeopardy clause, the identity of two or more offenses prosecuted successively is to be determined by “the statutory elements of each offense, rather than ... the actual evidence to be presented at trial.” Vitale,
. The indictment also charges three additional codefendants with destruction of government property by bombing, and with conspiracy to destroy government property by bombing. See J.A. 175-97. Although not charged in the conspiracy count of the indictment, all of the appel-lees are identified as unindicted coconspirators. See J.A. 175-76.
. Each appellee was also convicted for the substantive offenses of possession of unregistered firearms, possession of false identification documents and possession of destructive devices. These convictions, however, are immaterial to the issues raised on appeal.
. Cases dealing with resentencing as a remedy for double jeopardy violations also demonstrate that Blockburger is controlling in the successive-prosecution setting. In Morris v. Mathews,
. Vitale! s confirmation that the Blockbur-ger-Gavieres test looks solely to the elements of the respective offenses and not to the evidence used to prove them dispels the concurring opinion's suggestions that the test incorporates reference to the underlying factual transaction, and that the test is even more fact sensitive in successive-prosecution cases than in multiple-punishment cases. Moreover, as in the multiple-punishment setting, the "presumption" that two offenses are the "same” if they possess identical elements under the Blockburger test "must ... yield to a plainly expressed contrary view on the part of Congress." Garrett v. United States,
. The Court in Garrett concluded from the legislative history of 21 U.S.C. § 848 (Supp. V 1987) that Congress intended the offense of engaging in a "continuing criminal enterprise” to be distinct from the predicate offenses on which it is based, making application of the Blockburger test unnecessary. See ATI U.S. at 778-86,
. The appellees cite In re Nielsen,
. A court may examine the evidence used in a trial resulting in an acquittal to determine whether the Government is collaterally estopped from relitigating particular factual issues in a successive prosecution. See Ashe v. Swenson,
. The appellees point to a particular passage in Vitale, see
In any case, in Black, we construed Vitale to mandate an inquiry into the statutory elements rather than into the evidence, see
. The Sixth Circuit reached a different conclusion in United States v. Austin,
. In Black, this court, although not relying explicitly on Pinkerton, found no double jeopardy problem in a case in which the defendant was being prosecuted for conspiring to violate and for violating the Racketeer Influenced and Corrupt Organizations Act, 18 U.S.C. § 1962 (Supp. V 1987) ("RICO”), even though the Government intended to use essentially the same evidence relied upon previously to convict the defendant of various conspiracy and substantive offenses. See
.In this context, too, the presumption of identity can be overcome by an express sign of contrary legislative intent. See Iannelli v. United States,
. The majority also finds significant the Government's concession that it is barred from trying the appellees for the conspiracy alleged against the appellees’ codefendants because this conspiracy is the “same" under Braverman as those for which the appellees were convicted in the New Jersey and Pennsylvania trials. See Brief for Appellant at 2 n. 3. I do not find this
. The majority also seeks support for its disposition in Garrett v. United States,
The majority correctly notes that the Court in Garrett looked to the evidence charged in the respective indictments. The Court did so, however, only to show that the petitioner's CCE conviction was based in part on factual transactions occurring after those underlying his prior conviction for a predicate offense, and that, consequently, the double jeopardy clause was inapplicable even assuming the latter offense was a lesser-included offense of the former. See
. At their core, the Pinkerton and the aider- and-abettor doctrines embody the same principle: a defendant who willingly enters into a confederacy of crime can legitimately be held accountable for all reasonably foreseeable offenses committed by his confederates. See Johnson, The Unnecessary Crime of Conspiracy, 61 Calif.L.Rev. 1137, 1146-48 (1973); cf. Note, Developments in the Law—Criminal Conspiracy, 72 Harv.L.Rev. 920, 998-99 (1959).
. There is another matter, to be considered on remand, that could figure prominently in the disposition of this case. The Supreme Court has recognized that an exception to the double jeopardy clause "may exist" permitting the Government to prosecute an otherwise barred charge when "additional facts necessary to sustain that charge ... h[ad] not been discovered [at the time of a previous trial on a related offense] despite the exercise of due diligence.” Brown,
