United States v. Cortes-Medina , 810 F.3d 62 ( 2016 )


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  •           United States Court of Appeals
    For the First Circuit
    No. 14-1101
    UNITED STATES OF AMERICA,
    Appellee,
    v.
    HÉCTOR CORTÉS-MEDINA,
    Defendant, Appellant.
    APPEAL FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF PUERTO RICO
    [Hon. José Antonio Fusté, U.S. District Judge]
    Before
    Lynch, Selya and Lipez,
    Circuit Judges.
    Heather Clark, with whom Law Office of Heather Clark was on
    brief, for appellant.
    Francisco A. Besosa-Martínez, Assistant United States
    Attorney, with whom Rosa Emilia Rodríguez-Vélez, United States
    Attorney, and Nelson Pérez-Sosa, Assistant United States Attorney,
    Chief, Appellate Division, were on brief, for appellee.
    January 6, 2016
    SELYA,   Circuit     Judge.     In    this   sentencing     appeal,
    defendant-appellant Héctor Cortés-Medina insists that his 168-month
    sentence     is     both   procedurally         flawed    and      substantively
    unreasonable. After careful consideration, we affirm the sentence.
    This appeal has its roots in an indictment returned by a
    federal grand jury sitting in the District of Puerto Rico.                   The
    indictment alleged that the defendant served as an "enforcer" for
    a drug-trafficking ring and charged him as a participant in a
    conspiracy     to   possess     with   intent     to   distribute    controlled
    substances within 1,000 feet of a protected location.                    See 21
    U.S.C. §§ 841(a)(1), 846, 860.
    In due course, the defendant entered into a non-binding
    plea agreement (the Agreement) with the government.                The Agreement
    provided that, in exchange for his guilty plea to the conspiracy
    charge and to a related forfeiture allegation, the government would
    recommend a 121-month prison term; provided, however, that the
    defendant's criminal history category (CHC) was IV or lower.                The
    district court accepted the plea, and the probation office prepared
    a presentence investigation report (PSI Report).                   Neither side
    objected to anything contained in the PSI Report, which (among
    other   things)     recommended    a   series     of   guideline   calculations
    culminating in a total offense level of 30, a CHC of IV, and a
    guideline sentencing range (GSR) of 135 to 168 months.
    -2-
    At the disposition hearing, the government recommended
    the agreed 121-month sentence, even though that sentence was below
    the nadir of the GSR.       The district court heard statements from
    defense    counsel   and    the    defendant    himself,     and   the   court
    acknowledged the parties' joint sentencing recommendation.                The
    court then engaged in a dissection of the defendant's criminal
    history.
    To begin, the court examined the four convictions on
    which the defendant's CHC was premised. It then catalogued several
    arrests that had terminated either in acquittals or in dismissals.
    These included two charges for first-degree murder, two charges
    relating to destruction of evidence, and an assortment of charges
    for drug and firearm violations.1              Noting that none of these
    charges    had   resulted   in    any    punishment,   the   district    court
    expressed frustration.      The court said: "This is what I just don't
    understand, how these things are happening."                 It then added,
    cryptically, that "lightning doesn't strike twice in the same
    place."
    The district court proceeded, without objection, to
    ratify and adopt the guideline calculations limned in the PSI
    Report.    It stressed that the defendant was an enforcer in the
    drug-trafficking organization, adding "[w]e know what that means."
    1
    The record reflects that the probation office had sought
    further information about each of these charges, but none was
    forthcoming.
    -3-
    In the end, the court sentenced the defendant to a term of
    immurement at the apex of, but within, the GSR: 168 months.
    This   timely     appeal    ensued.        Although     the   Agreement
    contains a waiver-of-appeal provision, that provision, by its
    terms, is operative only if the court sentences the defendant in
    accordance     with      the     Agreement's         "terms,       conditions    and
    recommendations."        Because the sentence imposed by the district
    court exceeded the sentence recommended in the Agreement, the
    waiver-of-appeal provision is a dead letter.                     See, e.g., United
    States v. Fernández-Cabrera, 
    625 F.3d 48
    , 51 (1st Cir. 2010).
    Overall,     "[a]ppellate         review      of    federal   criminal
    sentences     is    characterized       by     a   frank     recognition    of   the
    substantial discretion vested in a sentencing court."                        United
    States v. Flores-Machicote, 
    706 F.3d 16
    , 20 (1st Cir. 2013).                     The
    "process is bifurcated: we first determine whether the sentence
    imposed is procedurally reasonable and then determine whether it is
    substantively reasonable."          United States v. Clogston, 
    662 F.3d 588
    , 590 (1st Cir. 2011).         Generally, both aspects of this review
    are for abuse of discretion.            See Gall v. United States, 
    552 U.S. 38
    , 46 (2007); United States v. Martin, 
    520 F.3d 87
    , 92 (1st Cir.
    2008). When assessing the procedural reasonableness of a sentence,
    however, appellate review is more nuanced: we afford de novo
    consideration       to   the    sentencing         court's      interpretation   and
    -4-
    application of the sentencing guidelines and assay the court's
    factfinding for clear error. See 
    Flores-Machicote, 706 F.3d at 20
    .
    These standards of review are altered when an objection
    is not preserved in the court below.   In that event, review is for
    plain error.   See United States v. Duarte, 
    246 F.3d 56
    , 60 (1st
    Cir. 2001).    Plain error review is not appellant-friendly.       It
    "entails four showings: (1) that an error occurred (2) which was
    clear or obvious and which not only (3) affected the defendant's
    substantial rights, but also (4) seriously impaired the fairness,
    integrity, or public reputation of judicial proceedings."    
    Id. Against this
    backdrop, we turn to the defendant's claims
    of error: three procedural objections and a plaint of substantive
    unreasonableness.   We address these matters sequentially.
