Defendants-appellants Carl Marshall, Clarissa Williamson, Edward Dryden, Jr., and Karen Parker (collectively “defendants”), were convicted of various drug related offenses. On appeal, they assert infirmities with their respective convictions and sentences. Our jurisdiction arises under 28 U.S.C. § 1291 and 18 U.S.C. § 3742(a). We affirm.
BACKGROUND
On May 6, 1993, a federal grand jury in Kansas City, Kansas, returned an eight count indictment charging seven individuals
A joint trial involving the defendants and Mr. Haynes
The government’s theory of the case, supported by evidence offered at trial, can be summarized as follows. In 1986, Mr. Marshall married Ms. Phyllis Harper, whom he had known since 1985. At the time they met, Ms. Harper had been dealing marijuana and PCP for over a decade. Mr. Marshall joined in his wife’s drug dealing operation and he expanded their distribution base to cover the ever-increasing crack cocaine market. Although their crack cocaine distribution began as a relatively small operation, the evidence revealed that in 1987, Mr. Marshall made approximately $10,000 to $15,000 per month in profits.
While Ms. Harper and Mr. Marshall were experiencing professional success in their drug ventures, their personal relationship and their marriage were simultaneously failing. As a result, they decided to establish independent drug distribution networks. They recognized, however, that if they pooled their money, they would be able to purchase larger quantities of drugs from the same supplier, presumably at better prices. They decided it would be in both of their interests to do this, and they subsequently pooled their money when purchasing large volumes of cocaine from their primary suppliers in California. '
From 1987 until late September 1988, Mr. Marshall’s drug business was becoming increasingly profitable. To meet his buyers’ demands, he and his “employees” made numerous trips to California — in custom-designed vans with secret compartments — to make multiple kilogram purchases of powder cocaine. Upon returning to Kansas City, Mr. Marshall and his employees would “cook” the powder cocaine into crack that would then be sold to various buyers.
In late September 1988, while Ms. Harper and Mr. Marshall were in California to make a buy, Mr. Dryden, a twenty-five year veteran of the Kansas City, Kansas, police force who was Mr. Marshall’s brother-in-law and who was involved in Mr. Marsháll’s drug operation, advised Mr. Marshall that the authorities were going to arrest Ms. Harper upon her return to California. Based on this information, changes to the itinerary and travel route were arranged, and Charles Marshall, Mr. Marshall’s brother, was given the responsibility for driving the cocaine back from California. Shortly thereafter, Ms. Harper was doused with gasoline and set on fire, resulting in her death. An investigation into her death commenced, and the scope of the investigation encompassed Mr. Marshall and potentially, his drug activities. In reliance on Mr. Dryden’s advice, Mr. Marshall decided to cease temporarily his drug operation until the investigation into Ms. Harper’s death died down.
As a result, Mr. Marshall’s drug operations ceased business from the fall of 1988 until the spring of 1989, a period of seven months. During this time frame, Mr. Marshall enjoyed the fruits of his trade, spending much of his profits on women, poker, a taxi cab company and pleasure trips. After the seven-month hiatus, Mr. Marshall resumed his distribution operation with many of the same people working for him as had worked for him earlier.
When Mr. Marshall resumed his operations in the spring of 1989, he was no longer
Mr. Marshall, the head of this drug operation, enlisted the services of each of the six other individuals charged in the indictment. The government’s theory on the conspiracy count was that each of these individuals was an active participant in his crack distribution ring.
For example, Mr. Marshall headed the operation, purchased the cocaine from suppliers in California and directed the other participants. Mr. Dryden was enlisted for assistance with financial matters and, at least in the government’s view, for his help in avoiding detection by law enforcement personnel through his connections with the Kansas City police department. Therisa Ross, one of Mr. Marshall’s girlfriends, characterized Mr. Dryden as a “watchdog” for Mr. Marshall’s business. In that capacity, Mr. Dryden would run names and car licenses before trips to California, as well as warn the organization about possible busts on their return trips from California and warn everyone about investigations, including the investigation into Ms. Harper’s death, and possible sales to undercover officers. He also stored some of the monetary proceeds from the sales at his residence. In return for his assistance, Mr. Marshall would provide him with free crack “crumbs” that were created when Ms. McGee would cook the powder cocaine into crack. Mr. Dryden used these crumbs to support his own drug habit.
Ms. Williamson was hired by Mr. Marshall in 1987 to cook the powder cocaine into crack, to store the cocaine at her residence, which was used as a base of operation, to assist in transporting the cocaine back from California and to sell and deliver most of the operations’ crack to its buyers. In exchange for her services, Mr. Marshall paid Ms. Williamson on a commission basis.
Tina McGee, Mr. Marshall’s ex-wife and the mother of their son, was hired to perform many of the same functions Ms. Williamson did, including cooking the powder cocaine and storing it at her residence, which was also used as a base of operation. Unlike Ms. Williamson, however, Ms. McGee received a flat salary of $400 per week for her services, rather than a commission. Mr. Marshall also enlisted the services of two of his girlfriends, Ms. Ross and Ms. Parker, both of whom served as cookers and runners. After Ms. Ross and Mr. Marshall had a falling out, Ms. Parker assumed Ms. Ross’ duties in exchange for free use of a residence.
Most of the seven substantive distribution counts alleged in the indictment were based on sales by Ms. Williamson and Mr. Marshall to undercover officers. These sales eventually led to the arrest of each of the seven named individuals, and ultimately resulted in the convictions forming the basis for the present appeals.
DISCUSSION
I. Challenges to the Defendants’ Convictions
A. Constitutional Issues
1.
Ms. Parker, Mr. Dryden and Mr. Marshall assert the prosecution improperly exercised one of its peremptory challenges to excuse a potential juror, an African-American woman, from the-venire. They claim this challenge was made “because of’ the venire-person’s race, which is an impermissible race-based use of a peremptory challenge, in violation of principles of equal protection under Batson v. Kentucky,
During the remainder of jury selection, the prosecution elected not to strike peremptorily Ms. Stallings, another African-American female who had been called as an alternate juror. While Ms. Stallings had a friend on the police force, she did not know any of the prosecution’s potential witnesses. Moreover, while she had relatives involved with drugs, she categorically stated she had a negative attitude towards drugs.
