UNITED STATES of America v. Terrell DAVIS, Appellant.
No. 12-1486.
United States Court of Appeals, Third Circuit.
Argued March 21, 2013. Filed: Aug. 9, 2013.
The jury certainly could have drawn other inferences. But that is not the issue. Rather, looking at “the evidence as a whole, not in isolation,” there is enough evidence to support the jury‘s inference of knowledge. Boria, 592 F.3d at 480. The combination of Caraballo-Rodriguez‘s travel plans, Deya-Diaz‘s testimony, the phone records, Agent Basewitz‘s expert testimony, and the jury‘s own common sense accumulated “grain-by-grain” until the jury could rationally decide that “the scale finally tip[ped].” Iafelice, 978 F.2d at 98. This quantum of evidence provided a sufficient foundation for the jury to rationally conclude beyond a reasonable doubt that Caraballo-Rodriguez knew that the object of the conspiracy was a controlled substance. Although perhaps none of that evidence standing alone could have supported the jury‘s inference of knowledge, looking at the record as a whole, the jury‘s conclusion was not irrational. As discussed above, it is not the business of a reviewing court to play the role of an extra juror in assessing all the possible inferences that could be drawn.
Moreover, the jury received a willful blindness instruction, which permitted it to infer knowledge if the evidence showed that “the defendant ... was subjectively aware of the high probability of the fact in question, and not merely that a reasonable man would have been aware of the probability.” Caminos, 770 F.2d at 365. Given the evidence discussed above, the jury certainly could have reasonably inferred that Caraballo-Rodriguez was aware of the “high probability” that he was transporting a controlled substance.
IV.
Our opinions with respect to sufficiency of the evidence challenges in drug conspiracy cases have not always provided the government, defendants, or judges with clear guidelines. Many cases have reached seemingly inconsistent results, because we have appeared to act as the jury in deciding which inference was the most plausible, rather than asking the proper question, that is, whether the jury‘s inference was merely rational. We take this opportunity to reiterate the appropriate standard for reviewing sufficiency of the evidence claims, as discussed above.
Under that proper standard, the jury‘s conclusion that Caraballo-Rodriguez knew that he was involved in a drug conspiracy was rational. Accordingly, we will vacate the District Court‘s judgment of acquittal and remand with directions that the District Court reinstate the jury‘s verdict of conviction and proceed to sentencing.
Andrew J. Schell [argued], Office of United States Attorney, Philadelphia, PA, for Appellee.
Christopher G. Furlong [argued], Media, PA, for Appellant-Davis.
Mark E. Cedrone [argued], Philadelphia, PA, for Appellant-Blackshear.1
Before: McKEE, Chief Judge, SMITH, and GREENAWAY, JR., Circuit Judges.
OPINION
SMITH, Circuit Judge.
Police arrested Terrell Davis after finding him in a Jeep with nearly a kilo of
I
The events at issue took place on a wintry afternoon over two years ago. Two Philadelphia police officers were patrolling near 5100 Market Street—roughly four miles west of Independence Hall and the Liberty Bell. This is a dangerous part of the city where drug deals and robberies are commonplace. Officer Clifford Gilliam parked his patrol car, and Officer Shawn Witherspoon joined him on foot. On the opposite side of the street, the officers spotted a black Jeep Grand Cherokee, later determined to be from Enterprise Rent-A-Car. Inside were two men, Terrell Davis and Jamar Blackshear. The Jeep‘s engine was running but nothing seemed amiss.
After a period of time, Davis and Blackshear began to act suspiciously. They reached toward each other with “body motions [that] were consistent with the exchanging of narcotics in a narcotics transaction.” B.A. 8.2 The officers exited their
Everything indicated to the officers that this was a drug deal: the suspicious movements, the hurried departures, the wads of cash, and the neighborhood itself. Knowing that guns often accompany drug deals, the officers decided to search the Jeep for weapons and to see if there were any other occupants. Officer Witherspoon tried to look through the tinted rear window, but it was too dark. So he opened the already-ajar driver‘s door and saw a handgun wedged between the driver‘s seat and the middle console. At that point, the officers arrested Davis and Blackshear and placed them in the patrol car.
