UNITED STATES OF AMERICA, Plaintiff-Appellant, v. YU QIN and SHANSHAN DU, Defendants-Appellees.
No. 12-1015
UNITED STATES COURT OF APPEALS FOR THE SIXTH CIRCUIT
July 20, 2012
12a0233p.06
Before: COLE and DONALD, Circuit Judges; SARGUS, District Judge.
RECOMMENDED FOR FULL-TEXT PUBLICATION Pursuant to Sixth Circuit Rule 206. Appeal from the United States District Court for the Eastern District of Michigan at Detroit. No. 2:10-cr-20454—Marianne O. Battani, District Judge.
ON BRIEF: Kathleen Moro Nesi, UNITED STATES ATTORNEY‘S OFFICE, Detroit, Michigan for Appellant. Frank D. Eaman, FRANK D. EAMAN PLLC, Detroit, Michigan, Robert M. Morgan, Detroit, Michigan, for Appellees.
OPINION
BERNICE BOUIE DONALD, Circuit Judge. On July 21, 2010, Yu Qin and his wife Shanshan Du (collectively, “Defendants“) were indicted for, among other related charges, conspiring to possess and possessing stolen trade secrets and wire fraud. Upon receiving notice of the government‘s intent to introduce evidence under
I. BACKGROUND
From 1985 to 2005, Yu Qin (pronounced “Chin“) worked as an electrical engineer in Troy, Michigan, for Controlled Power Company (“CPC“), a company that designs and manufactures electrical power equipment and systems. From 1997 until his termination on August 30, 2005, Qin held the position of Vice President of Engineering and Research and Development at CPC. Qin‘s wife, Shanshan Du, also worked as an electrical engineer for CPC until some time in 2000. Thereafter, Du began working for General Motors (“GM“) as an engineer in its Advanced Technology Vehicles Group. At GM, Du worked on various software engineering projects related to hybrid vehicle technology and was responsible for some of the motor control code used in GM‘s hybrid electric motor controller cards. These cards constitute proprietary information owned by GM. During the course of their employment, both Qin and Du signed documents in which they agreed to protect the confidential and/or proprietary information belonging to their respective employers. Du further agreed to return “all documents and other materials containing any GM business or technical information or other proprietary information created or obtained in the course of [her] service[]” at GM.
On January 30, 2005, Du‘s supervisor at GM, apparently dissatisfied with Du‘s job performance, offered Du a severance agreement in return for her resignation. Du accepted the offer in writing on March 14, 2005. During Du‘s exit interview on March 17, 2005, Du certified in writing that she had “returned all GM Records in printed (copies or reproductions), electronic or other tangible form including secret and confidential information in [her] possession or under [her] control, located in [her] office, home or any other off-site location.” Du also acknowledged that her “obligation not to disclose secret or confidential information [would] continue[] after the termination of [her] employment.”
On August 30, 2005, CPC confronted Qin about these activities, and Qin initially denied any involvement in MTI business. Later that day, CPC employees discovered a bag belonging to Qin hidden in a co-worker‘s office. The bag contained a large quantity of electrical components later identified as CPC property and a large external hard drive determined to be Qin‘s personal property. Tazzia reviewed the contents of the hard drive and discovered a directory titled “Shanshan” that contained many electronic documents that appeared to be the property of GM. CPC subsequently advised GM of its discovery of these documents, whereupon GM conducted its own forensic analysis of the hard drive. GM‘s analysis revealed that the “Shanshan” directory contained 16,262 individual files, the majority of which were confirmed to be the property of GM. The forensic analysis also indicated that all 16,262 files had been copied to the hard drive on February 2, 2005, three days after GM offered Du a severance package. The files contained numerous confidential GM documents, including at least four pieces of GM intellectual property essential to GM‘s hybrid motor controller card. Most of this intellectual property was information that Du would have had no legitimate reason to possess during the ordinary course of her employment with GM. In fact, even Du‘s former supervisor did not have access to some of this information, nor would he have had any legitimate need to access it. Other confidential information located in the “Shanshan” directory included detailed specifications for the power transistors used by GM in its hybrid motor inverters; GM‘s requirements for its hybrid electric vehicle drive train, including the motor, inverter, and controller card; a complete user manual for GM‘s proprietary suite of engineering and design software used in the development of
This discovery prompted further investigation into MTI‘s business activities, which showed that MTI had been marketing power control products for the hybrid electric vehicle market. CPC uncovered evidence that Qin had directed subordinate CPC employees to perform engineering work for MTI on CPC company time as well as evidence that MTI was engaged in a project to develop a hybrid electric vehicle with Chinese automobile manufacturer Chery Automobile. Qin‘s hard drive also contained evidence indicating that he had misappropriated CPC resources and information and used them to further his MTI business. In particular, CPC found documents related to its development of a three-phase uninterruptible power system, including source code, circuit board schematic drawings, and marketing materials. All of these materials had been modified, however, such that “CPC” had been replaced with “MTI” as the owner of the intellectual property.