The primary argument advanced by the defendants in support of their claim that the district court committed clear error in finding that there was no intentional discrimination is, in essence, that the prosecution elected to strike Ms. Roland but not Ms. Stall-ings.
In Batson, the Court held the Equal Protection Clause prohibits the prosecution from exercising its peremptory challenges in a racially discriminatory manner. Batson,
In the present case, the reasons advanced by the prosecution as to why it elected to strike Ms. Roland are facially race-neutral. The proffered reasons related to the prospective juror knowing the defendant, being acquainted with a witness, and being familiar with the subject matter of the trial. These reasons are clearly unrelated to the race of the venireperson, and this is sufficient under Hernandez and its progeny to constitute a facially race neutral explanation. See Hernandez,
2.
Ms. Williamson next asserts her conviction must be vacated because she received ineffective assistance of counsel during the trial.
After the prosecution rested its case-in-chief, Ms. Williamson elected to testify in her own defense. During direct examination, Ms. Williamson admitted to buying and selling drugs for personal use. On cross-examination, she stated she believed two of the undercover officers were lying and a third officer was only telling the “partial truth” regarding her involvement in the overall conspiracy.
During closing argument, Ms. Williamson’s attorney argued to the jury that although Ms. Williamson was an admitted drug user who bought from, and associated with, known drug dealers, the evidence did not demonstrate that she herself was a coconspirator. During the course of his closing argument, counsel also stated, in reference to several of the government’s witnesses, that “I’m not going to accuse all of these people of lying. I think some of them were and some of them were not.” Counsel also stated, in reference to the testimony of three undercover officers who allegedly purchased drugs from Ms. Williamson forming the basis for substantive distribution counts, “I’m not disputing the fact that this all happened.” Counsel made these statements in spite of Ms. Williamson having testified she believed the three officers were lying. Counsel further stated he believed these officers testified as to what actually happened. During rebuttal argument, the prosecutor noted that defense counsel’s argument was interesting because he said some things “that his client would appear to disagree with.” Ms. Williamson was thereafter convicted.
The Sixth Amendment provides “[i]n all criminal prosecutions, the accused shall ... have the assistance of counsel for his defence.” U.S. Const. amend. VI. While a defendant must ordinarily prove deficient performance by counsel coupled with a showing of prejudice in order to prevail on an ineffective assistance of counsel claim, Strickland v. Washington,
There is no question but that the sort of conduct alleged here, i.e., the admission by counsel of his client’s guilt to the jury, represents a paradigmatic example of the sort of breakdown in the adversarial process that triggers a presumption of prejudice. See, e.g., United States v. Swanson,
Applying these principles to this case, we first note that regardless of how one characterizes defense counsel’s statements, it is clear they do not amount to the types of statements recognized in other cases that have been held to constitute a concession of guilt. See, e.g., Swanson,
While counsel’s statements in this case may have contradicted one aspect of the defendant’s own testimony, this is a far cry from a statement by counsel that there was no reasonable doubt Ms. Williamson was a member of this conspiracy, or that counsel believed Ms. Williamson was a coeonspirator. To the contrary, counsel’s closing argument is replete with argumentative statements demonstrating counsel’s adversarial representation of Ms. Williamson’s interests before the jury. Moreover, because the statements in question are not the functional equivalent of a concession of guilt, much of the reasoning underlying that fine of authority is simply inapposite. Without a concession of guilt, concerns over conflicts of interest, lessening the burden of proof beyond a reasonable doubt and impermissible pleas of guilty, do not factor into the equation.
The record of counsel’s closing argument demonstrates counsel’s primary concern was to point to the absence of any evidence linking Ms. Williamson to this drug conspiracy. Counsel specifically asked the jury to pay attention to the conspiracy instructions, to focus on the fact that while Ms. Williamson was a conceded drug user who supported her habit by buying drugs from Mr. Marshall, these facts do not automatically make her a coconspirator, to remember the testimony that Ms. Williamson went on a trip to California to buy furniture and not as part of a “drug run,” to consider inconsistencies in the testimony of other witnesses, and to consider carefully the credibility of Willie Myles, an informant. Counsel also acknowledged there was “no doubt” Ms. Williamson “did some things that were wrong,” referring to her admission of having purchased and used illegal drugs. Counsel concluded by stating “I think when you review all of the evidence, I think that you will find that Clarissa Williamson is not a conspirator, and I hope that you will return a verdict of not guilty.”
In a related vein, the Supreme Court has recognized “[experienced advocates since time beyond memory have emphasized the importance of winnowing out weaker arguments ... and focusing on one central issue if possible.” Jones v. Barnes,
3.
Mr. Marshall and Mr. Dryden next assert their convictions are infirm because of a fatal variance between the allegations of conspiracy in the indictment and the proof of conspiracy offered at trial. They contend a fatal variance was created when the indictment charged a single, continuing conspiracy but the evidence at trial proved, in their view, two distinct conspiracies. They allege the seven-month hiatus between late September of 1988, when Ms. Harper was murdered and Mr. Marshall temporarily ceased his operations, and the spring of 1989, when Mr. Marshall resumed his operations, created a fatal variance because the indictment charged a single conspiracy but the evidence demonstrated two separate conspiracies, severed by the temporal hiatus of seven months. The ultimate questions of whether a variance existed, and whether it was fatal such that relief is required, are questions of law that we review de novo. See United States v. Cardall,
“[I]t is a fundamental precept of federal constitutional law that a ‘court cannot permit a defendant to be tried on charges that are not made in the indictment.’” Hunter v. New Mexico,
Case law recognizes two different types of variances, similar in kind and different in degree. The first type of variance, referred to as a simple variance, “occurs when the charging terms are unchanged, but the evidence at trial proves facts materially different from those alleged in the indictment.” United States v. Haddock,
With respect to the prohibition against simple variances, which is at issue in this case, we note the mere fact that a variance occurred does not automatically warrant relief. “Where a simple variance exists, ‘convictions generally have been sustained as long as the proof upon which they are based corresponds to an offense that was clearly set out in the indictment.’” Hunter,
But when the variance rises to the level of a “fatal” variance, relief is appropriate. See Hunter,
In United States v. Roberts,
In Leavis, the Fourth Circuit recognized there are many legitimate reasons why a single conspiracy might deliberately experience a lull in its operations. The court stated:
“[a] single overall agreement need not be manifested by continuous activity.” There are a host of reasons for a conspiracy [to import cocaine] to suspend active operations for a period: for logistical reasons, to escape detection, or even to afford its members an opportunity to spend their*1514 ill-gotten gains. Our focus must be not on the timing of the conspiracy’s operations, but on whether it functioned as an ongoing unit.