    The defendant first argues that the district court erred
    by taking into account several dismissed or acquitted charges
    because the facts underlying those charges were not proven by a
    preponderance of the evidence.     He says that he preserved this
    argument by means of a statement contained in the "Background of
    the Defendant" section of his sentencing memorandum:
    As evidence showed in the court files, that
    were examined, many of the indictments got
    dismissed because of lack of proof related to
    the supposed direct participation of the
    defendant and in others there was no proof at
    all.
    During the investigations as is shown as well
    in the Pre-Sentence Report the defendant has
    been accused of many different illegal acts
    -5-
    as, for which many of these accusation [sic]
    were   dismissed  because  of   insufficient
    evidence.
    However, no mention of the dismissed or acquitted charges was made
    in   the   "Application   of   Law   and     Arguments"   section     of    the
    defendant's sentencing memorandum.
    At the outset of the disposition hearing, the district
    court confirmed with defense counsel that the defendant had no
    objections to the PSI Report. During that hearing, defense counsel
    did not mention the dismissed or acquitted charges at all.
    Generally, a party has 14 days after receipt of a
    presentence report within which to object in writing to, inter
    alia, "material information" contained in that report.               Fed. R.
    Crim. P. 32(f)(1). A failure to object constitutes a waiver of any
    objection to such information.             See United States v. Serrano-
    Mercado, 
    784 F.3d 838
    , 846, 847 (1st Cir. 2015); United States v.
    Turbides-Leonardo, 
    468 F.3d 34
    , 37 (1st Cir. 2006).            Such a waiver
    occurred here.
    Nor did the passing reference to the charges in the
    background section of the sentencing memorandum cure this omission.
    That   reference,   particularly     when     not   followed   up    by    some
    corresponding reference in the argument section of the memorandum,
    did nothing to call to the sentencing court's attention that the
    defendant objected to any consideration of those parts of his
    arrest record that had not ripened into convictions.                While our
    -6-
    dissenting brother cavalierly proclaims that the argument made on
    appeal   was     "implicit   in   [the    defendant's]   contentions"   at
    sentencing, post at 18, a finding to that effect would render
    normal principles of waiver meaningless.         We conclude, therefore,
    that the defendant's argument is unpreserved and engenders plain
    error review.
    We turn to that review. The defendant bases his claim of
    error on the Supreme Court's opinion in United States v. Watts, 
    519 U.S. 148
    , 157 (1997) (per curiam).             In that case, the Court
    concluded that, when imposing an offense-level enhancement, a
    sentencing court may consider acquitted conduct only if that
    conduct is proven by a preponderance of the evidence.2         See 
    id. at 153,
    157. Here, however, Watts is inapposite: the sentencing court
    did not use dismissed or acquitted conduct in its sentencing
    calculus.      Rather, the court used the defendant's arrest record,
    which was laid out in the PSI Report and not contested by the
    defendant.     The arrest record was, therefore, a proven fact, see
    United States v. Jiménez, 
    512 F.3d 1
    , 7 (1st Cir. 2007), and thus
    properly before the district court.
    2
    The two Seventh Circuit cases relied on by the defendant —
    United States v. Short, 
    4 F.3d 475
    (7th Cir. 1993) and United
    States v. Ruffin, 
    997 F.2d 343
    (7th Cir. 1993) — add nothing to the
    defendant's argument. Though predating Watts, these cases are in
    the same general posture and adumbrate the holding in Watts. See
    
    Short, 4 F.3d at 479
    ; 
    Ruffin, 997 F.2d at 345
    .
    -7-
    Nor did the district court plainly err in taking into
    account the prolific arrest record of the defendant — a drug-gang
    enforcer — solely for the purpose of determining at what point
    within the GSR the defendant's sentence should be set.       As we
    previously have explained, "a criminal defendant's 'history and
    characteristics' are among the considerations that a court ought to
    take into account at sentencing." 
    Flores-Machicote, 706 F.3d at 21
    (quoting 18 U.S.C. § 3553(a)(1)).     This includes the defendant's
    record of past arrests or dismissed charges, as such a record "may
    indicate a pattern of unlawful behavior even in the absence of any
    convictions."   
    Id. (internal quotation
    marks omitted).   That the
    defendant had several such arrests is an important datum, for we
    have distinguished a series of arrests "which might legitimately
    suggest a pattern of unlawful behavior even in the absence of any
    convictions" from, say, a single arrest.   United States v. Lozada-
    Aponte, 
    689 F.3d 791
    , 792 (1st Cir. 2012) (quoting United States v.
    Zapete-Garcia, 
    447 F.3d 57
    , 61 (1st Cir. 2006) (internal quotation
    marks omitted)); accord United States v. Ocasio-Cancel, 
    727 F.3d 85
    , 91-92 (1st Cir. 2013).   Based on these authorities, it defies
    reason to assert (as does our dissenting brother) that there was a
    clear or obvious error in the district court's consideration of the
    defendant's full arrest record at the final step of the sentencing
    -8-
    proceeding.   Consequently, we find no plain error.3    Cf. United
    States v. Vega-Santiago, 
    519 F.3d 1
    , 5 (1st Cir. 2008) (en banc)
    ("Garden variety considerations of culpability, criminal history,
    likelihood of re-offense, seriousness of the crime, nature of the
    conduct and so forth should not generally come as a surprise to
    trial lawyers who have prepared for sentencing.").
    The defendant's next claim of error posits that the
    district court abused its discretion by not adequately considering
    the factors set forth in 18 U.S.C. § 3553(a).   Our review of this
    claim is for abuse of discretion.    See 
    Gall, 552 U.S. at 51
    .
    The defendant's claim centers on his assertion that the
    district court failed to consider not only that he had already
    served time for a matter incident to the offense of conviction but
    also that he had been rehabilitated.        But these potentially
    mitigating factors were before the district court at sentencing;
    indeed, they were vigorously pressed by defense counsel.   There is
    3
    In an effort to blunt the force of this reasoning, the
    defendant, post-argument, submitted a list of additional
    authorities.    See 1st Cir. R. 28(j).     We have examined these
    authorities with care and find them unpersuasive.         Some are
    factually distinguishable, see, e.g., United States v. Matheny, 
    450 F.3d 633
    , 642 (6th Cir. 2006) (involving a single arrest), some
    find no plain error, see, e.g., United States v. Guajardo-Martínez,
    
    635 F.3d 1056
    , 1062 (7th Cir. 2011), and some contain language
    similar to that found in our own case, see, e.g., United States v.
