United States v. Holmquist ( 1994 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT

    _________________________

    No. 93-1529

    UNITED STATES OF AMERICA,

    Appellee,

    v.

    STEPHEN A. HOLMQUIST,

    Defendant, Appellant.

    _________________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Robert E. Keeton, U.S. District Judge]
    ___________________

    _________________________

    Before

    Selya and Boudin, Circuit Judges,
    ______________

    and Carter,* District Judge.
    ______________

    _________________________

    John H. LaChance, with whom Milly Whatley and LaChance &
    _________________ ______________ __________
    Whatley were on brief, for appellant.
    _______
    Robert L. Ullman, Assistant United States Attorney, with
    _________________
    whom Donald K. Stern, United States Attorney, was on brief, for
    _______________
    the United States.

    _________________________

    September 28, 1994

    _________________________

    ____________
    *Of the District of Maine, sitting by designation.



















    SELYA, Circuit Judge. Defendant-appellant Stephen A.
    SELYA, Circuit Judge.
    _____________

    Holmquist appeals his convictions on six counts of importing

    firearms by means of false statements in violation of 18 U.S.C.

    542 and three counts of exporting restricted firearms in

    violation of 22 U.S.C. 2778. Holmquist's case has a certain

    labyrinthine quality. Having successfully negotiated the maze,

    however, we find appellant's claims to be without legal merit

    and, therefore, affirm the judgment below.

    I. BACKGROUND
    I. BACKGROUND

    Appellant, a resident of Massachusetts, owned and

    operated ARMCO, a firm engaged in the retail sale of firearms.

    Apparently not content with the domestic market, and believing

    his entrepreneurial skills to be of sufficient caliber, appellant

    set his sights on the international scene. Between 1989 and

    1991, he conducted several business transactions with individuals

    in the People's Republic of China. Since these transactions

    triggered the indictment in this case, we offer an overview of

    them. Where appropriate, we resolve evidentiary conflicts, and

    indulge reasonable inferences, in a manner compatible with the

    jury verdict. See, e.g., United States v. Maraj, 947 F.2d 520,
    ___ ____ _____________ _____

    522-23 (1st Cir. 1991).

    In May of 1989, the U.S. State Department granted

    appellant's request for a license to export handguns to the

    People's Republic of China. However, following the tragic events

    that rocked Tiananmen Square in June of that year, the State

    Department declared that most firearms no longer could be


    2














    exported to China. At the same time, the Department revoked or

    suspended all existing export licenses (including appellant's)

    and declared a moratorium on the issuance of new licenses. When

    appellant thereafter sought just such a license, the State

    Department sent back his application, unapproved and stamped

    "returned without action." Appellant did not reapply.

    Despite the lack of a license or other formal

    authorization, appellant thrice smuggled restricted firearms to

    China between October 1989 and July 1990. He carried the

    weaponry on commercial flights out of Boston, nestled in his

    suitcases amidst other, more orthodox travel items. After

    arriving in China, appellant delivered the guns to either Mr. Ha,

    a high-ranking government official,1 or Andrew Wong, a business

    executive. Based on the evidence anent these transactions, the

    jury convicted appellant on three counts of unlawful exportation.

    China also served appellant as a source for importing

    firearms and ammunition into the United States. These

    importations, though not in themselves unlawful, ultimately

    became so when accompanied by appellant's apocryphal statements

    concerning the value of his wares. On six different occasions

    during 1990 and 1991, appellant undervalued imports, presumably

    to reduce the duty due. The prosecution was able to adduce

    virtually irrefutable proof of this duplicity: dual sets of

    ____________________

    1Carrying the adversarial ethic to an extreme, the parties
    are unable to agree on the spelling of Mr. Ha's first name; the
    government spells it Solomon while appellant spells it Soloman.
    We attempt a Solomonic resolution of the appellative appellate
    contretemps, eschewing any textual reference to Ha's given name.

    3














    invoices, one containing the price disclosed to Customs and the

    other containing the actual, higher price that appellant in fact

    had paid. Based on this well-documented pattern of deceit, the

    jury convicted appellant on six counts of entering goods by means

    of false statements.