Leavis,
We believe the reasoning in Leavis is sound, and applying that reasoning to this case, we cannot say the seven month hiatus here severed the single continuous conspiracy alleged in the indictment into two separate conspiracies. Therefore, no variance resulted. Several of the reasons advanced in Leavis for a hiatus in a conspiracy are fully applicable to the case at bar. For example, the primary reason for the postponement of Mr. Marshall’s operations was to escape detection. Additionally, Mr. Marshall and other coconspirators spent this time enjoying the fruits of their proceeds. Yet in the spring of 1989, the operations resumed with the same participants, the same conspiratorial objective and the same course of conduct. Under these circumstances, we believe the conspiracy still functioned as a single ongoing entity, and we will not denigrate the simple variance principle by finding a variance here based on the defendants’ own conduct in unilaterally suspending their activities to serve their own purposes. Furthermore, the defendants cannot reasonably claim they did not have notice of what the. government intended to prove at trial, which, as stated before, is the central purpose behind the prohibition against simple variances. See Hunter,
B. Evidentiary Issues
1.
Defendant Parker reasserts on appeal her claims that the evidence was insufficient to support the jury’s verdict convicting her on count six, the charge of aiding and abetting a distribution of cocaine base by Mr. Marshal, and count one, the conspiracy charge. At the close of the government’s case-in-chief, counsel for Ms. Parker joined in counsel for Mr. Haynes’ Fed.R.Crim.P. 29 motion for judgment of acquittal. Ms. Parker’s counsel further requested that in ruling on this motion, the court consider both counts applicable to her client. Ms. Parker thus preserved her right to renew on appeal the sufficiency of the evidence issues pertaining to counts one and six.
In reviewing a challenge to the sufficiency of the evidence, we review the record de novo, see United States v. Grimes,
a.
Ms. Parker asserts the evidence against her as to the aiding and abetting count is insufficient to demonstrate how she willfully
We recently discussed the government’s burden of proof to support a conviction for aiding and abetting under 18 U.S.C. § 2. To support a conviction under this statute, the government must prove, beyond a reasonable doubt:
(1) that the defendant associated herself with a criminal venture; (2) that the defendant participated in the venture as something she wished to bring about; (3) that she sought by her actions to make it succeed; and, lastly, (4) that the proof establishes the commission of the offense by someone and the aiding and abetting by the defendant so charged.
United States v. Hanson,
In this case, Officer Crockett testified he contacted Mr. Myles, an informant with whom he was working, and he asked him to arrange a controlled buy of crack cocaine from Mr. Marshall.
When Mr. Marshall arrived, Officer Crockett observed a woman, whom he knew to be Ms. Parker, in the passenger seat of Mr. Marshall’s car. At that time, Mr. Myles and Officer Crockett entered the back seat of Mr. MarshaH’s car and prepared to make the controlled buy. Mr. Marshall reached into a pouch he was holding in his hand and removed two aluminum foil packages. He then handed the packages between the seats to Officer Crockett. Upon opening the packages, Officer Crockett observed “beige rock like substances, which appeared to be crack cocaine” in each package. Officer Crockett then placed $2,800 in Mr. Marshall's hand, and told him “there’s 28.” Mr. Marshall handed this money to Ms. Parker and told her to count it and make sure it was all there, which she did. Officer Crockett stated he personally observed Ms. Parker count the money. He also testified Ms. Parker never said anything, but that she remained inside the car during the time when the deal was taking place, and that this transaction occurred within her view.
After this exchange, Officer Crockett asked Mr. Marshall to step out of the ear so he could ask him privately for his pager number so in the future, he could contact him directly, rather than having to use Mr. Myles as an intermediary. In fact, the reason Officer Crockett asked Mr. Marshall to step out of the ear was because this undercover búy was being videotaped and Officer Crockett wanted to get a picture of Mr. Marshall on tape. Mr. Marshall then gave Officer Crockett two pager numbers, which essentially concluded the deal forming the basis for count six.
We agree with the general proposition that mere presence at the scene of a drug transaction, without more, is insufficient to support a conviction for aiding and abetting. See Hanson,
At its core, Ms. Parker seeks to challenge a credibility finding by the jury as to the reasons why she was in the car with Mr. Marshall that evening. But “it is not the function of this Court to reweigh conflicting evidence or consider the credibility of witnesses.” United States v. Pearson,
b.
Ms. Parker next challenges the evidence to support her conviction for conspiracy. She asserts the evidence failed to prove she knowingly entered into the conspiracy or that she agreed to achieve the ends of the conspiracy. Because a reasonable finder of fact could reach the opposite conclusion, we will not disturb the verdict.
To establish the offense of conspiracy under 21 U.S.C. § 846, the government must prove, beyond a reasonable doubt, “that two or more persons agreed to violate the law, that the defendant knew at least the essential objectives of the conspiracy, that the defendant knowingly and voluntarily became a part of it, and that the alleged cocon-spirators were interdependent.”
To establish the first element of a conspiracy&emdash;that the defendant agreed to violate the law&emdash;the government’s evidence must show “ ‘a unity of purpose or a common design and understanding’ with coconspira-tors to accomplish one or more of the objects of the conspiracy.” Angulo-Lopez,
The evidence at trial demonstrated that Ms. Parker acted as a runner, delivering drugs to buyers and other members of the conspiracy for distribution purposes. As discussed above, there was testimony she aided and abetted a particular sale of crack to an undercover officer. Furthermore, there was testimony Ms. Parker served as a cook, who processed powder cocaine into crack. In exchange for these services, Mr. Marshall provided financial support to Ms. Parker, which included moving her into a house that Mr. Dryden had helped Mr. Marshall purchase.
