Case Information
*1 Before E ASTERBROOK , M ANION , and K ANNE , Circuit Judges .
E ASTERBROOK , Circuit Judge
. Warfare broke out between the Outlaws and Hell’s Angels motorcycle gangs during the 1990s when the Angels began to establish a presence in the Midwest by absorbing the Hell’s Henchmen, another mo- torcycle “club.” The conflict seems to have been more about control of criminal activities (such as drug sales) than about divergent methods of motorcycle maintenance or incompati- *2 ble bikes (both groups favor Harleys). The record in this criminal prosecution establishes that members of the Outlaws used murderous force to ward off the threat, and the Angels replied in kind. Outlaws preferred sneak attacks (using bombs) to open ones but were not averse to other weapons. The Outlaws acquired and used at least one AK -47 assault rifle, along with many other guns. An elderly couple with no connections to either group is among the dead, and three police officers were injured when a bomb exploded as it was being dismantled.
A grand jury charged that the Outlaws were a criminal “enterprise” that the nine defendants operated through a pattern of racketeering (including shootings, bombings, robbery, drug sales, and passing counterfeit money), vio- lating the Racketeer Influenced and Corrupt Organizations Act, 18 U.S.C. §§ 1961-68. James Schneider pleaded guilty and was sentenced to 45 years in prison. The other eight went to trial and were convicted. Five of the eight were sentenced to life imprisonment; the rest received long terms of years. The evidence against each of these eight is over- whelming, and we do not discuss individual challenges to its sufficiency. Nor does the defendants’ complaint about trying seven of them together (a last-minute problem with counsel led the judge to give Harvey Powers a separate trial) require analysis beyond a citation to Zafiro v. United States , 506 U.S. 534 (1993), and the observation that the judge did not abuse his discretion.
Considerable evidence came from transmitters inside lamps in the homes of Outlaws Kevin O’Neill and David Wolf. A warrant authorized agents to hear and record the communications. Nonetheless, defendants contend, the evidence should have been suppressed because not only installation of the bugs but also a determination that one was functional preceded issuance of the warrant—and the judge was not told that these things had occurred.
Neither the installation of the bugs nor the receipt of a
signal from one violated the fourth amendment: the former
because the Constitution does not protect criminals against
the risk that their associates will assist the police, see
Hoffa v. United States
,
We may suppose (without deciding) that when seeking
authorization to listen to conversations the agents should
have told the judge that the lamps were already in place,
but this does not matter. It is not conceivable that the judge
would have said anything like: “Because you used an
*4
informant to install one microphone and tricked O’Neill
into bugging his own home, I will deny you permission to
listen even though you have established probable cause to
believe that the bugs will reveal evidence of crime.” Cf.
Franks v. Delaware
,
Defendants press several objections to their convic-
tions. One that affects all defendants is a contention that
conspiracies may not be included among the predicate
racketeering offenses. Defendants contend first that no
inchoate offense can be “racketeering activity” as 18 U.S.C.
§1961(1)(A) defines that term, and second that use of
conspiracy as a predicate is particularly inappropriate
when the federal crime is a RICO conspiracy violating
§1962(d). (They also contend that there was one big under-
lying conspiracy, for at most one predicate offense, rather
than multiple conspiracies with different criminal objects.
This presented a jury question, resolved adversely to de-
fendants at trial on the basis of ample evidence. We do not
discuss this theme further.) Objections to the use of con-
spiracies as predicate crimes have been made in other
circuits, uniformly without success. See
United States v.