    Berry, 
    553 F.3d 273
    , 284 (3d Cir. 2009) (recognizing that there may
    be situations in which the number of prior arrests "becomes so
    overwhelming as suggestive of actual guilt that they become
    exceedingly difficult to ignore"). To the extent (if at all) that
    any of these cases conflict with our own case law, we are
    constrained to follow First Circuit precedent.
    -9-
    not   the   slightest    reason   to   think   that   the   district   court
    overlooked them.4
    No more is needed to defeat this claim of error.            Even
    though a sentencing court is charged with a duty to "consider all
    relevant section 3553(a) factors, it need not do so mechanically."
    
    Clogston, 662 F.3d at 592
    (internal quotation marks omitted).
    While the court below did not squarely address the two factors
    cited by the defendant, we have warned against "read[ing] too much
    into a district court's failure to respond explicitly to particular
    sentencing arguments." 
    Id. This court
    has not required sentencing
    courts to walk, line by line, through the section 3553(a) factors.
    See United States v. Dixon, 
    449 F.3d 194
    , 205 (1st Cir. 2006)
    (explaining that a sentencing court need not "address [the section
    3553(a)] factors, one by one, in some sort of rote incantation when
    explicating its sentencing decision").           We have no occasion to
    impose such a requirement today.          Thus, we discern no abuse of
    discretion    in   the   sentencing    court's   failure    to   acknowledge
    explicitly that it had mulled the defendant's arguments.
    The defendant's last procedural claim implicates 18
    U.S.C. § 3553(c). This statute provides in pertinent part that the
    4
    This is especially so because the sentence imposed was
    within the GSR. As the Supreme Court has explained, the guideline
    range itself bears a direct relation to the compendium of
    considerations listed in section 3553(a) and, thus, a within-the-
    range sentence "likely reflects the section 3553(a) factors." Rita
    v. United States, 
    551 U.S. 338
    , 355 (2007).
    -10-
    court "at the time of sentencing, shall state in open court the
    reasons for its imposition of the particular sentence" and, if the
    GSR spans more than 24 months, shall also state "the reason for
    imposing a sentence at a particular point within the range."    18
    U.S.C. § 3553(c). The defendant says that the sentencing court did
    not adequately comply with these strictures and that, therefore,
    his sentence must be vacated.
    The defendant's premise is sound: the sentencing court's
    explanation of its reason for choosing a top-of-the-range sentence
    of 168 months is recondite at best.    But the conclusion that the
    defendant seeks to draw from this premise is unfounded.        The
    defendant did not raise this objection below, and we have held that
    a district court's failure to provide an adequate explanation of a
    sentence, without more, is not sufficient to constitute plain
    error.   See United States v. Medina-Villegas, 
    700 F.3d 580
    , 583
    (1st Cir. 2012).
    Here, there is no "more": the district court's rationale
    is readily apparent from the sentencing transcript. The court made
    no bones about its belief that the defendant's criminal history
    score underrepresented his culpability because of his pattern of
    arrests and the persistent lack of follow-up with respect to the
    charges that were initially preferred against him.      Such items
    speak directly to the character of the individual, the risk of
    recidivism, and the need to protect the public from future crimes.
    -11-
    See United States v. Rivera Calderón, 
    578 F.3d 78
    , 104-05 (1st Cir.
    2009).
    Transparency at sentencing is important, and we do not
    readily condone a district court's failure to comply with the
    obligations imposed by section 3553(c).     But neither do we condone
    a defendant's failure to object in a seasonable manner and call
    such an oversight to the sentencing court's attention in time to
    correct it at the disposition hearing.          The failure to voice a
    contemporaneous objection constrains our review to plain error, and
    we find no plain error here.    There is simply no reason to believe
    that if the district court had effected a more literal compliance
    with section 3553(c), it would have handed down a milder sentence.
    See 
    Medina-Villegas, 700 F.3d at 584
    ; United States v. Mangual-
    Garcia, 
    505 F.3d 1
    , 16 (1st Cir. 2007); see also 
    Turbides-Leonardo, 468 F.3d at 39
    (explaining that an appellant hoping to prevail on
    plain error review must show "a reasonable probability that, but
    for the error claimed, the result of the proceeding would have been
    different" (internal quotation marks and alterations omitted)).
    The   defendant's    final    claim   of   error   embodies   a
    challenge, raised for the first time on appeal, to the substantive
    reasonableness of his sentence.    We recently have explained that,
    in such circumstances, the appropriate standard of appellate review
    is uncertain.   See United States v. Vargas-García, 
    794 F.3d 162
    ,
    167 (1st Cir. 2015); United States v. Ruiz-Huertas, 
    792 F.3d 223
    ,
    -12-
    228 (1st Cir. 2015).     We need not resolve that uncertainty today:
    even assuming, favorably to the defendant, that his claim of
    substantive unreasonableness is reviewable for abuse of discretion,
    it nonetheless fails.
    We start with first principles.                 When evaluating the
    substantive   reasonableness        of    a     sentence   under   the   abuse     of
    discretion rubric, an inquiring court must take into account the
    totality of the circumstances.             See 
    Martin, 520 F.3d at 92
    .              A
    principal goal of sentencing is to fashion a sentence that is
    "sufficient, but not greater than necessary."                 United States v.
    Carrasco-de-Jesús, 
    589 F.3d 22
    , 29 (1st Cir. 2009) (quoting 18
    U.S.C. § 3553(a)).      In determining whether a sentencing court has
    achieved this goal, we assess the plausibility of the sentencing
    court's rationale and the appropriateness of the sentence itself.
    See 
    id. at 30.