When this evidence is taken in its totality and in the light most favorable to the government, it is, in our view, legally sufficient to show Ms. Parker agreed to achieve the ends of the conspiracy and supports the inference that Ms. Parker consciously joined this criminal enterprise.
2.
Mr. Dryden next asserts the district court committed reversible error in admitting, under Fed.R.Evid. 801(d)(2)(E), two tape recorded conversations between Ms. Williamson and Mr. Myles as substantive evidence bearing on his guilt relative to the conspiracy charge. Specifically, he asserts this evidence was improperly admitted for three reasons: (1) Mr. Myles was not a member of the conspiracy; (2) the statements were not made “during the course of’ the conspiracy; and (3) the statements were not made “in furtherance of’ the conspiracy. While we agree Mr. Myles was not a member of the conspiracy, we conclude, for reasons set forth below, that this error was harmless. Moreover, because we conclude the district court’s other preliminary findings under Rule 801(d)(2)(E) were correct, we find no error in the admission of these statements.
District courts have broad discretion to admit or exclude evidence, and thus, appellate review of evidentiary rulings is limited only to determining whether, in light of the entire .record, the district court abused its discretion. See United States v. Jones,
Fed.R.Evid. 801(d)(2)(E) provides: “a statement by a coconspirator of a party during the course and in furtherance of the conspiracy” is not hearsay, and is therefore admissible as substantive evidence against all other members of the conspiracy. In order for statements to be admissible under'Rule 801(d)(2)(E), the proponent of the evidence must establish, by a preponderance of the evidence, see Bourjaily,
In the present case, the district court exercised its discretion and elected not to conduct a James
a.
The government’s evidence as to Mr. Myles demonstrated that prior to May 3, 1988, he had been a drug dealer who purchased part of his supply of drugs from Mr. Marshall. In his own words, Mr. Myles stated, in reference to Mr. Marshall, “I didn’t work for him, but I bought from him. I did my own distributing.” He characterized Mr. Marshall as one of several suppliers from whom he would buy his drugs, which he would then re-sell to his own buyers in the hopes of “doubl[ing] [his] money.” He also indicated he “never dealt for anybody,” emphasizing he was an independent drug dealer who set his own prices, made his own profits and whose relationship with Mr. Marshall was that of buyer-seller, not employer-employee. The lack of any evidence showing that Mr. Myles received any form of compensation from Mr. Marshall for his services further corroborates Mr. Myles’ testimony that he did not work for Mr. Marshall.
On May 3, 1988, Mr. Myles sold an ounce of crack cocaine to an undercover officer. He had previously sold that same officer a half ounce of crack cocaine on an earlier occasion. Shortly thereafter, Mr. Myles was arrested, at which time it appears he agreed to what can be characterized as an informal arrangement with the Kansas City police force. Although the record is not entirely clear, it appears that in exchange for Mr. Myles’ agreement to provide the police with information regarding Mr. Marshall and his operations, the prosecution would consider not bringing charges against Mr. Myles. Some time in 1991, Mr. Myles was asked to cooperate with the federal government regarding Mr. Marshall's operations, and he acceded to this request as well. Based on this evidence, the district court concluded the conversations were admissible under Rule 801(d)(2)(E).
It is settled law in this circuit that “‘[p]roof of the existence of a buyer-seller relationship, without more, is inadequate to tie the buyer to a larger conspiracy.’ ” United States v. Fox,
Although the district court erred in finding Mr. Myles was a member of the conspiracy, this error does not automatically warrant reversal in this case. In fact, a review of Rule 801(d)(2)(E) and the case law interpreting it, demonstrates that the rule does not embody a requirement that the statement in question “be made by a cocon-spirator to a coconspirator.” United States v. Thompson,
In Mealy, the Seventh Circuit held “the fact that one party to a conversation [is] a government informant does not preclude the admission of the conspirator’s statements under Rule 801(d)(2)(E).” Mealy,
We agree with the reasoning and the analysis articulated by the Seventh Circuit in Mealy and its progeny, and we now explicitly hold “that the fact that one party to a conversation is a government agent or informer does not of itself preclude the admission of statements by the other party — if he or she is a member of a conspiracy — under Rule 801(d)(2)(E).” Mahkimetas,
Applying these principles to this ease, we conclude that although the district court erred in finding that Mr. Myles was a cocon-spirator, that error was harmless because it in no way affects the admissibility of these statements under Rule 801(d)(2)(E) because whether Mr. Myles was a eoconspirator is irrelevant. A fortiori, this error could not, and did not, have a substantial influence on the outcome of the trial. See Jones,
We must now determine whether the remaining foundational requirements—that the statements have been made during the course of and in furtherance of the conspiracy—have been satisfied as well.
b.
We summarily reject Mr. Dryden’s argument that these statements were not made “during the course of’ the conspiracy. He contends that in May of 1988, when Mr. Myles was arrested and agreed to become an informant, Mr. Myles’ participation in the conspiracy, if any, terminated and therefore, any statements he made were not made “during the course of’ the conspiracy.
This argument is misdirected, however, because it wrongly focuses on Mr. Myles, rather than the declarant, Ms. Williamson. It is Ms. Williamson’s statements that the government contends were properly admissible under Rule 801(d)(2)(E), and not Mr. Myles’ statements. In fact, the preceding discussion makes it abundantly clear that Mr. Myles’ statements are not admissible under Rule 801(d)(2)(E). Once the proper focus of this inquiry is defined, it cannot reasonably be disputed that Ms. Williamson’s statements, which were made in October of 1990 and January of 1991, were well within the time frame of the conspiracy at issue. Therefore, we agree with the district court’s finding that this foundational requirement was satisfied.
c.