    II. THE IMPORT CHARGES
    II. THE IMPORT CHARGES

    Taking matters in reverse chronological order, we turn

    first to an examination of the import charges. These counts

    arise under a criminal statute that provides in pertinent part:

    Whoever enters or introduces, or attempts to
    enter or introduce, into the commerce of the
    United States any imported merchandise by
    __
    means of any fraudulent or false invoice,
    _________
    declaration, affidavit, letter, paper, or by
    __
    means of any false statement, written or
    _________
    verbal, or by means of any false or
    ______________
    fraudulent practice or appliance, or makes
    any false statement in any declaration
    without reasonable cause to believe the truth
    of such statement, or procures the making of
    any such false statement as to any matter
    material thereto without reasonable cause to
    believe the truth of such statement, whether
    or not the United States shall or may be
    deprived of any lawful duties . . . [s]hall
    be [punished as provided].

    18 U.S.C. 542 (emphasis supplied).2

    Appellant does not deny that he knowingly made false

    statements to Customs officials, thereby undervaluing his

    imports. Nonetheless, he contends that such statements do not

    ____________________

    2Complementing this first provision is a second, covering
    deceptive importations that are designed to deprive the
    government of duties. Although the prosecution in this case may
    have missed the bull's-eye by charging appellant under the first,
    rather than the second, of section 542's provisions, the
    government is bound by its charging decision. Consequently, the
    proviso we have quoted governs here.

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    fall within the scope of the statute of conviction because the

    phrase "by means of" indicates that no violation occurs unless

    the merchandise, absent the false invoice, statement, or

    practice, would have been excludable. And he says this was not

    the case regarding the Chinese munitions, as their importation

    was lawful. The government, by contrast, puts no stock in a

    causation requirement, dismissing appellant's argument as

    involving too cramped a reading of the statutory language.

    Because the parties' dispute boils down to a pure question of

    statutory interpretation, our review is plenary. See United
    ___ ______

    States v. Gifford, 17 F.3d 462, 471-72 (1st Cir. 1994); Liberty
    ______ _______ _______

    Mut. Ins. Co. v. Commercial Union Ins. Co., 978 F.2d 750, 757
    ______________ __________________________

    (1st Cir. 1992).

    Whatever shadows cloud this record, one thing is very

    clear: even though no materiality requirement appears on the

    statute's face, section 542's first provision must be read to

    contain such a requirement; to justify a conviction, the

    prosecution must demonstrate that the false invoice, statement,

    or practice is related to the importation in some material

    respect. This is the construction recognized by virtually every

    court that has directly addressed the issue. See, e.g., United
    ___ ____ ______

    States v. Corcuera-Valor, 910 F.2d 198, 199 (5th Cir. 1990);
    ______ ______________

    United States v. Bagnall, 907 F.2d 432, 435 (3d Cir. 1990);
    ______________ _______

    United States v. Teraoka, 669 F.2d 577, 579 (9th Cir. 1982). It
    _____________ _______

    also comports with our construction of the parallel civil

    statute, 19 U.S.C. 1592, explicated in United States v. Ven-
    ______________ ____


    5














    Fuel, Inc., 758 F.2d 741, 761-62 (1st Cir. 1985). We hasten to
    ___________

    add that the inclusion of a materiality component is warranted by

    more than habit; such a requirement is pragmatically desirable

    because it permits courts to advance the statute's apparent

    purposes and, if necessary, to exclude trivial lapses from the

    statute's ambit. Cf., e.g., United States v. Corsino, 812 F.2d
    ___ ____ _____________ _______

    26, 30 (1st Cir. 1987) (explaining materiality requirement under

    18 U.S.C. 1001, which prohibits, among other things, the

    submission of false statements in matters within the jurisdiction

    of any federal agency).