    Challenging a sentence as substantively unreasonable is
    a heavy lift.    That lift grows even heavier where, as here, the
    sentence falls within a properly calculated GSR. See 
    Clogston, 662 F.3d at 592
    -93; see also United States v. Jiménez-Beltre, 
    440 F.3d 514
    , 518 (1st Cir. 2006) (en banc) (explaining importance of
    advisory   guidelines    in   the    sentencing       calculus).         Indeed,   a
    reviewing court may apply "a presumption of reasonableness" to a
    within-the-range sentence.          Rita v. United States, 
    551 U.S. 338
    ,
    347, 351 (2007).     At a bare minimum, a defendant "must adduce
    -13-
    fairly      powerful   mitigating   reasons    and   persuade    us   that    the
    district court was unreasonable in balancing pros and cons."
    
    Clogston, 662 F.3d at 593
    (internal quotation mark omitted).
    In the case at hand, the defendant asseverates that his
    sentence is substantively unreasonable on two fronts.                 He first
    submits that he deserves a more lenient sentence because of his
    rehabilitation.5       Second, he complains that he already has served
    a sentence in a Puerto Rico prison for a 2004 drug crime — a crime
    that he says is incident to the charged conspiracy.
    The charge of substantive unreasonableness is futile.
    The offense of conviction is serious: the defendant served as an
    enforcer for a thriving conspiracy that sold drugs in a protected
    area.       The defendant's criminal history is bleak.          And though his
    efforts at rehabilitation are laudable, the district court is in
    the   best     position   to   weigh   the    credibility   of    a   claim    of
    rehabilitation and to balance the sentencing scales in light of
    such a claim.      See 
    Gall, 552 U.S. at 51
    -52.
    So, too, the defendant's suggestion that the sentence
    imposed punishes him twice for the same criminal conduct is
    unavailing.        In support, the defendant relies on a guideline
    provision, USSG §5K2.23.        That provision, however, states that a
    5
    In support, he notes that he has finished his high-school
    degree, completed various workshops, maintained a record of steady
    employment, and secured a promise of re-employment upon release
    from incarceration.
    -14-
    downward departure may be warranted if the defendant has completed
    a term of imprisonment for a crime incident to the offense of
    conviction and that crime "was the basis for an increase in the
    offense level for the instant offense." United States v. Kornegay,
    
    410 F.3d 89
    , 99 (1st Cir. 2005) (emphasis omitted). Here, however,
    the Puerto Rico drug-trafficking conviction identified by the
    defendant was not assigned any criminal history points in the
    calculation of his CHC.       Thus, that conviction did not serve to
    increase his offense level, and section 5K2.23 does not apply.
    To say more would be to paint the lily.             Here, the
    sentencing court offered a plausible rationale for the sentence
    imposed, and that within-the-range sentence represents a defensible
    outcome.     Having in mind the totality of the circumstances, we
    conclude that the district court did not abuse its considerable
    discretion in sentencing the defendant at the top of — but within
    — the GSR.    In other words, the sentence was sufficient but not
    greater    than   necessary   to   achieve   the   legitimate     goals   of
    sentencing.
    The fact that the parties jointly agreed to recommend a
    lower (downwardly variant) sentence does not alter this conclusion.
    In   the   absence   of   exceptional     circumstances   (such    as     the
    applicability of a statutory mandatory minimum sentence), the
    starting point for a court's sentencing determination is the
    guideline range, not the parties' recommendations.         Thus, we have
    -15-
    consistently refused to accord any decretory significance to such
    non-binding recommendations — or even to require a sentencing court
    to explain why it decided to eschew those recommendations.     See
    
    Vargas-García, 794 F.3d at 167
    ; United States v. Vega-Salgado, 
    769 F.3d 100
    , 104 (1st Cir. 2014).   See 
    Carrasco-de-Jesús, 589 F.3d at 29
    .
    We need go no further.6     For the reasons elucidated
    above, the sentence is
    Affirmed.
    — Dissenting Opinion Follows —
    6
    Much of what our dissenting brother has written has no
    bearing on the issues that are fairly presented by this appeal.
    For prudential reasons, we elect not to respond to these extraneous
    comments.
    -16-
    LIPEZ, Circuit Judge, dissenting.           My colleagues treat
    defendant Cortés-Medina's dismissed and acquitted charges as if
    they have significance separate and apart from the conduct that
    they may, or may not, reflect.           Hence, they find no error in the
    district court's reliance on the defendant's arrest record to
    justify a sentence at the top of the guidelines range -- a term of
    imprisonment nearly four years longer than the sentence recommended
    by the government -- despite the absence of any evidence about the
    conduct underlying those ultimately unproven charges.                   Neither
    Supreme Court precedent nor our own cases support treating as fact
    mere allegations of criminal behavior that are not substantiated by
    at least a preponderance of the evidence.              Indeed, the cases make
    clear that, where the evidence of culpability does not meet that
    level of reliability, the district court errs by factoring unproven
    charges into the sentence.         Accordingly, Cortés-Medina is entitled
    to a resentencing in which the unsubstantiated charges play no
    role.
    I. Standard of Review
    My colleagues apply the plain error standard of review
    because     Cortés-Medina    did   not   object   to    the   portion   of   his
    presentence investigation report ("PSR") listing charges against
    him that either were dismissed or resulted in acquittal.7                      I
    7
    The reference here to "dismissed" charges also encompasses
    references by the district court and the majority to arrests that
    -17-
    disagree that Cortés-Medina's challenge to the court's use of these
    unsubstantiated charges was unpreserved. Certainly, Cortés-Medina
    was not required to object to the inclusion of these charges in his
    PSR,       as   he    has   not   argued   that   the   arrests   and   subsequent
    proceedings did not occur.                 He did, however, point out in his
    sentencing           memorandum   the   flimsy    foundation   for   many   of   the
    charges.8       Referring to his multiple indictments in state court, he
    noted that "many of the indictments got dismissed because of lack
    of proof related to the supposed direct participation of the
    defendant and in others there [was] no proof at all."                   He further
    stated that "many of these accusation[s] were dismissed because of
    insufficient evidence."            Although Cortés-Medina did not repeat his
    objection in the argument section of his memorandum, or explicitly
    assert that the court should not take his dismissed and acquitted
    charges into account, that objection and assertion are implicit in
    his contentions that the charges lack support.9
    may not have led to formal charges.