The final argument advanced by Mr. Dryden on this issue is that the statements in question were not made “in furtherance of’ the conspiracy. In essence, the statements by Ms. Williamson to Mr. Myles, which were offered as evidence against Mr. Dryden, fall neatly into four categories. The statements relate to: (1) identifying the names and roles of other members of the conspiracy; (2) avoiding detection by law enforcement personnel; (3) allaying the concerns and fears of Mr. Myles in order to maintain his confidence and trust; and (4) inducing the continued participation of Mr. Myles. We address, and ultimately reject, Mr. Dryden’s arguments that these statements were not “in furtherance of’ the conspiracy.
First, statements identifying members of a conspiracy are statements “in furtherance of’ a conspiracy, see United States v. Caro,
Second, statements by Ms. Williamson identifying Mr. Dryden as a member of the conspiracy, and describing his function in assisting the organization in avoiding detection by law enforcement, are also “in furtherance of’ the conspiracy for reasons stated in the preceding paragraph. They are statements of identity and of a particular individual’s role in the conspiracy. Furthermore, “conspiracies, by definition, are formed to commit criminal acts_ Avoiding detection by law enforcement officials clearly furthers the aims of a conspiracy.” United States v. Troop,
Third, our decision in Perez recognizes that statements by a coeonspirator designed to allay the fears and suspicions of another individual are statements “in furtherance of’ the conspiracy. See United States v. Perez,
Finally, Mr. Dryden makes vague references to the unfair prejudice resulting from the admission of these statements. Even construing this argument as a claim under Fed.R.Evid. 403, we are not persuaded Mr. Dryden has carried his burden of demonstrating that he suffered any “unfair” prejudice from the admission of these statements, see United States v. Flanagan,
3.
Ms. Williamson next asserts the prosecutor improperly cross-examined her by asking her questions that required her to testify that several of the prosecution’s witnesses who testified were lying.
In support of her claim of prosecutorial misconduct, Ms. Williamson relies exclusively
In Richter, the Second Circuit stated “[d]e-terminations of credibility are for the jury ... not for witnesses ... [and therefore] [p]rosecutorial cross-examination which compels a defendant to state that law enforcement officers lied in their testimony is improper.” Richter,
The facts in Richter demonstrated that during cross-examination of the defendant, the prosecutor asked several questions designed to make Mr. Richter to testify that an FBI agent was either mistaken or lying. Id. at 208. The court indicated that if the basis for claiming reversible error was only the questions asked of the defendant on cross-examination, the court “might be inclined to overlook the impropriety.” Id. But because the prosecutor went further in harping on this issue before the jury, the sum total of the prosecutor’s actions was deemed to be sufficiently egregious to constitute plain error warranting a new trial. Id. at 208-10.
The additional conduct by the prosecutor besides the cross-examination of the defendant involved calling another FBI agent as a rebuttal witness “for the purpose of corroborating [the first agent’s] testimony, which the prosecutor already had forced the defendant to label as false,” id. at 208; and highlighting the discrepancies between the defendant’s statements to the agents and the defendant’s own testimony during closing argument, including a statement that the jury could determine Mr. Richter was not telling the truth ‘“because if he is, then these two agents, over and over again, committed perjury.’” Id. at 209.
The Second Circuit has revisited Richter on five separate occasions. In United States v. Durrani,
In United States v. Kiszewski,
In United States v. Scanio,
In United States v. Weiss,
In reviewing these eases, it becomes readily apparent that the Second Circuit has been veiy reluctant to expand the scope of the Richter decision beyond its narrow and specific facts. The statement in Gaind, which is the most recent decision interpreting Richter, that relief will not be warranted unless the defendant can demonstrate the presence of the same “starkly offensive prosecutorial delinquencies” found in Richter, Gaind,
Although we are not particularly persuaded by the reasoning of the court in Richter, this case does not require us to decide whether its principle should be embraced as the law of this circuit.
II. Challenges to the Defendants’ Sentences
The defendants next challenge the district court’s decisions to either grant or deny particular offense level and criminal history category adjustments in calculating their respective sentences.
A.
Ms. Parker and Mr. Dryden each requested a two-level reduction in their offense levels under U.S.S.G. § 3B1.2(b) because they were “minor” participants. The district court denied their requests.
“It is the defendant’s burden to establish, by a preponderance of the evidence, [an] entitlement to an offense level reduction under § 3B1.2.” United States v. Santistevan,
1.
Ms. Parker simply asserts her alleged involvement in Mr. Marshall’s organization demonstrates she was less culpable than the other individuals who were involved in this operation. The government’s evidence, however, showed Ms. Parker was integrally involved in Mr. Marshall’s operation as both a cooker of the powder cocaine into crack and as a runner. We have previously recognized the “important function of couriers in drug distribution networks,” United States v. Montoya,
2.
Mr. Dryden asserts the district court erred in denying his request for an offense level reduction under § 3B1.2 for two reasons. First, he raises a legal question as to the propriety of the standard applied by the district court to assess his relative culpability. Second, he raises a factual challenge to the district court’s determination of his respective culpability.
Mr. Dryden’s first argument relies on the district court’s statement that § 3B1.2 applies to an individual “who is substantially less culpable than the average participant.” He contends the district court’s use of the modifier “substantially” is unwarranted by the guidelines and resulted in the application of “a more stringent standard to the mitigating role adjustment than directed by the guidelines.” The interpretation of the Guidelines presents a legal question that we review de novo. See United States v. Pettit,
In the background to § 3B1.2, the Commission stated “[t]his section provides a range of adjustments for a defendant who plays a part in committing the offense that makes him substantially less culpable than the average participant.” U.S.S.G. § 3B1.2, comment, (backg’d) (emphasis added). Thus, there is textual support for the district court’s use of the term “substantially” in deciding whether Mr. Dryden was entitled to an offense level reduction.
This case, however, does not require us to determine the propriety vel non of the use of the modifier “substantially” because even without that term, we do not believe Mr. Dryden was “less culpable” than the other participants in Mr. Marshall’s organization. Mr. Dryden attempts to differentiate his participation from that of a runner or courier. We are not persuaded by his proposed distinction.