    Yet, our recognition of a materiality requirement does

    not solve the interpretive riddle that this appeal presents; it

    is the nature of the materiality requirement not its mere

    existence over which the parties grapple. Appellant invites us

    to hold that materiality in this context is contingent on a

    crabbed construction of the term "by means of." Specifically, he

    argues that "by means of" is synonymous with "because of," and

    that a false statement is material under the first part of

    section 542 only if the importation of any particular item would

    have been forbidden in its absence. We decline the invitation.

    In discerning the meaning of this portion of section

    542, "[w]e start as all statutory construction must start by

    looking at the language of the law," United States v. Charles
    ______________ _______

    George Trucking Co., 823 F.2d 685, 688 (1st Cir. 1987), and by
    ___________________

    examining the "ordinary, contemporary, common meaning" of the

    words, Perrin v. United States, 444 U.S. 37, 42 (1979). Bearing
    ______ _____________


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    this in mind, we are constrained to conclude that the phrase "by

    means of" is not synonymous with "because of"; while the former

    includes the latter, that hardly renders them coterminous.

    Rather, understood in an unforced way, saying that someone has

    effected an importation by means of a false statement is simply

    to suggest that the person has introduced a false statement at

    some significant stage in the process. The phrase does not mean

    that the person could not have used a true statement in tandem

    with the false statement, or that the importation could not

    otherwise have been achieved. See, e.g., Webster's New Universal
    ___ ____ _______________________

    Unabridged Dictionary 1115 (2d ed. 1983) (defining "by means of"
    _____________________

    as "by using; with the aid of; through"); Richard A. Spears,

    American Idioms Dictionary 43 (1987) (defining "by means of
    ____________________________

    something" as "using something" or "with the use of something").

    There is no basis for rejecting plain meaning here.

    Indeed, contrary to appellant's importuning, the principal

    problem with the "by means of" language is not ambiguity its

    meaning is obvious but, rather, the language's potential

    breadth. It is because of this problem that courts have read a

    materiality requirement into this portion of section 542. This

    requirement is intended to flesh out, not to eviscerate, the "by

    means of" language as that phrase resonates in the context of

    section 542. So viewed, it brings to the textual surface the

    commonsense notion that, to ground a conviction, there must be a

    significant nexus between the false statement and the

    importation.


    7














    We hold, therefore, in basic agreement with the Third

    Circuit, that a false statement is material under section 542 if

    it has the potential significantly to affect the integrity or

    operation of the importation process as a whole, and that neither

    actual causation nor actual harm to the government need be

    demonstrated. See Bagnall, 907 F.2d at 436 ("The language of
    ___ _______

    542 suggests to us that its purpose is no less than to preserve

    the integrity of the process by which foreign goods are imported

    into the United States. As a result, we are inclined to believe

    that a false statement is material not only if it is calculated

    to effect the impermissible introduction of ineligible or

    restricted goods, but also if it affects or facilitates the

    importation process in any other way."); see also Corsino, 812
    ___ ____ _______

    F.2d at 30-31 (drawing similar conclusion in relation to the

    judicially devised materiality requirement of 18 U.S.C. 1001);

    United States v. Greenberg, 735 F.2d 29, 31 (2d Cir. 1984)
    ______________ _________

    (suggesting, in construing an analogous statute, that when "a

    false statement is made to a public body or its representative,

    materiality refers to the impact that the statement may

    reasonably have on the ability of that agency to perform the

    functions assigned to it by law").

    It is thus apparent that the focus of an inquiry into

    materiality is not what effect a false statement actually may

    have, but whether it carries a serious potential risk for

    obstructing the agency or substantially inhibiting the agency's

    performance of its duties under the law. Transplanted to the


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    Customs milieu, a statement is material if it has the potential

    significantly to affect the integrity or operation of the

    importation process the manner in which Customs handles the

    assessment of duties and passage of goods into the United States.