Ruggiero
,
Section 1961(1)(A) defines “racketeering activity” to in-
clude “any act or threat involving murder, kidnapping,
*5
gambling, arson, robbery, bribery, extortion, dealing in ob-
scene matter, or dealing in a controlled substance or listed
chemical (as defined in section 102 of the Controlled
Substances Act), which is chargeable under State law and
punishable by imprisonment for more than one year”. The
indictment listed 34 predicate acts of racketeering activity,
some of which were (or included) conspiracies to do one or
more of these things—for though the Outlaws carried out
many malevolent acts, sometimes their plans went awry
and only inchoate crimes could be proven. It is no stretch to
describe a plot to blow up a Hell’s Henchmen clubhouse
(with members inside) as an “act or threat involving
murder . . . which is chargeable under State law and pun-
ishable by imprisonment for more than one year”. Conspir-
acy means agreement, and agreement is an “act” rather
than just a thought. Conspiracies are illegal because of
what they portend (that is, what the conspirators threaten
to do). What is more, all of the state-law conspiracies listed
as predicate offenses depend on proof of overt acts—con-
crete steps toward the substantive crime, steps that them-
selves qualify as predicate offenses. The prosecutor did not
charge as predicate offenses any conspiracy that may be
established without proof of an overt act—such as a drug
conspiracy under federal law, see
United States v. Shabani
,
There’s no reason to distinguish the substantive RICO of-
fense under §1962(a), (b), or (c) from a conspiracy un-
der §1962(d) when it comes to use of inchoate offenses as
predicates. The definition in §1961(1)(A) does not vary with
the choice of subsection in §1962. See
United States v.
Neapolitan
,
Powers offers a wrinkle on these arguments. He starts
from the fact that §1962(c) makes it “unlawful for any
person employed by or associated with any enterprise . . .
to conduct or participate, directly or indirectly, in the con-
duct of such enterprise’s affairs through a pattern of
racketeering activity”. In order to “conduct or participate”
in the enterprise, one must have “some part in directing” its
affairs. See
Reves v. Ernst & Young
, 507 U.S. 170, 179
(1993);
United States v. Swan
, 250 F.3d 495, 498-99 (7th
Cir. 2001). Yet the conspiracy charge under §1962(d) did
not require the jury to find that Powers had directed, man-
aged, or otherwise conducted the enterprise. Relying on
Neibel v. Trans World Assurance Co.
,
Neibel
is an unsatisfactory decision. It assumes that only
a person who has committed the substantive crime can be
guilty of conspiracy and then holds that this principle
applies to too. Yet there is no such principle. As cases
such as
Standefer v. United States
,
As for the jury instructions in Powers’s trial concerning the substantive offense: The judge told the jury that
[a] person “conducts or participates in the conduct of the affairs of an enterprise” if that person uses his position in, or association with, the enterprise to perform acts which are involved in some way in the operation or management of the enterprise, di- rectly or indirectly, or if the person causes another to do so.
According to Powers, the language we have italicized waters down the statutory requirement that the person “conduct” or “participate in” the operation or management of the enterprise. Under the instruction given, for example, a secretary who types a letter for a manager might violate §1962(c) even though the letter had nothing to do with any predicate offense, because sending letters is “involved in some way” in the operation or management of the business. Reves and Swan hold that to violate the person must have a real operational (or managerial) role, while the ital- icized language sweeps up peripheral figures.
This is a good point in principle. It would be better for a district judge to use language of the kind suggested in Swan , or just use the statutory language. Section 1962(c) declares that it is “unlawful for any person employed by or associated with any enterprise . . . to conduct or participate, directly or indirectly, in the conduct of such enterprise’s affairs through” a pattern of specified predicate acts. The phrase “directly or indirectly” already contains enough flex that the addition of phrases such as “involved in some way” may move jurors too far from the law itself. The terms in the statute are not abstruse legalisms; attempts at elabora- tion may not improve the accuracy of decisions. But the language the district judge used does not vitiate the conviction, because other parts of the instructions made it clear that only those who personally carry out the “pattern of racketeering activity” may be convicted. Secretaries, lamp dealers, and other peripheral figures who might be swept in by the phrase “involved in some way” are swept *9 right out again by the racketeering-activity element. There was no risk that a harmless functionary would be convicted under the full set of instructions given to Powers’s jury, and the evidence was ample to show that Powers “conducted” the affairs of his chapter of the Outlaws through a pattern of bombings, shootings, and other violence, for which he was awarded a special commendation that he wore openly, proclaiming his role as an enforcer. (Powers wore a patch bearing a skull and crossed pistons, with an “SS” insignia awarded only to members who had committed acts of vio- lence on the group’s behalf. After becoming a full member of the Outlaws in fall 1994, and receiving the SS insignia for his role in killing LaMonte Mathias, Powers committed several additional murderous acts and participated in other criminal activities to boot.)