The handgun was not the only item in the Jeep. Officer Witherspoon returned and spotted an opaque shopping bag in the backseat. It was open and contained a white substance. The officers requested a drug-detection dog, which alerted to the presence of drugs. The officers obtained a warrant and recovered ten cell phones, a pair of binoculars, and two shopping bags with roughly 740 grams of cocaine distributed among nine smaller Ziploc bags. The cocaine itself was compressed into the shape of a brick and had a street value over $75,000.
Davis and Blackshear were charged with possessing a controlled substance with intent to distribute under
Davis and Blackshear filed a motion to suppress all evidence from the Jeep. They argued that because the Jeep‘s front driver‘s side window was tinted, the officers could not have seen the alleged reaching, gawking, and tossing—and so they could not have had any cause for suspicion in the first place. The District Court inspected the Jeep and discovered that the window was in fact tinted. The Court nonetheless denied the suppression motion. It credited the testimony of the officers who said that the window had been tint-free on the day of the arrests eight months earlier. It also credited the testimony of an Enterprise employee who said that neither Enterprise nor the manufacturer had tinted the windows and that since the arrests over fifty people had rented the Jeep.
The defendants then pursued separate paths. Blackshear pled guilty but reserved the right to appeal the denial of his suppression motion. He received two consecutive sixty-month sentences plus four years of supervised release. Davis opted for a jury trial. As the trial approached, the government asked permission to introduce Davis‘s two prior convictions for possessing cocaine. The District Court consented, stating that the convictions were admissible under
II
Davis‘s first argument is that the officers illegally stopped him after he exited the Jeep. This would make the cocaine inadmissible as the product of an illegal seizure. “Where a motion to suppress has been denied, we review the order for clear error as to the underlying facts, but exercise plenary review as to its legality in the light of the court‘s properly found facts.” United States v. Brownlee, 454 F.3d 131, 137 (3d Cir. 2006) (quotation marks omitted). The District Court rejected Davis‘s constitutional argument, and with good reason.4
The
This exception also allows officers to search the passenger area of a vehicle without probable cause or a warrant if they conduct a lawful stop and reasonably believe that the suspect is dangerous and has a weapon inside. See Michigan v. Long, 463 U.S. 1032, 1049-50, 103 S.Ct. 3469, 77 L.Ed.2d 1201 (1983).
Davis‘s constitutional argument turns on whether the officers had a reasonable suspicion when they first stopped him. And that turns on whether the front driver‘s side window was tinted at the time of the arrests—for if it was, the officers could not have seen through it, and they would have lacked any reason to suspect an illicit transaction. Though the District Court inspected the window at the suppression hearing and saw that it was tinted, the Court found that it was not tinted on the day of the arrests eight months earlier.
That finding was not clearly erroneous. For one thing, Officers Gilliam and Witherspoon both testified that the front driver‘s side window, unlike the rear window, was tint-free when they saw the Jeep. And an Enterprise employee testified that neither Enterprise nor the manufacturer had tinted the window and that over fifty people had rented the car between the arrests and the hearing. He also said that another renter could have been responsible for the tint. “Anybody could have put it on.” J.A. 325. This testimony supports the District Court‘s finding. To be sure, the police took a picture of the Jeep on the day of the arrests, and the front and rear windows appear to have the same tint. But the picture was taken at night in low lighting. Davis also points to a witness who testified at the suppression hearing
The record thus contains no evidence that plainly contradicts the officers’ testimony. And “when the district court‘s decision is based on testimony that is coherent and plausible, not internally inconsistent and not contradicted by external evidence, there can almost never be a finding of clear error.” United States v. Igbonwa, 120 F.3d 437, 441 (3d Cir. 1997). As a result, the District Court did not clearly err when it found that the window was tint-free.