On July 22, 2010, Defendants were charged with one count of conspiring to obtain trade secrets from GM pertaining to motor controls for hybrid vehicles, two counts of unlawfully possessing those trade secrets with intent to provide them to third parties, one count of wire fraud, and, as to Qin only, one count of obstruction of justice. None of the conduct charged in the indictment related to Qin‘s possession of parts, resources, intellectual property, or other confidential information belonging to CPC.1
On November 1, 2011, the government provided Defendants’ counsel with notice of its intent to offer evidence at trial pursuant to
On December 6, 2011, the district court held a hearing in which it granted Defendants’ motion to exclude the proffered evidence. In support of this ruling, the court stated:
[What] you are talking about here [is] stealing trade secrets. . . . When I look at what the Government has outlined here, . . . it shows that Defendant – at least Defendant Qin is setting up this business, working this business. They obviously have a business. I don‘t think that‘s an issue that they have a business.
Using CPC documents, I mean, they substituted . . . MTI into wherever it said CPC, this is something, I don‘t know whether it is more of a generic form as . . . the defense is trying to say or a form that is used that could be modified, but is that stealing? I mean, I don‘t see it. I don‘t see it as a substantially similar circumstance. I think what it goes to show is that these individuals or at least Mr. Qin is setting up this business. Was he doing it while he was working at CPC? Clearly he was doing it while he was working at CPC, but does that show that he was stealing things outside of perhaps time, which I don‘t think is necessarily relevant. . . .
I simply don‘t think there is . . . substantially enough relevance to this and that it could be way more prejudicial than probative because to me its weight only goes to showing that they were, in fact, setting up a business and doing so on CPC time, so the Court is not going to allow [the evidence].
This interlocutory appeal followed, and proceedings in the district court were stayed pending resolution of the issue now before us.
II. ANALYSIS
A. Standard of review
We review a district court‘s ruling on the admissibility of evidence for abuse of discretion. United States v. Haywood, 280 F.3d 715, 720 (6th Cir. 2002). We will find that a district court has abused its discretion when we are “left with the definite and firm conviction that the district court committed a clear error of judgment in the conclusion it reached upon a weighing of the relevant factors.” United States v. Jenkins, 345 F.3d 928, 936 (6th Cir. 2003) (quoting United States v. Copeland, 321 F.3d 582, 595 (6th Cir. 2003)).
B. Prior bad acts
A trial judge is accorded broad discretion in determining the admissibility of bad acts evidence under Rule 404(b). United States v. Stout, 509 F.3d 796, 799 (6th Cir. 2007). The Rule provides, in relevant part: “Evidence of other crimes, wrongs, or acts is not admissible to prove the character of a person in order to show action in conformity therewith. It may, however, be admissible for other purposes, such as proof of motive, opportunity, intent, preparation, plan, knowledge, identity, or absence of mistake or accident. . . .”
First, the district court must decide whether there is sufficient evidence that the other act in question actually occurred. Second, if so, the district court must decide whether the evidence of the other act is probative of a material issue other than character. Third, if the evidence is probative of a material issue other than character, the district court must decide whether the probative value of the evidence is substantially outweighed by its potential prejudicial effect.”
Jenkins, 345 F.3d at 937(citing Haywood, 280 F.3d at 719-20). Applying this standard, we are not left with a “definite and firm conviction that the district court committed a clear error of judgment” in excluding the evidence. Id. at 936. Accordingly, the district court‘s ruling is affirmed.