Defendants individually and collectively make a passel of
additional arguments. Powers, for example, wanted more
time so that his new lawyer could work through the vol-
uminous record. Yet counsel had six months for this pur-
pose—and the invaluable benefit of watching the other
seven defendants’ trial. That preview of the evidence and
strategy was worth many additional months of preparation
time. Most of the defendants complain about the limiting
instructions that the judge gave. They essentially wanted
the judge to remind the jury incessantly that particular
evidence might have value against one defendant but not
others, or might have value contingent on a finding that the
defendants were co-conspirators. See
United States v.
Martinez de Ortiz
,
The only other contentions that require individual treat-
ment are those based on
Apprendi v. New Jersey
, 530 U.S.
466 (2000). Seven defendants were tried before
Apprendi
;
Powers was tried afterward, and in his case the jury was
asked to (and did) determine beyond a reasonable doubt
whether the circumstances that raised the maximum
punishment to life imprisonment had been established.
That approach satisfied the due process clause, even though
the indictment did not include all of the details that po-
tentially affected the sentence. See
United States v. Cotton
,
The maximum penalty following a RICO conviction depends on the maximum penalty for the most serious predicate offense. For Warneke, that offense was murder committed in Illinois. Illinois authorizes life imprisonment (or capital punishment) for killing with certain aggravated circumstances, such as “exceptionally brutal or heinous behavior indicative of wanton cruelty” or premeditated murder. See 730 ILCS §5/5-8-1(a)(1)(b). Lesser degrees of murder may have lower maximum sentences. The problem *11 lies in Predicate Act 20, which alleged that an Outlaw mur- dered Jack Castle in a drive-by shooting. Act 20 included two subparts: generic conspiracy to commit murder (Act 20A) and premeditated murder (Act 20B). The latter carries a life sentence; the former does not. The jury instructions did not call on the jurors to determine whether Act 20A or Act 20B (or both) had been committed; the special verdict referred to Act 20 as a unit. The prosecutor contended that Warneke, though not the shooter, had directed the murder and thus was accountable as a principal under Illinois law, but the jury did not find this explicitly.
But neither did the district court commit plain error in sentencing Warneke to life imprisonment. Because he did not make an Apprendi -like argument in the district court, and did not ask for a special verdict distinguishing Act 20A from Act 20B, only plain error could justify reversal now. See Fed. R. Crim. P. 52(b); United States v. Bjorkman , 270 F.3d 482 (7th Cir. 2001); United States v. Nance , 236 F.3d 820 (7th Cir. 2000). Plain error means error that not only is apparent in retrospect (as this error is) but also threat- ens an injustice—which this error did not. For although the jury did not find that Warneke was the brains behind this premeditated murder (one carried out by lying in wait), the record demonstrates this. Several witnesses testified in detail about this murder and Warneke’s role in its plan- ning. Warneke did not dispute the evidence that Castle’s execution was carefully planned. Instead Warneke denied that he took part in that planning. That argument the jury considered, and rejected beyond a reasonable doubt, when it found that Warneke was responsible for Predicate Act 20. The important finding was made by the jury, on the right standard. So no injustice has been done; the error turns out to have been wholly formal.
Schneider has a distinct theory: because he bypassed the jury when pleading guilty, no one found anything beyond a reasonable doubt. We inquired at oral argument whether *12 Schneider wants to withdraw his plea and go to trial, on the rationale that he would not have pleaded guilty had he known that he was giving up the right to have the jury determine beyond a reasonable doubt those circumstances that fix his maximum punishment. Counsel answered no. By pleading guilty and assisting the prosecutor, Schneider reduced his punishment. The likely result of withdrawing the plea and going to trial would be a life sentence. What Schneider wants instead is to retain the benefit of the plea while avoiding any exposure to a penalty exceeding 20 years (the “minimum maximum” for every conviction). This is not an available outcome. What actually happened certainly is not plain error (the standard for Schneider, as for Warneke, because no timely argument was made in the district court). The predicate acts to which Schneider confessed as part of his plea expose him to life imprison- ment. Schneider certainly wasn’t “denied his right to a jury trial,” as his reply brief says; he waived his right to a jury trial. His own admissions resolved all important matters against him. An admission is even better than a jury’s find- ing beyond a reasonable doubt; it removes all contest from the case. See United States v. Broce , 488 U.S. 563, 570 (1989).
A FFIRMED A true Copy:
Teste:
________________________________ Clerk of the United States Court of Appeals for the Seventh Circuit USCA-02-C-0072—11-12-02