Nor did the District Court err in concluding that the officers had a reasonable suspicion to stop Davis. The officers observed odd behavior through the front window—an exchange, shocked expressions, and tossing motions. Davis and Blackshear rapidly left the car and began walking away, the latter failing to close the car door. And the activity took place in a high-crime area. The officers thus had a reasonable suspicion that a crime might be afoot. See Terry, 392 U.S. at 30; Wardlow, 528 U.S. at 124 (recognizing presence in a “high crime area,” “unprovoked flight,” and “nervous, evasive behavior” as factors supporting a reasonable suspicion); see also United States v. Bonner, 363 F.3d 213, 218 (3d Cir. 2004) (concluding that flight from a traffic stop creates a reasonable suspicion).
The officers also had authority to search the Jeep. The pat downs revealed large wads of cash, suggesting that Davis and Blackshear were in the middle of a drug deal. Because drug dealers often carry guns, the officers had “a reasonable belief based on specific and articulable facts” that Davis and Blackshear were dangerous and might have weapons inside the Jeep. Long, 463 U.S. at 1049; see also United States v. Arvizu, 534 U.S. 266, 273, 122 S.Ct. 744, 151 L.Ed.2d 740 (2002). That belief allowed the officers to search the Jeep for weapons. During the search, they found something else—cocaine in the backseat—but they “clearly cannot be required to ignore the contraband” discovered “while conducting a legitimate Terry search of the interior of the automobile.” Long, 463 U.S. at 1050. For these reasons, we will affirm the denial of Davis‘s suppression motion.
III
Davis‘s second argument is that the District Court erred in admitting his two prior convictions for possessing cocaine. We review that decision for an abuse of discretion. United States v. Butch, 256 F.3d 171, 175 (3d Cir. 2001) (noting that a decision is an abuse of discretion if “clearly contrary to reason and not justified by the evidence” (quotation marks omitted)). Though we have held that some prior drug convictions are admissible under
A
American courts have long excluded evidence of a person‘s prior bad acts. This tradition reflects a fear that the jury will place too much weight on past crimes and prior misdeeds. “[I]t is said to weigh too much with the jury and to so overpersuade them as to prejudice one with a bad general record and deny [the accused] a fair opportunity to defend against a particular charge.” Michelson v. United States, 335 U.S. 469, 476, 69 S.Ct. 213, 93 L.Ed. 168 (1948); see also H. Richard Uviller, Evidence of Character to Prove Conduct: Illu-
Over the past two hundred years, the prior-acts rule has changed much in form but little in function. In the early days of the common law, courts used an inclusionary approach: evidence of prior acts was presumptively admissible unless it was relevant only to the defendant‘s propensity to commit a crime. See Julius Stone, The Rule of Exclusion of Similar Fact Evidence: America, 51 Harv. L.Rev. 988, 989-90 (1938). In the nineteenth century, the rule slowly became exclusionary: such evidence was presumptively inadmissible unless the proponent could show that it was relevant to one of several specific purposes, such as motive or intent. See id. at 990-93 (concluding that American courts applied this rule on the mistaken belief that the exclusionary approach was part of the English common law). But that trend faded, and courts began to use different approaches—some inclusionary, some exclusionary. See United States v. Long, 574 F.2d 761, 765-66 (3d Cir. 1978) (noting the division of authorities). The Federal Rules of Evidence settled the matter in 1975, establishing a uniform inclusionary approach. Id.; United States v. Green, 617 F.3d 233, 244 (3d Cir. 2010). Yet this change, “like the nineteenth century switch from the inclusionary to the exclusionary approach, did not give rise to any significant change in the admissibility of such evidence.” Kenneth J. Melilli, The Character Evidence Rule Revisited, 1998 B.Y.U. L.Rev. 1547, 1560.