    Having distilled the plain meaning of the disputed

    phrase, we could end our inquiry at this point. See, e.g.,
    ___ ____

    Charles George Trucking, 823 F.2d at 688 (explaining that, when
    _______________________

    the language of a statute "points unerringly in a single

    direction, and produces an entirely plausible result, it is

    unnecessary and improper to look for other signposts"). But,

    here, to reinforce our conclusion that "material" means something

    more than "causal," we think it is appropriate to note that this

    conclusion is supported not only by the plain language of section

    542, but also in three other ways: by the better reasoned case

    law, by the adverse textual consequences that would result from

    adopting appellant's proposed definition, and by the policy

    underlying the statutory provision. See, e.g., United States v.
    ___ ____ _____________

    O'Neil, 11 F.3d 292, 295-301 (1st Cir. 1993) (beginning
    ______

    interpretive analysis with plain language of statute and

    verifying construction by reference to statutory structure,

    logic, and public policy).

    An examination of precedent reveals that we already

    have rejected a narrow, causally oriented reading of the

    materiality requirement found in the civil analog to section 542.

    See Ven-Fuel, 758 F.2d at 762 (branding such a construction of 19
    ___ ________

    U.S.C. 1592 "entirely baseless" and predicting that "[s]uch a


    9














    restrictive reading would largely eviscerate the statute,

    rendering it meaningless in the vast majority of cases").3 Our

    view of section 542's materiality requirement is also consonant

    with the reasoning and/or resolution of several cases from other

    jurisdictions. See, e.g., Bagnall, 907 F.2d at 436; United
    ___ ____ _______ ______

    States v. Brown, 456 F.2d 293, 295 (2d Cir.), cert. denied, 407
    ______ _____ _____ ______

    U.S. 910 (1972); United States v. Szwaczka, 769 F. Supp. 293, 296
    _____________ ________

    (E.D. Wis. 1991); see also United States v. Yip, 930 F.2d 142,
    ___ ____ ______________ ___

    147-49 (2d Cir.) (construing the second provision of section 542

    in an equally broad manner), cert. denied, 112 S. Ct. 197
    _____ ______

    (1991).4

    A broad construction of section 542 is also supported

    by accepted canons of statutory construction. If the first

    provision in section 542 is construed as applying only to

    ineligible imports, then the final sentence of the section,

    discussing the legal irrelevance of depriving the government "of

    any lawful duties," would be meaningless (for nonimportable items

    are not dutiable, and hence, the government could never be

    deprived). Accordingly, such a construction would transgress the

    ____________________

    3Indeed, although the precise issue was not before us, we
    commented favorably upon our perception that "under 18 U.S.C.
    542, criminal convictions have regularly been sustained where
    generically importable goods had been entered by trick or
    artifice." Ven-Fuel, 758 F.2d at 762 (citing United States v.
    ________ _____________
    Murray, 621 F.2d 1163 (1st Cir.), cert. denied, 449 U.S. 837
    ______ _____ ______
    (1980); United States v. Brown, 456 F.2d 293 (2d Cir.), cert.
    _____________ _____ _____
    denied, 407 U.S. 910 (1972)).
    ______

    4To be sure, two courts of appeals, the Fifth and the Ninth,
    have reached the opposite conclusion. See Corcuera-Valor, 910
    ___ ______________
    F.2d at 199-200; Teraoka, 669 F.2d at 579. With respect, we find
    _______
    these opinions unpersuasive and we decline to follow them.

    10














    oft-stated interpretive rule that "[a]ll words and provisions of

    statutes are intended to have meaning and are to be given effect,

    and no construction should be adopted which would render

    statutory words or phrases meaningless, redundant or

    superfluous." Ven-Fuel, 758 F.2d at 751-52; accord O'Neil, 11
    ________ ______ ______

    F.3d at 297.

    Finally, a statute must be read as a whole, with due

    regard for its object, purposes, and underlying policy. See
    ___

    Pilot Life Ins. Co. v. Dedeaux, 481 U.S. 41, 51 (1987). Here, a
    ___________________ _______

    broad reading of the disputed language serves to advance the

    fundamental purpose of the first part of section 542. That

    purpose, as evidenced by Congress's choice of phrase

    particularly the caveat that the government need not "be deprived

    of any lawful duties" is to ensure full disclosure in

    importation and thereby maintain the integrity of the importation

    process as a whole. See Bagnall, 907 F.2d at 436. Adopting an
    ___ _______

    isthmian standard would thwart this goal by making it more

    attractive for importers to assume the persona of Holmes's "bad

    man" and to practice strategic forms of deception under the guise

    of immateriality. See Oliver Wendell Holmes, Jr., The Path of
    ___ ___________

    the Law, 10 Harv. L. Rev. 457, 459 (1897) ("If you want to know
    _______

    the law and nothing else, you must look at it as a bad man, who

    cares only for the material consequences which such knowledge

    enables him to predict . . . .").