1. Evidence that the act occurred
As to the first prong, the relevant inquiry is whether “there is sufficient evidence to support a finding by the jury that the defendant committed the similar act.” Huddleston v. United States, 485 U.S. 681, 685 (1988). As Defendants point out, this test is often met by the accused‘s admission that the prior act or conviction occurred. See, e.g., United States v. Clay, 667 F.3d 689, 694 (6th Cir. 2012) (“The [prior bad act] is undisputed, so no discussion is needed as to step one.“); Jenkins, 345 F.3d at 937 (“[T]here is no doubt that the bad act occurred; [the defendant] freely admitted [it].“); Haywood, 280 F.3d at 720 (“Haywood concedes that the other act at issue . . . actually occurred.“). In the instant case, by contrast, Qin vigorously denies engaging in any improper conduct at CPC. Thus, while the government contends that its proof would be relatively straightforward and would likely require only a few hours, Qin would have every incentive to refute the government‘s allegations with proof of his own, attempting to establish for the jury that the allegations are unfounded.
While the record does not establish that the district court made a definitive finding as to the first prong, it does show that the court considered the evidence and—at least implicitly—found it lacking. Given the parties’ positions, the evidence could reasonably support a finding on either side of this contentious issue, and we are inclined to agree that its resolution could easily become a trial unto itself. For the purposes of this appeal, however, we will assume without deciding that there is sufficient evidence to support a jury finding that Qin appropriated CPC resources for the benefit of MTI.
2. Probative of issue other than character
We turn, then, to whether the evidence is probative of a material issue other than character. “Evidence of other acts is probative of a material issue other than character if (1) the evidence is offered for an admissible purpose, (2) the purpose for which the evidence is offered is material or ‘in issue,’ and (3) the evidence is probative with regard to the purpose for which it is offered.” Haywood, 280 F.3d at 720.
“To determine if evidence of other acts is probative of intent, we look to whether the evidence relates to conduct that is ‘substantially similar and reasonably near in time’ to the specific intent offense at issue.” Haywood, 280 F.3d at 721 (quoting Blankenship, 775 F.2d at 739). The district court based its exclusion of the 404(b) evidence on this prong, ruling that the proffered evidence was not probative of Defendants’ criminal intent because it was not substantially similar to the charged offenses. We agree.
The government proffered evidence that Qin misappropriated CPC electrical parts for use in MTI products, that he used CPC forms and documents for the benefit of MTI, and that Qin and his subordinates conducted MTI business during CPC work time. The charged offenses, in contrast, were conspiracy to possess and unauthorized possession of trade secrets. These charges require the government to prove that Defendants stole information that GM had taken reasonable measures to keep confidential and that the stolen information “derives independent economic value, actual or potential, from not being generally known to, and not being readily ascertainable
3. Probative value vs. prejudicial effect
Third, we consider the district court‘s Rule 403 determination. United States v. Johnson, 458 F. App‘x 464, 470 (6th Cir. 2012.) Where relevant evidence carries with it the risk of unfair prejudice, confusion of the issues, misleading the jury, or undue delay, and that risk substantially outweighs the probative value of the proffered evidence, Rule 403 provides that the evidence may be excluded. The district court found that, in addition to lacking probative value, the proffered 404(b) evidence would be highly prejudicial to Defendants and, thus, that it should be excluded. We find that this determination was well within the bounds of the district court‘s discretion.
We have already touched briefly on the issue of undue delay, and reiterate here our concern that determining whether the allegations of Qin‘s misconduct at CPC are with or without merit could result in a trial within a trial. In fact, the risk of undue delay is substantial enough that it is likely sufficient in itself to justify exclusion of the evidence under Rule 403. In addition to lengthening the time needed for trial, presentation of the proffered evidence carries with it a high risk of confusing and/or misleading the jury. Unlike a prior conviction, which is a discreet act or event that the prosecution could call to the jury‘s attention, the government seeks to introduce evidence
Finally, in response to the government‘s argument that the proffered evidence is probative of the absence of mistake, we note that “[o]ne factor in balancing unfair prejudice against probative value under Rule 403 is the availability of other means of proof.” Johnson, 458 F. App‘x at 470-71 (quoting United States v. Merriweather, 78 F.3d 1070, 1077 (6th Cir. 1996)). There is other evidence in the record that, in our view, is far more probative on this point than the proffered 404(b) evidence. For instance, Du certified in writing that she had returned all GM documents in her possession, thereby seriously undermining any argument that she simply “forgot” that she had the obligation to do so. The manner in which the information was copied to the
III. CONCLUSION
Upon consideration of all relevant factors, we find that the district court did not abuse its discretion in excluding the 404(b) evidence. Accordingly, we AFFIRM.