The modern approach is set forth in
The text of Rule 404(b) has led to a four-part test. Prior-acts evidence is admissible only if it is (1) offered for a proper purpose under Rule 404(b)(2); (2) relevant to that purpose; (3) sufficiently probative under the
And yet the relevancy requirements pose problems of their own in this context. Indeed, the problems are in many cases insurmountable. See Uviller,
That is why the use of prior-acts evidence requires care from prosecutors and judges alike. In proffering such evidence, the government must explain how it fits into a chain of inferences—a chain that connects the evidence to a proper purpose, no link of which is a forbidden propensity inference. Id. at 887. And then the “district court, if it admits the evidence, must in the first instance, rather than the appellate court in retrospect, articulate reasons why the evidence also goes to show something other than character.” Id. at 888. The reasoning should be detailed and on the record; a mere recitation of the purposes in Rule 404(b)(2) is insufficient.6 Unfortunately, these requirements are “so often honored in the breach” that they resonate “about as loudly as the proverbial tree that no one heard fall in the forest.” United States v. Givan, 320 F.3d 452, 466 (3d Cir. 2003) (McKee, J., dissenting).
B
With these principles in mind, we conclude that Davis‘s convictions for possessing cocaine were inadmissible to prove knowledge or intent in his trial for possessing with intent to distribute. The District Court abused its discretion by admitting this evidence, and we will vacate Davis‘s conviction.
Davis was twice convicted of possessing cocaine under Pennsylvania law—once in 2007 and once in 2008. The government filed a motion to introduce these convictions, advancing a pentad of purposes. J.A. 18 (“This evidence is relevant to prove the defendant‘s plan to, knowledge of, and intent to distribute and/or possess cocaine, and absence of mistake or accident.“). To its credit, the able District Court admitted the convictions as relevant to a single purpose: “Clearly, evidence of his prior convictions for possession of crack cocaine makes it more likely than not that Davis knew that the white substance in the plastic bag on the back seat of the Jeep was cocaine.” D.A. 18. The government now argues on appeal that the evidence also was relevant to intent. See Appellee Br. at 45.
Knowledge and intent are indeed proper purposes under the first part of our Rule 404(b) test. And “[t]here is no question that, given a proper purpose and reasoning, drug convictions are admissible in a
- Knowledge. Possession and distribution are different in ways that matter—something that both the District Court and the government failed to appreciate. As to knowledge, one who possesses a drug might not recognize the same drug when prepared for distribution. The packaging or quantity might be different, and objects in greater quantities often have an appearance or smell of their own. Take water, which is transparent by the drop but blue in the ocean, or powdered sugar, which is floury on a donut but dense in a bag. In this case, the jury knew only that Davis had been twice convicted of possessing cocaine. See Appellee Br. at 19 n. 3. The jury knew nothing of the packaging or quantity that led to those convictions, so it could not have known whether Davis‘s past helped him to recognize the nearly one kilogram of cocaine in the Jeep.
Then there is the problem that the cocaine from Davis‘s past might have been in a different form. Cocaine is consumable either as a powder or as one of several bases, most often crack. See DePierre v. United States, 564 U.S. 70, 131 S.Ct. 2225, 2228-29, 180 L.Ed.2d 114 (2011). Neither form particularly resembles the other. As its name suggests, powder cocaine is a powder—specifically, a salt—that can be compressed or loose. See David A. Sklansky, Cocaine, Race, and Equal Protection, 47 Stan. L.Rev. 1283, 1290-91 (1995). On the other hand, crack cocaine is hard and waxy and often resembles small rocks or crystals. See id. This distinction matters, and the jury did not know which form Davis had possessed back in 2007 and 2008. For all the jury knew, the cocaine could have been a dash of powder on a golden tray. It could have been hidden in the lining of a suitcase. Or it could have been crack cocaine—in crystal form, in liquid form, rolled up in paper, or stuffed in a syringe. In any of those instances, Davis‘s past would not have helped him to identify the compressed powder in the backseat.