    8
    In addition to four prior convictions, Cortés-Medina's PSR
    lists one acquittal and multiple arrests for charges that were
    subsequently dismissed.
    9
    Cortés-Medina did not object to use of his unsubstantiated
    criminal history after sentence was imposed, but the obligation to
    reiterate an argument at that point is uncertain.       See United
    States v. Gallant, 
    306 F.3d 1181
    , 1189 (1st Cir. 2002)("[T]here is
    no Federal Rule of Criminal Procedure giving advance notice to
    counsel of a requirement to make post-sentence objections.").
    Indeed, we have recognized the risk that a defendant might irritate
    the district court by resuming argument after the sentence is
    imposed. 
    Id. at 1188-89
    (observing that "few trial judges would
    -18-
    warm to a rule which requires continued argument after the court
    gives its sentence").
    To eliminate that risk -- and thereby diminish uncertainty on
    appeal concerning the appropriate standard of review -- I urge our
    court to follow the lead of other circuits and adopt a prophylactic
    rule requiring sentencing judges to expressly ask the parties for
    objections after the sentence is announced.
    The Sixth Circuit, for example, has adopted such a rule
    pursuant to its supervisory power over district courts within its
    jurisdiction. The rule directs sentencing judges,
    after pronouncing the defendant's sentence but
    before adjourning the sentencing hearing, to
    ask the parties whether they have any
    objections to the sentence just pronounced
    that have not previously been raised. If the
    district court fails to provide the parties
    with this opportunity, they will not have
    forfeited their objections and thus will not
    be required to demonstrate plain error on
    appeal. . . . Providing a final opportunity
    for objections after the pronouncement of
    sentence, "will serve the dual purpose[s] of
    permitting the district court to correct on
    the spot any error it may have made and of
    guiding appellate review."
    United States v. Bostic, 
    371 F.3d 865
    , 872 (6th Cir. 2004)
    (footnote omitted) (quoting United States v. Jones, 
    899 F.2d 1097
    ,
    1102 (11th Cir. 1990), overruled on other grounds by United States
    v. Morrill, 
    984 F.2d 1136
    (1993)). The Sixth Circuit's rule is
    itself derived from a similar requirement in the Eleventh Circuit.
    See 
    Jones, 899 F.2d at 1102
    (instructing district courts "to elicit
    fully articulated objections, following imposition of sentence, to
    the court's ultimate findings of fact and conclusions of law"); 
    id. at 1102-03
    (stating that "[c]lear articulation" from defense
    counsel will "tell the appellate court precisely which objections
    have been preserved and which have been waived, and enable the
    appellate court to apply the proper standard of review to those
    preserved").
    The value of such a rule is illustrated by this case, where
    the requirement would have avoided, or at least minimized, the
    confusing jumble of standards deemed applicable by the majority:
    -19-
    Moreover, even if plain error review applies, Cortés-
    Medina would satisfy its requirements.10     As I explain below, a
    sentencing judge may not properly rely on dismissed and acquitted
    charges to increase a defendant's sentence without determining, by
    a preponderance of the evidence, that the charges reflect culpable
    conduct.   Absent record support for treating the unproven charges
    as sufficiently well founded to meet that modest standard, a
    court's use of them to justify a higher sentence is error that must
    be characterized as plain.11   Here, the district court invoked such
    charges when selecting the high end of the applicable Guidelines
    range, despite the Probation Office's inability to explain the
    underlying conduct or give reasons for the dismissals.    The error
    (1) plain error for the claim that the district court improperly
    considered acquitted and dismissed charges; (2) abuse of discretion
    for the claim that the court failed to adequately consider the
    factors set forth in 18 U.S.C. § 3553(a); (3) plain error for the
    claim that the court failed to provide an adequate explanation of
    the chosen term of imprisonment; and (4) an uncertain standard of
    review for the defendant's challenge to the substantive
    reasonableness of his sentence (leading the majority to apply abuse
    of discretion).
    10
    The four elements of the plain error test are: (1) an error
    that was (2) clear or obvious, which both (3) affected the
    defendant's substantial rights and (4) "seriously impaired the
    fairness, integrity, or public reputation of judicial proceedings."
    United States v. Ramos-González, 
    775 F.3d 483
    , 499 (1st Cir. 2015)
    (quoting United States v. Ramos-Mejía, 
    721 F.3d 12
    , 14 (1st Cir.
    2013)).
    11
    The majority asserts that "it defies reason" to conclude
    that there was a clear or obvious error here. That assertion is
    belied, however, by well-established Supreme Court and First
    Circuit precedent, described below, precluding reliance on a bare
    arrest record.
    -20-
    was thus manifestly prejudicial. As for the miscarriage-of-justice
    prong, we previously have recognized that "the difference in
    potential jail time would be a concern in any balance."             United
    States   v. Ramos-González, 
    775 F.3d 483
    , 507 (1st Cir. 2015)
    (quoting United States v. Torres-Rosario, 
    658 F.3d 110
    , 117 (1st
    Cir. 2011)).
    Accordingly, under either standard of review, Cortés-
    Medina prevails on his claim of procedural error.