The government’s evidence demonstrated Mr. Dryden served as a watchdog for Mr. Marshall’s operations, keeping everyone informed of possible investigations and warning members of how and when to conduct their business. Furthermore, he served as a financial advisor to the organization, storing a large sum of the proceeds from the sales. On these facts, we cannot say the district court’s finding that Mr. Dryden was not less culpable than the other participants is clearly erroneous. While Mr. Dryden’s involvement may have been qualitatively different from that of other individuals, the district court rejected his argument, albeit implicitly, that the relative degree and importance of his involvement somehow made him less culpable. Mr. Dryden has not shown how or why this finding is clearly erroneous.
B.
Mr. Dryden next asserts the district court erred in enhancing his offense level two lev
In United States v. Queen,
Mr. Dryden’s argument is, in essence, that his particular position of trust, as a traffic officer, cannot support an enhancement under § 3B1.3 as a matter of law. In his own words, “[a] hit and run investigator could not contribute to a drug conspiracy.” He contends that his position of trust was as a traffic officer, entirely unrelated to drug activities, and therefore, this enhancement should not apply. The government, however, argues that Mr. Dryden breached his “position of trust” by violating “his oath to uphold the law.” We agree.
“Needless to say, a police officer occupies a position of public trust, and the commission of a crime by a police officer constitutes an abuse of that trust.” United States v. Rehal,
We agree with these principles and they compel the rejection of Mr. Dryden’s argument. The mere fact that he was a traffic officer, rather than a vice officer, does not vitiate the fact that he used his special access to warrant information and his potential knowledge of undercover officers in a conscious and concerted attempt to conceal and protect the illegal activities of Mr. Marshall’s • organization. This is “precisely” the type of conduct that the enhancement under § 3B1.3 was designed to cover, see Rehal,
C.
Ms. Williamson next argues the district court erred in'calculating her criminal history score. Specifically, she contends it was improper to enhance her score one point, from three points to four points, thereby raising her criminal history category from level II to level III. She believes the prior sentence that the district court relied upon to increase her criminal history score was improperly counted under § 4A1.2.
In 19.90, Ms. Williamson was sentenced in Kansas state court for possession of cocaine. On appeal, she asserts this sentence should not have been used to increase her criminal
Section 4A1.1 of the Guidelines is used to determine a defendant’s criminal history category. Various subsections provide that criminal history points should be assessed for “prior sentence[s]” imposed on a defendant. See, U.S.S.G. § 4Al.l(a)-(c). On November 1, 1993, the Sentencing Commission amended the application notes to § 4A1.2 and spoke directly to the issue of determining whether a prior sentence was part of the instant offense. The amendment added a'sentence to the end of application note 1 to explain that “[cjonduct that is part of the instant offense means conduct that is relevant conduct to the instant -offense under the provisions of § 1B1.3 (Relevant Conduct).” U.S.S.G. § 4A1.2, comment, (n. 1). This binding statement by the Commission was designed “to avoid double counting and ensure consistency with other guideline provisions.” U.S.S.G. App. C, ¶ 493.
U.S.S.G. § 1B1.3 contains several definitions of the phrase “relevant conduct.” In cases where the “offense[ ] [is] of a character for which § 3D1.2(d) would [apply],” such as this case, where the defendant’s offense level depends on the quantity of drugs, see U.S.S.G. § 3D1.2(d),
It is clear from Ms. Williamson’s presen-tence report that her prior sentence in Kansas state court was not considered relevant conduct for the purpose of calculating her offense level. The only mention of this prior sentence was under the section of the report entitled “Defendant’s Criminal History.” Accordingly, we cannot say that the district court’s decision to add one criminal history level for this sentence constituted plain error.
D.
Ms. Williamson asserts the district court erred in failing to make appropriate findings as required by Fed.R.Crim.P. 32(c)(3)(D).
Ms. Williamson raised this objection in the district court, but the court made only a general finding that “the Presentence Inves
We have held a district court may not satisfy its obligation under Rul 32(c)(3)(D) by making a general finding as to the accuracy of the matters contained in the presentence report when the defendant makes a specific objection thereto. See United States v. Pedraza,
Assuming, arguendo, that the district court did in fact fail to comply with the mandatory requirements of Rule 32(c)(3)(D),
E.
Mr. Dryden, Ms. Williamson, and Mr. Marshall next assert the district court erred in calculating the quantity of drugs attributable to each of them for .purposes of calculating their respective sentences.
1.
Mr. Dryden challenges the amount of drugs attributed to him for purposes of calculating his base offense level. The presen-tence report attributed approximately one kilogram of powder cocaine and one half a kilogram of cocaine base to Mr. Dryden. When these amounts were converted to marijuana, it resulted in approximately 22,000 kilograms, corresponding to a base offense level of 36. See U.S.S.G. § 2Dl.l(c).
The government objected to this calculation, claiming it underrepresented the amount of cocaine that should be attributed to Mr. Dryden. The district court sustained, the objection and, in accordance with the government’s suggestion, attributed the entire amount of drugs involved in this conspiracy, nine and one-half kilograms of cocaine base and nine and one-half kilograms of powder cocaine, to him. Mr.-Dryden claims “[t]he approach of the probation officer is a much more reasonable and realistic one” because he “had nothing to do with the purchase of cocaine, processing of cocaine or distributing it and thus his relevant conduct is not co-equal with that of the entire conspiracy.”
In determining the quantity of drugs attributable to particular members of a conspiracy, the sentencing court must focus on the defendant’s own relevant conduct. As we have stated “[w]hen several defendants are convicted of conspiracy, the relevant conduct for purposes of sentencing is not necessarily the same for every participant.” Coleman,
While Mr. Dryden’s .role in this conspiracy has already been discussed in some detail, it can safely be said he acted as a watchdog and an advisor to Mr. Marshall, rather than a seller or cooker. Although this conduct may be qualitatively different from that of the other participants, Mr. Dryden’s joint undertaking was nonetheless as broad
In addition, it was reasonably foreseeable to Mr. Dryden that his coconspirators were involved in the distribution of 19 kilograms of drugs. Ms. McGee testified Mr. Dryden had direct knowledge she had processed this quantity because he had been present when these amounts were brought to her for processing, and Ms. Ross testified Mr. Dryden was present when she was acting as a courier who would bring cocaine to Ms. McGee for processing. This evidence is sufficient to support a finding that the quantity of drugs involved here was reasonably foreseeable to Mr. Dryden.