The two prior convictions thus fail the second part of our Rule 404(b) test, the relevancy requirement. See
The government nonetheless urges us to follow Lopez and Givan. In Lopez, we held that the defendant‘s participation in a cocaine-distribution conspiracy was admissible in a possession trial to prove knowledge of heroin, a different drug altogether. Lopez, 340 F.3d at 174 (“[The conviction] was admissible for the purpose of rebutting the defendant‘s anticipated claim of innocent association with, and lack of knowledge of, the heroin found near his bunk.“). And in Givan, we held that the defendant‘s conviction for distributing cocaine was likewise admissible to prove knowledge and intent in a heroin-distribution trial. Givan, 320 F.3d at 461. These cases are at the outer bounds of admissibility under Rule 404(b). See David Culberg, Note, The Accused‘s Bad Character: Theory and Practice, 84 Notre Dame L.Rev. 1343, 1358-59 & n. 83 (2009) (criticizing Lopez and Givan). At all events, the two cases are distinguishable because the defendants had been convicted of dealing cocaine, and drug dealers presumably have more knowledge of drugs in general. By contrast, a possession conviction does not imply a similar level of knowledge.
- Intent. Nor does a possession conviction imply an intent to distribute. Possession and distribution are distinct acts—far more people use drugs than sell them—and these acts have different purposes and risks. A prior conviction for possessing drugs by no means suggests that the defendant intends to distribute them in the future. “Acts related to the personal use of a controlled substance are of a wholly different order than acts involving the distribution of a controlled substance. One activity involves the personal abuse of narcotics.” United States v. Ono, 918 F.2d 1462, 1465 (9th Cir. 1990). The other usually involves “the implementation of a commercial activity for profit.” Id. As a result of these differences, Davis‘s convictions again fail the second part of our Rule 404(b) test.
In cases such as this, there is an ever-present danger that jurors will infer that the defendant‘s character made him more likely to sell the drugs in his possession. But that is precisely the type of inference that Rule 404(b) forbids. Any other conclusion would run the risk of unraveling the prior-acts rule:
[I]f the act of possessing or using marijuana is to be admissible to prove intent to transport and sell marijuana, or, to go even further, to prove intent to transport and sell a different drug, then there is no reason why participation in any drug-related crime could not be used to prove intent to engage in any other drug-related crime, or why any robbery could not be used to prove the requisite intent with respect to any other robbery. A rule allowing such evidence would eviscerate almost entirely the character evidence rule.
David P. Leonard, The New Wigmore: A Treatise on Evidence: Evidence of Other Misconduct and Similar Events § 7.5.2(d); see also Charles Alan Wright & Kenneth W. Graham, Jr., 22A Federal Practice and Procedure: Evidence § 5242
We join other circuits in declaring that a possession conviction is inadmissible to prove intent to distribute. The Sixth Circuit, for example, held that “possession of a small quantity of crack cocaine for personal use on one occasion ... sheds no light on whether [the defendant] intended to distribute crack cocaine in his possession on another occasion nearly five months earlier.” United States v. Haywood, 280 F.3d 715, 721 (6th Cir. 2002). The Seventh and Ninth Circuits have suggested likewise. See United States v. Santini, 656 F.3d 1075, 1078 (9th Cir. 2011) (holding that prior convictions “for simple possession” were “not similar to the importation of marijuana and thus lack[] probative value“); Ono, 918 F.2d at 1465 (distinguishing between possession and distribution in dicta); United States v. Monzon, 869 F.2d 338, 344 (7th Cir. 1989) (concluding that evidence of the defendant‘s prior marijuana possession was not probative of his intent to distribute cocaine); United States v. Marques, 600 F.2d 742, 751 (9th Cir. 1979) (distinguishing between “personal use versus resale“); cf. Enriquez v. United States, 314 F.2d 703, 717 (9th Cir. 1963) (concluding that a trial was unfair because the court had admitted evidence of marijuana possession to show intent to sell heroin). But see United States v. Wash, 231 F.3d 366, 370-71 (7th Cir. 2000) (allowing the admission of a possession conviction in a distribution trial because the conviction involved “distribution amounts“). Other circuits have reached the opposite result, but we are not persuaded. See, e.g., United States v. Butler, 102 F.3d 1191, 1196 (11th Cir. 1997); United States v. Logan, 121 F.3d 1172, 1178 (8th Cir. 1997); United States v. Gadison, 8 F.3d 186, 192 (5th Cir. 1993). We conclude that Davis‘s convictions should not have been before the jury—not as evidence of knowledge, not as evidence of intent.