    II. The Standard of Reliability
    This should be an easy case for concluding that a remand
    is necessary because, as the majority acknowledges, the Probation
    Office   was    unable   to   obtain   information   about   the   conduct
    underlying the unproven or acquitted charges reported in Cortés-
    Medina's PSR.    The district court thus had no evidence that those
    charges in fact reflected criminal behavior.            As the majority
    reports, the court nonetheless chose a sentence based, in part, on
    Cortés-Medina's "pattern of arrests and persistent lack of follow-
    up with respect to the charges that were initially preferred
    against him."     My colleagues have no problem with that rationale,
    quoting language from one of our precedents stating that a record
    of arrests or dismissed charges "may indicate 'a pattern of
    unlawful behavior even in the absence of convictions.'"             United
    States   v. Flores-Machicote, 
    706 F.3d 16
    , 21 (1st Cir. 2013)
    (quoting United States v. Lozada-Aponte, 
    689 F.3d 791
    , 792 (1st
    -21-
    Cir. 2012)).     They maintain that, because Cortés-Medina has not
    contested his arrest record, "[t]he arrest record was . . . a
    proven   fact,   and   thus   properly    before   the    district   court."
    (Citation omitted.)
    I agree with the general proposition that past criminal
    acts that did not result in conviction may be given weight in
    sentencing determinations if the available proof of those criminal
    acts meets some standard of reliability.           I do not understand my
    colleagues to disagree with that proposition.            Nevertheless, when
    the defendant's criminal history contains a series of dismissed or
    acquitted charges, my colleagues hold that a district court may
    accord that pattern of alleged criminal activity probative weight
    based solely on the arrests, even if the court has no facts
    substantiating the conduct underlying the alleged charges.
    The majority is wrong.         Sentencing based on unexamined
    allegations of criminal behavior is not permitted by our own or
    Supreme Court precedent. In articulating their view, my colleagues
    summarily dismiss as inapposite the Supreme Court's decision in
    United States v. Watts, 
    519 U.S. 148
    (1997) (per curiam).             There,
    the Court held that a sentencing court may consider acquitted
    conduct to impose an offense-level enhancement as long as that
    conduct is proven by a preponderance of the evidence.           
    Id. at 157.
    The   majority   insists   that   Watts    is   inapplicable   because   the
    district court in this case relied on Cortés-Medina's pattern of
    -22-
    dismissed or acquitted charges, not his conduct.          And, they say,
    because Cortés-Medina's record of past charges was "a proven fact,"
    no error occurred.12
    This attempt to distinguish Watts is misguided. A series
    of arrests or past charges is inseparable from the underlying
    conduct.    Watts refers to the defendant's conduct because that is
    the pertinent information in assessing whether the defendant's past
    criminal activity is understated by reference to his convictions
    alone.     The relevant question cannot be whether the defendant's
    non-conviction arrests and prosecutions are reported accurately --
    in all likelihood, the PSR will contain an accurate record of
    detentions and charges -- but whether the defendant in fact
    committed    the   listed   offenses   notwithstanding   the   absence   of
    convictions for those crimes. Indeed, the defendant's conduct must
    be the focus because, where the charges initially filed against him
    did not bear fruit, they do not demonstrate culpability.                 A
    sentencing court cannot simply presume that the lack of convictions
    is attributable to flawed or lax prosecutorial or judicial systems
    rather than the defendant's innocence.        Sometimes, systemic flaws
    lead to arrests without justification.           See United States v.
    Zapete-Garcia, 
    447 F.3d 57
    , 61 (1st Cir. 2006) (noting that "arrest
    12
    The majority frames its holding as an absence of plain
    error, but its reasoning rejects any error at all.
    -23-
    'happens to the innocent as well as the guilty'" (quoting Michelson
    v. United States, 
    335 U.S. 469
    , 482 (1948))).
    The next question, then, is what standard of reliability
    applies    to    the   inquiry    into    the   conduct   underlying   unproven
    charges.    As I explain below, the answer is unequivocally provided
    by both Supreme Court and First Circuit caselaw.
    A. The Teaching of Watts
    The Supreme Court's decision in Watts confirms that a
    sentencing court may not give weight to unproven crimes -- whether
    uncharged, dismissed, or acquitted -- unless the court finds by at
    least a preponderance of the evidence that the conduct underlying
    those charges occurred.          In Watts, the Court rejected an argument
    that principles of due process foreclose reliance on acquitted
    conduct to calculate the Guidelines range, stating that "a jury's
    verdict of acquittal does not prevent the sentencing court from
    considering conduct underlying the acquitted charge, so long as
    that conduct has been proved by a preponderance of the 
    evidence." 519 U.S. at 157
    (emphasis added). By including this qualification,
    the Court reaffirmed its prior holding that "application of the
    preponderance      standard      at   sentencing   generally   satisfies   due
    process."       
    Id. at 156
    (citing McMillan v. Pennsylvania, 
    477 U.S. 79
    , 91-92 (1986)).
    Although the focus in Watts was on the use of acquitted
    conduct to set the Guidelines range, the Court did not suggest that
    -24-
    a   standard      less   demanding    than    preponderance-of-the-evidence
    applies to the use of acquitted conduct -- or any other unproven
    criminal activity -- in choosing a sentence within the range.13
    To the contrary, multiple statements in the Watts opinions reflect
    an assumption that any facts used in sentencing -- pertaining to
    allegations of past criminal conduct, or otherwise -- must be
    proven by a preponderance of the evidence or an even higher
    standard of reliability.       First, the Court quotes commentary from
    Guidelines § 6A1.3 stating that "it is 'appropriate' that facts
    relevant     to   sentencing   be    proved   by   a   preponderance   of   the
    
    evidence," 519 U.S. at 156
    , and the majority goes on to make the
    observation quoted above linking the preponderance standard with
    the requirements of due process.           Id.14   In addition, as described
    13
    Notably, the issue debated by the majority and dissent in
    Watts was not whether a lesser standard should apply, but whether
    acquitted conduct should be a factor at all in calculating the
    Guidelines range. In his dissent, Justice Stevens conceded that
    the Guidelines permit the use of acquitted conduct in selecting the
    particular sentence within a range, but argued that acquitted
    conduct should be entirely excluded from consideration in setting
    the range. 
    See 519 U.S. at 162
    , 166 (Stevens, J., dissenting).
    14
    Section 6A1.3(a) of the Guidelines states, in part:
    In resolving any dispute concerning a factor
    important to the sentencing determination, the
    court may consider relevant information
    without regard to its admissibility under the
    rules of evidence applicable at trial,
    provided that the information has sufficient
    indicia of reliability to support its probable
    accuracy.