In short, Mr. Dryden has simply made no attempt to demonstrate how or why these findings of fact are clearly erroneous. He simply asserts the probation officer’s recommendation was more reasonable; however, the issue in this appeal is not which calculation was “more reasonable,” but only whether the finding actually made at sentencing is adequately supported by the evidence. Because the record provides support for the district court’s findings, we cannot say they are clearly erroneous.
2.
Ms. Williamson asserts the district court erred in calculating the quantity of drugs attributable to her because the court improperly double-counted two kilograms that increased her base offense level from 38 to 40. No objection was raised to this calculation before the district court, and therefore, our review is limited to that of plain error. To overcome this hurdle, counsel relies on our decision in United States v. Smith,
The presentence report determined Ms. Williamson should be held accountable for at least half of the total amount of powder cocaine and cocaine base, which was approximately nine and one-half kilograms of each, based on the fact that she actually distributed half the operation’s cocaine. Thus, the district court attributed four and three-fourths kilograms of both powder cocaine and cocaine base to Ms. Williamson. The district court then attributed an additional kilogram of each substance to her before calculating her base offense level. Thus, the calculation resulted in the conversion of five and three-fourths kilograms of both powder cocaine and cocaine base into marijuana, which equates to a base offense level of 40.
Ms. Williamson contends it was error to add the additional kilograms because the figure of nineteen kilograms, the total amount involved in this conspiracy of which half (nine and one-half kilograms) was attributed to her, - “presumably included [the] two kilograms of cocaine obtained [by Ms. Williamson] in a trip to California [in late. June of 1988].”
The government disputes this characterization of the additional two kilograms. It asserts the trial testimony of Ms. McGee was sufficient to permit the sentencing court to conclude, by a preponderance of the evidence, that the two additional kilograms attributed to Ms. Williamson were not counted in the nineteen total kilograms processed by Ms. McGee. The government contends nine and one-half of the nineteen total kilograms handled by Ms. McGee, which were properly attributed to Ms. Williamson, were processed between July of 1988 and the fall of 1989. In contrast, the two additional kilograms attributed to Ms. Williamson, which raised the
Contrary to Ms. Williamson’s unsubstantiated assertion that these two kilograms “presumably” were included in the nine and one-half kilograms attributed to her, Ms. McGee’s testimony provides adequate support to sustain the district court’s finding. Ms. McGee testified she began processing cocaine for Mr. Marshall around July 4, 1988, after Ms. Williamson’s separate trip to California in June of that year in which she transported the two additional kilograms at issue. Therefore, we cannot say the district court’s calculation was clearly erroneous, and a fortiori, it did not constitute plain error.
3.
Mr. Marshall contends the district court erred in determining his base offense level based on the amount of cocaine attributable to him. The district court, relying on the probation officer’s calculations, concluded Mr. Marshall was responsible for all of the cocaine base distributed during the course of this conspiracy, approximately nineteen kilograms, which set his unadjusted base offense level at 42. See U.S.S.G. § 2Dl.l(c)(l). Mr. Marshall asserts that the 18 kilograms of powder cocaine purchased from Ms. Taylor, which was converted into nine kilograms of cocaine base, cannot be reasonably attributed to him because the trial testimony was so convoluted and confusing that this calculation “has no rational or reasonable basis in fact.” He asserts he should be found responsible for only up to 49.1 grams, amounts resulting from three of the substantive distribution counts for which he was convicted. We disagree.
In arguing his responsibility is limited to a maximum of 49.1 grams, Mr. Marshall attempts to limit his exposure for sentencing purposes to only those quantities that the government proved he personally handled. We have rejected this argument in the past and we continue to do so today. See, e.g., United States v. Williams,
As in Angulo-Lopez, we find it was appropriate to attribute the entire amount of cocaine base to Mr. Marshall in calculating his offense level, given his status as the leader of this conspiracy. See Angulo-Lopez,
F.
Defendant Parker asserts the trial court erred in denying her request for a downward departure under U.S.S.G. § 5H1.6 “due to her family situation.”
We have repeatedly held “ ‘a district court’s discretionary refusal to depart downward from the guidelines does not confer appellate jurisdiction under 18 U.S.C. § 3742.’ ” United States v. Holsey,
Our review of the record indicates the district court did in fact recognize it had the authority to depart downward, and that the court elected not to exercise its authority in this case. Several comments made by the court during Ms. Parker’s sentencing hearing are dispositive.
As to No. 7, the request for the departure, the Court declines to depart downward for family circumstances here. Although the Court is unwilling to draw any bright line today where it might find appropriate circumstances, it does not believe that this case fits the criteria....
Here, in this particular case, there are also factors that I think tend to cut in both directions. Ms. Parker’s family situation is not entirely a positive from the standpoint of a potential downward departure.
This case does not involve the extraordinary nature that would warrant a depar ture....
... So I would decline to depart downward, under these circumstances.
The quoted language above is unambiguous' and does not support the assertion the district court did not understand it had the discretion to depart downward or that it did not understand the extent of its discretion to depart downward. See United States v. Stewart,
G.
The final argument, advanced by Mr. Marshall, Ms. Parker and Ms. Williamson, is the now familiar claim that § 2D1.1 of the Sentencing Guidelines, which equates one kilogram of crack to one hundred kilograms of powder cocaine for purposes of sentencing, violates the constitutional guarantee of equal protection because it imposes harsher sentences on African-Americans than on Caucasians.
We have repeatedly rejected each of the arguments necessary to find § 2D1.1 viola-tive of equal protection. Thus, we have rejected the argument that a disparate impact necessarily implies a finding of intentional discrimination, see Angulo-Lopez,
CONCLUSION
While each of the defendants has raised numerous claims of error regarding the validity of their respective convictions and sentences, we find none of these claims warrant reversal. Accordingly, we AFFIRM the convictions and sentences imposed by the district court.
Notes
. The seven individuals charged were the four defendants, Neville Haynes, Tina McGee and Charles Gay.