    To recapitulate, we hold that materiality is, in fact,

    an element of the offense of conviction. This element serves to


    11














    explain, not to emasculate, the "by means of" language contained

    in the first part of the statute. Particularly when viewed

    against this backdrop, appellant's proposed equation of "by means

    of" with "because of" betrays both common meaning and common

    sense. By limiting the scope of section 542's first provision to

    ineligible items, such an interpretation would effectively

    convert the provision into an inoperative piece of parchment.

    Accordingly, we reject appellant's narrow construction, and rule

    that, in this context, "material" means having the potential

    significantly to affect the integrity or operation of the

    importation process as a whole, without regard to whether the

    conduct at issue caused the importation and without regard to

    whether the federal government suffered actual harm.

    Appellant's false statements had this deleterious

    potential. Undervaluations are by their nature materially

    related to the importation process, both because they may

    interfere with the government's efforts to monitor and regulate

    the flow of goods into the United States and because they

    undermine the integrity of the entire importation process.

    Consequently, appellant's convictions under section 542 must be

    upheld.5

    III. THE EXCLUDED EVIDENCE
    III. THE EXCLUDED EVIDENCE

    We turn now to appellant's assertion that his


    ____________________

    5Appellant also assigns error to the district court's jury
    instructions on the importation counts. This assignment of error
    is constructed around the same misinterpretation of section 542's
    materiality requirement. It, therefore, fails.

    12














    convictions under the Arms Export Control Act, 22 U.S.C. 2778,

    are tainted because the trial court excluded evidence evidence

    that we sometimes shall call "contacts evidence" that would

    have established a defense of apparent public authority6 and/or

    negated the element of specific intent. For the reasons

    explained below, we find this assertion unavailing.

    A. Proceedings Below.
    A. Proceedings Below.
    _________________

    Because the precise course of proceedings before and

    during the trial is critical to the resolution of appellant's

    challenge, we rehearse the pertinent details. Between April 27

    and May 6, 1992, appellant served subpoenas duces tecum on three
    _____ _____

    persons an agent of the Naval Intelligence Service, the keeper

    of records at the National Security Agency, and a business

    associate (whom we shall call "John Doe") who had accompanied

    appellant on his excursions to China proposing to ensure their

    availability as witnesses at his trial. Appellant alleged that

    Doe (who, he said, was in the employ of a federal intelligence

    agency) had authorized the arms exports.7 It was appellant's

    ____________________

    6The "defense" of apparent public authority is a defense
    based on a mistaken but good-faith belief that one's conduct is
    authorized by the government. Appellant's repeated references to
    this defense constitute little more than a school of red
    herrings. The defense is not a defense at all. See United
    ___ ______
    States v. Duggan, 743 F.2d 59, 83-84 (2d Cir. 1984) (rejecting
    ______ ______
    such a defense in a prosecution under 22 U.S.C. 2778); United
    ______
    States v. Anderson, 872 F.2d 1508, 1513-16 (11th Cir.) (similar),
    ______ ________
    cert. denied, 493 U.S. 1004 (1989).
    _____ ______

    7The nonexistent defense of apparent public authority, see
    ___
    supra note 6, must not be confused with the potentially viable
    _____
    defense of actual public authority, which may come into play when
    a defendant undertakes certain acts, reasonably relying on the
    statements of a government agent cloaked with actual authority.

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    legal theory that, even if Doe were not a spy, Doe's imprimatur

    could undermine the government's case against appellant either by

    providing a defense of apparent public authority, but see supra
    ___ ___ _____

    note 6, or by negating an element of the offense, namely,

    specific intent.