    The   commentary     invoked   by    the   Court   states:   "The   Commission
    -25-
    above, the Court framed its holding in Watts broadly, without any
    suggestion that the preponderance standard applies only for the
    purpose of selecting the Guidelines range: a sentencing court is
    permitted,   in   general,   to   consider    "conduct    underlying    the
    acquitted charge, so long as that conduct has been proved by a
    preponderance of the evidence."       
    Id. at 157.
    Second, Justice Scalia points out that the preponderance of
    the evidence standard -- the measure of reliability the Court has
    endorsed for other sentencing facts -- is also consistent with due
    process for conduct underlying an acquittal.             He asserts that
    neither the Sentencing Commission nor the courts may entirely
    exclude from the sentencing calculus "information which would
    otherwise justify enhancement of sentence or upward departure," or
    impose    "some   higher   standard   of    probative    worth   than   the
    Constitution and laws require," simply because that information
    "pertains to acquitted conduct."           See 
    id. at 158
    (Scalia, J.,
    concurring).15
    Third, and consistently, the Watts Court acknowledged the
    possibility that, in some circumstances, the more demanding clear-
    believes that use of a preponderance of the evidence standard is
    appropriate to meet due process requirements and policy concerns in
    resolving disputes regarding application of the guidelines to the
    facts of a case." 
    See 519 U.S. at 156
    (citing § 6A1.3 cmt.).
    15
    Although Justice Scalia does not refer expressly to the
    preponderance standard, he implicitly accepts the lead opinion's
    affirmation of McMillan and the Court's long-held view that
    preponderance of the evidence is the constitutional baseline.
    -26-
    and-convincing evidence standard might be appropriate. 
    Id. at 156
    -
    57. In a lengthy footnote citing cases reflecting "a divergence of
    opinion among the Circuits," 
    id. at 156,
    the Court quotes an Eighth
    Circuit case characterizing the Supreme Court's McMillan decision
    as approving the preponderance standard only "'for garden variety
    sentencing determinations,'" 
    id. at 156
    n.2 (quoting United States
    v. Townley, 
    929 F.2d 365
    , 369 (8th Cir. 1991)).    In other words,
    the Court in Watts considered the possibility that, at times, an
    assessment more reliable than the preponderance standard might be
    applicable to sentencing facts. Neither the Court nor the circuits
    it quoted in Watts contemplated the possibility of proof less
    reliable than preponderance of the evidence.   This view that Watts
    reaffirms preponderance of the evidence as the minimum standard of
    reliability is also reflected in academic literature.   See, e.g.,
    Claire McKusker Murray, Hard Cases Make Good Law: The Intellectual
    History of Prior Acquittal Sentencing, 84 St. John's L. Rev. 1415,
    1468 (2010) ("Under Watts, prior acquittal sentencing is permitted
    but not mandated, and a hard floor of reliability is established in
    the form of the requirement that prior acquitted conduct be proved
    to a preponderance of the evidence.").
    B. First Circuit Law
    The   preponderance-of-the-evidence     baseline    for
    considering sentencing facts is also well established in our
    circuit.    Indeed, we have applied the standard in this very
    -27-
    context, i.e., to the choice of sentence within the Guidelines
    range where the court sought to rely on unproven criminal conduct.
    See United States v. Lombard, 
    102 F.3d 1
    , 4 (1st Cir. 1996) ("[T]he
    district court may . . . choose to give weight to the uncharged
    offenses in fixing the sentence within the statutory range if it
    finds by a preponderance of evidence that they occurred . . . .");
    see also United States v. Munyenyezi, 
    781 F.3d 532
    , 544 (1st Cir.
    2015) ("[A] judge can find facts for sentencing purposes by a
    preponderance of the evidence, so long as those facts do not affect
    either the statutory minimum or the statutory maximum . . . ."
    (citations omitted)); United States v. Fermin, 
    771 F.3d 71
    , 82 (1st
    Cir. 2014) ("While the jury must, of course, find facts beyond a
    reasonable doubt, a preponderance-of-the-evidence standard applies
    to the sentencing court's factual findings."); United States v.
    Gobbi, 
    471 F.3d 302
    , 314 (1st Cir. 2006) (stating that "acquitted
    conduct, if proved by a preponderance of the evidence, still may
    form the basis for a sentencing enhancement").
    I recognize that, although this standard of reliability
    is   well   established,   we   have    not   always   used   the   words
    "preponderance of the evidence" when considering a district court's
    reliance on charges that did not lead to conviction.          See, e.g.,
    Flores-Machicote, 
    706 F.3d 16
    ; 
    Lozada-Aponte, 689 F.3d at 792
    ;
    
    Zapete-Garcia, 447 F.3d at 61
    .     Nonetheless, we have applied that
    standard even when we have not referred to it by "name," routinely
    -28-
    scrutinizing the facts underlying the unproven criminal charges to
    ensure the necessary degree of reliability.             See, e.g., United
    States v. Hinkley, 
    803 F.3d 85
    , 93 (1st Cir. 2015) (upholding
    court's reliance on reports of inappropriate sexual contact with
    minors where district court "found that it was reasonable to rely
    on the experience of the detective who prepared the police reports"
    and where "certain details reported by [a victim] made the reports
    'almost self-authenticating'"); United States v. Díaz-Arroyo, 
    797 F.3d 125
    , 127, 130 n.3 (1st Cir. 2015) (noting prosecutor's
    explanation that charges for murder and attempted murder were
    dropped "only after the sole surviving witness to the incident (a
    minor who was able positively to identify the defendant as the
    shooter) was threatened and fled the jurisdiction," and that
    defense   counsel   "did   not   directly   challenge   the   prosecutor's
    account of the circumstances surrounding the dismissal of the
    charges"); 
    Flores-Machicote, 706 F.3d at 21
    (noting that the
    district court "went to considerable lengths to walk through the
    defendant's prior interactions with the law . . . [and] explained,
    in some detail, why [it] believed the outcome of these interactions
    underrepresented the seriousness of the defendant's past criminal
    conduct"); United States v. Gallardo-Ortiz, 
    666 F.3d 808
    , 814-15
    (1st Cir. 2012) (noting that the district court took into account,
    inter alia, that numerous charges were dismissed on speedy trial
    grounds   (i.e.,    not    the   merits),   and   rejecting    defendant's
    -29-
    contention that the court relied on "the dismissed charges when
    concluding that he displayed a violent character"); United States
    v. Tabares, 
    951 F.2d 405
    , 411 (1st Cir. 1991) (noting that some
    charges were dismissed "not because of any finding on the merits of
    the case," but because the defendant was deported, and that
    defendant did not "deny the facts, as set forth in the presentence
    report, upon which these charges rested").