. One week prior to trial, Ms. McGee pled guilty to the conspiracy charge in exchange for, inter alia, her agreement to testify for the prosecution. Mr. Gay died before the trial began. Thus, the case proceeded to trial against the five other individuals.
. "The preferred avenue for challenging the effectiveness of defense counsel in a federal criminal trial is by collateral attack under 28 U.S.C. § 2255.” Beaulieu v. United States,
In the present case, Ms. Williamson is represented by appellate counsel who was not her trial counsel. In addition, for reasons given below, consideration of this claim is confined to the trial record. Finally, we do not believe our en banc decision in Galloway would affect our determination that this issue may appropriately be resolved on direct appeal, and accordingly, we will proceed to the merits of this claim.
. This principle is derived from the Sixth Amendment guarantee that “the accused ... be informed of the nature and cause of the accusation,” U.S. Const, amend. VI, and, at least in federal court, see Hurtado v. California,
. In contrast, “[a] variance which rises to the level of a constructive amendment is reversible per se." Hunter,
. Several other circuits have embraced this rule. See, e.g., United States v. DeVarona,
. Counsel for Ms. Parker failed to indicate in her brief where she preserved this issue for appellate review by raising it before the district court, in violation of our local rules of appellate procedure. See 10th Cir.R. 28.2(d) ("the parties shall include ... a statement as to where in the record a proper objection was made to the ruling and whether the objection is recorded and ruled upon.”) We have, on occasion, treated counsel's noncompliance with this rule as essentially a violation of the contemporaneous objection rule, and limited our appellate review of the issue to whether the error complained of constituted plain error, see, e.g., United States v. Barber,
. Nine days earlier, Officer Crockett had asked Mr. Myles to arrange another controlled buy from Mr. Marshall. That buy formed the basis for count four of the indictment and did not involve Ms. Parker.
. The Supreme Court recently held “proof of an overt act is not required to establish a violation of 21 U.S.C. § 846." United States v. Shabani, - U.S. -, -,
. United States v. James,
. Although our prior decisions in United States v. LeRoy,
. To the extent Mr. Dryden raised and preserved a claim that the admission of these statements violated his constitutional rights under the Confrontation Clause of the Sixth Amendment, a claim separate and distinct from his evidentiary claim as to the admissibility of these statements, this argument is without merit.
It is a fundamental principle that “ 'the Confrontation Clause is not violated by admitting a declarant's out-of-court statements as long as the declarant is testifying as a witness and [is] subject to full and effective cross-examination.’" United States v. Tome,3 F.3d 342 , 352 (10th Cir.1993) (citing California v. Green,399 U.S. 149 , 158,90 S.Ct. 1930 , 1935,26 L.Ed.2d 489 (1970)), rev'd on other grounds, — U.S.-,115 S.Ct. 696 ,130 L.Ed.2d 574 (1995). The Confrontation Clause only insures the opportunity for cross-examination, see Tome,3 F.3d at 352 (emphasis in original) (citing Delaware v. Fensterer,474 U.S. 15 , 20,106 S.Ct. 292 , 294,88 L.Ed.2d 15 (1985)), and because the declarant, Ms. Williamson, testified at trial, Mr. Dryden was thus afforded the opportunity to cross-examine her. Therefore, this claim is without merit.
. The cross-examination of Ms. Williamson forming the basis for this claim was the following exchange between Ms. Robinson, the prosecutor, and Ms. Williamson, the defendant:
Q. Ms. Williamson, did you sell drugs, too?
A. No, I didn't. I bought drugs.
Q. So when [Officer] Jesse Gray testified that he and Jeffrey Bagsby both bought drugs from you on September 1, 1988, he was lying?
A. I don't recall even meeting Jesse Gray, at that time. I don't recall even ever seeing that man till I saw him on this stand.
Q. And on July 9, 1991, when [Agent] Tim Jones said he—he got crack cocaine from you on that date, was he lying?
A. Yes, he was.
Q. So you’re telling the jury, then, that Special Agent Jones was lying when he said he bought drugs from you on September 5th.
A. Yes, he is.
Q. So all of the officers are lying, in other words, both Jesse Gray, Tim Jones. How about [Officer] Kim Crockett, on June 13th, was he lying when he said that you were—
A. No, I—I admit to—when Kim—Kim Crockett showed up to my house and I—at the time, I was just thinking of that will be a way for me to get some of his cocaine, and I did offer to go out to—and bring it in the house to give to him.
Q. So Kim Crockett's testimony about how that transaction occurred on June 13th, he’s not telling the truth, either.
A. He’s telling partially the truth. He’s not telling all the truth.
(Emphasis added.) During closing argument, the prosecutor again made reference to this line of cross-examination, stating "[r]emember what [Ms. Williamson] said? I don’t—I've never met Jesse Gray. Kim Crockett is lying. Tim Jones is lying. Everybody is lying.”
. The Richter decision has not been embraced by any other federal courts outside the Second Circuit.
. Although this point may have been suggested implicitly, it is equally plausible to interpret the prosecutor’s statements in this regard as asking the jury to consider and weigh the credibility of the defendant in light of the testimony of the officers.
. Paragraph 90 of Ms. Williamson’s presen-tence report expressly acknowledges that her counts of conviction were grouped under- § 3D 1.2(d).
. Fed.R.Crim.P. 32(c)(3)(D) provides:
If the comments of the defendant and the defendant's counsel or testimony or other information introduced by them allege any factual inaccuracy in the presentence investigation report or the summary of the report or part thereof, the court shall, as to each matter controverted, make (i) a finding as to the allegation, or (ii) a determination that no such finding is necessary because the matter controverted will not be taken into account in sentencing. A written record of such findings and determinations shall be appended to and accompany any copy of the presentence investigation report thereafter made available to the Bureau of Prisons.
. The rule states, in relevant part, that "the court shall" make appropriate findings or enter a determination that no such finding is necessary because the matter was not relevant to the ultimate sentence. See Fed.R.Crim.P. 32(c)(3)(D).
. No Circuit Court has found the Guidelines’ disparate treatment of crack as opposed to powder cocaine to violate equal protection of laws.