And problems remain. The District Court also committed two instruction-related errors. First, it did not provide the requested limiting instruction at the time the evidence was admitted; it did so only in the final jury charge. Second, the Court concluded that the convictions were admissible to prove knowledge, but the jury charge included a wide list of purposes, allowing the jury to consider the convictions as evidence of “state of mind, knowledge, or intent,” as well as absence of “accident or mistake.” J.A. 125-26; see Sampson, 980 F.2d at 889 (“By simply repeating the entire litany of permissible theories under Rule 404(b), the judge‘s instruction gave the jury inadequate guidance.“). While these errors are problematic, we would reverse even in their absence. No instruction could have eliminated the infirmity at the heart of this case: Davis‘s convictions were inadmissible for any purpose.8
IV
Davis‘s two remaining arguments are mere makeweight. The first is that the District Court improperly admitted a statement from the government‘s expert witness. The second is that the Court improperly refused to admit a witness‘s prior statement. We review these decisions for an abuse of discretion. See United States v. Mathis, 264 F.3d 321, 335 (3d Cir. 2001) (applying the abuse-of-discretion standard to a decision about the admissibility of expert testimony); United States v. Frazier, 469 F.3d 85, 87 (3d Cir. 2006) (applying the same standard to a decision about the admissibility of a prior consistent statement).
Davis argues that the government‘s narcotics expert, Kenneth Bellis, violated
Davis objects to the following statement from Bellis:
Government: One further question. If you had that level of cocaine, if you were a distributor, 740 grams—if you were upper level distributor with 740 grams of cocaine, is it common that you would have persons present?
Davis‘s attorney: Objection.
The Court: Objection overruled.
Government: Is it common that you would have persons in the presence of that cocaine who did not have a connection to that cocaine?
Davis‘s attorney: Objection.
The Court: Overruled.
Bellis: Not in my opinion, no.
J.A. 50-51. According to Davis, these questions elicited Bellis‘s opinion on whether Davis intended to distribute the cocaine in the backseat.
The major flaw in this argument is that Bellis merely spoke about common practices. He did not in any way connect those practices to Davis. This means that Bellis did not draw the ultimate conclusion for the jury, nor did the conclusion inevitably follow from his testimony. United States v. Price, 458 F.3d 202, 212 (3d Cir. 2006) (allowing an expert to say “that in his opinion ... drug dealers are very likely to carry guns, and drug buyers almost never do” because the expert “said not a word about [the defendant‘s] mental state” but rather spoke about “common prac-
The same is true of his final argument. Davis asserts that the District Court improperly refused to admit a prior statement from Festus. The statement called into question the police officers’ accounts, but the Court concluded that it was inadmissible hearsay. See
Festus‘s various accounts are inconsistent at best. A few months after the arrests, he told Blackshear‘s attorney in a written statement that the patrol car pulled up behind the Jeep with its lights flashing. Two months later, Festus testified in the suppression hearing that the lights were not flashing. At trial, he returned to his former statement that the lights were flashing.10 The government impeached Festus‘s trial testimony by introducing his inconsistent suppression testimony. On redirect, Davis referred Festus to his written statement to Blackshear‘s attorney. See
As required by
* * *
The District Court correctly denied Davis‘s suppression motion. We cannot say the same about its decision to admit Davis‘s possession convictions, which were inadmissible to prove knowledge or intent in a trial for possession with intent to distribute. We will vacate Davis‘s conviction and remand to the District Court.