    C. Applying the Standard
    Despite the precedent described above, my colleagues
    accept a bare list of past arrests and charges as sufficiently
    reliable evidence that the defendant did, in fact, commit the
    crimes for which he was charged but not convicted.        They claim that
    ample precedent in our circuit recognizes that a series of arrests
    -- as distinguished from a single arrest -- "might legitimately
    suggest a pattern of unlawful behavior even in the absence of any
    convictions."     
    Lozada-Aponte, 689 F.3d at 792
    (quoting Zapete-
    
    Garcia, 447 F.3d at 61
    ). They assert that Cortés-Medina's "pattern
    of arrests" and the "lack of follow-up" with respect to the charges
    filed   against   him   "speak   directly   to   the   character   of   the
    individual, the risk of recidivism, and the need to protect the
    public from future crimes."
    Yet, even where a defendant's record contains a multitude
    of allegations of criminal conduct, the district court -- and we in
    turn -- must be certain that a preponderance of the evidence
    -30-
    supports a conclusion that the allegations have merit.                            See
    
    Gallardo-Ortiz, 666 F.3d at 815
        ("We   have    cautioned   against
    district    courts    relying      on    mere    arrests   as    indicative    of    a
    defendant's character to justify an upward departure from the GSR
    since a criminal charge alone does not equate with criminal guilt
    of the charged conduct."); 
    Zapete-Garcia, 447 F.3d at 61
    (noting a
    guideline    policy     statement       that     "highlight[s]     the   important
    distinction between direct evidence of past criminal behavior and
    mere   arrests   that      may   or     may   not   have   been    the   result     of
    wrongdoing").    Here, the district court had no evidence concerning
    the conduct underlying the various charges against Cortés-Medina
    that ultimately were dismissed or resulted in acquittal.                      At the
    sentencing hearing, after listing those charges and noting the
    absence of explanation for the dismissals, the district court
    merely voiced its "firm belie[f] that lightning doesn't strike
    twice in the same place."
    Presumably, the court meant to offer a different metaphor
    -- "where there's smoke, there's fire" -- to say that the unproven
    charges had substance because Cortés-Medina had other, similar
    criminal convictions and also admitted participating in the drug
    conspiracy    charged      in    this    case.      When   additional     years     of
    incarceration are in the balance, however, due process requires
    more than metaphors.        The fire that the district court infers --
    -31-
    past criminal conduct -- must be based on a preponderance of the
    evidence.
    The cases cited by the majority to support the use of a
    series of arrests as a proxy for culpability do not hold otherwise.
    As   described   above,     the   panel   in   Flores-Machicote      noted    the
    district court's careful examination of the defendant's prior
    interactions with the 
    law. 706 F.3d at 21
    .     In Zapete-Garcia, the
    panel rejected reliance on a single arrest that occurred more than
    a decade 
    earlier. 447 F.3d at 60-61
    .        In the remaining two cases,
    where the court gave cursory attention to the district court's
    reliance on a series of past arrests, it is nonetheless evident
    that the district courts had been presented with facts about the
    underlying conduct.       See United States v. Ocasio-Cancel, 
    727 F.3d 85
    , 91-92 (1st Cir. 2013) (indicating that the defendant's PSR
    contained detail on the events giving rise to the dismissed charges
    and noting that the defendant did not object to "any aspect" of the
    discussion); 
    Lozada-Aponte, 689 F.3d at 792
    (referring to "Lozada's
    frequent run-ins with law enforcement in Florida, Illinois, and
    Puerto Rico, some of which apparently involved firearms").                   I do
    not dispute that the district court may rely on a PSR's depiction
    of   the   circumstances     that   led   to   the   dismissed      charges    as
    sufficiently     reliable    evidence     of   the   conduct   to    meet     the
    preponderance of the evidence standard, particularly in the absence
    of any objection.
    -32-
    No such evidentiary support exists here. Cortés-Medina's
    PSR contains an unelaborated list of his dismissed and acquitted
    charges,   with   notations    stating     that    "Court     documents   were
    requested but have not been received." The PSR states that some of
    the charges were dismissed for lack of probable cause, while others
    are simply described as "dismissed."              The district court thus
    relied improperly on those charges to sentence Cortés-Medina to a
    longer term of imprisonment than it otherwise would have imposed.
    III. Conclusion
    A district court may not rely on a defendant's unproven
    past criminal activity to increase his sentence for a later crime
    unless the court determines, by a preponderance of the evidence,
    the prior criminal conduct in fact occurred.                This requirement
    applies equally to a single instance of prior criminal activity and
    to a series of alleged crimes.        Invocation of a pattern does not
    eliminate the need to examine each unproven criminal charge under
    the preponderance of the evidence standard.
    In this case, the majority concedes that no factual
    support was offered to substantiate the charges on which the
    district court relied.    The Probation Office has also acknowledged
    that it tried, but failed, to obtain the supporting information.
    Hence, on this record, defendant Cortés-Medina is entitled to
    resentencing   without   reliance    on    the    dismissed    and   acquitted
    -33-
    charges.   I therefore respectfully dissent from my colleagues'
    conclusion to the contrary.
    -34-