    The government responded by filing motions to quash the

    subpoenas, followed on May 18 by both a memorandum of authorities

    and an ex parte submission pursuant to the Classified Information
    __ _____

    Procedures Act, 18 U.S.C. app. III (CIPA), which limns a

    procedure permitting classified information "to be inspected by

    the court alone." Id. 4. On the same date, appellant made an
    ___

    oral ex parte proffer to the trial court, explaining the
    __ _____

    relationship between the subpoenas and his proposed trial

    strategy.

    On May 21, following an in camera hearing, Judge Keeton
    __ ______

    granted the government's motions to quash. He also granted the

    government's oral motion in limine, made in anticipation that
    __ ______

    appellant might renew his efforts to proffer contacts evidence.

    When reduced to writing on May 26, 1992, the in limine order
    __ ______

    required appellant, before "fil[ing] or disclos[ing] any

    document, ask[ing] any question, or mak[ing] any statement

    related to any alleged contact between any individual and any

    intelligence agency," to "first present[] such matter directly to


    ____________________

    See United States v. Baptista-Rodriguez, 17 F.3d 1354, 1368 n.18
    ___ _____________ __________________
    (11th Cir. 1994). Here, however, we have painstakingly checked
    the materials tendered in camera and find no colorable or
    __ ______
    cognizable basis for a defense of actual public authority.

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    the [trial judge] in chambers or at sidebar and . . . receive[]

    from [the judge] a ruling allowing the requested action . . . ."

    Immediately prior to trial, appellant filed a motion to

    reconsider these rulings, accompanied by a written, sworn ex
    __

    parte proffer. After a hearing that began on October 22, 1992,
    _____

    and continued into the next day, the district court denied the

    motion. Trial commenced a few days later.

    At trial, appellant called only one witness, a Customs

    agent, and made no discernible effort to capitalize on the

    court's invitation to examine his purported contacts evidence in
    __

    camera.8 Still, at the close of his case appellant moved for a
    ______

    mistrial, claiming that the district court's pretrial rulings

    denied him the opportunity to present a robust defense. The

    court spurned the motion. In due course the jury convicted

    appellant on all three exportation counts (as well as on the

    charges of unlawful importation discussed in Part II, supra).
    _____

    B. Analysis.
    B. Analysis.
    ________

    Appellant contests the district court's pretrial

    rulings specifically, the orders entered in respect to the

    government's motions to quash and motion in limine on the
    __ ______

    theory that those rulings precluded him from presenting to the

    jury a complete and competent defense. He assails the district

    court's denial of his motion for a mistrial for much the same

    ____________________

    8Even if we give appellant the benefit of his description of
    it, the contacts evidence is entropic at best. Apart from the
    claims about what Doe ostensibly said, the contacts evidence
    consists entirely of gauzy generalities, inadmissible double
    hearsay, and unsupported suppositions.

    15














    reason. In particular, he alleges that these rulings which for

    our purposes coalesce into, and are subsumed by, the order in
    __

    limine9 transgressed his rights under both the Due Process
    ______

    Clause of the Fifth Amendment and the Compulsory Process Clause

    of the Sixth Amendment by foreclosing him from mounting a defense

    to the charges. Having carefully deterrated the record, we find

    that this challenge has not been properly perfected and,

    therefore, evaporates into thin air.

    On appeal, Holmquist claims that the contacts evidence

    bore on two possible lines of defense: (1) that he acted on

    Doe's instructions, and, hence, under the guise of apparent

    public authority a defense that, in any event, would have

    misfired, see supra note 6; and (2) that he lacked the requisite
    ___ _____

    specific intent to commit the charged crime a strategy that, at

    least in theory, had promise, see, e.g., United States v. Murphy,
    ___ ____ _____________ ______

    852 F.2d 1, 7 (1st Cir. 1988) (explaining that, in respect to

    charges under 22 U.S.C. 2778, the prosecution must prove that

    the defendant in fact "knew he had a legal duty not to export the

    weapons"), cert. denied, 489 U.S. 1022 (1989); see also United
    _____ ______ ___ ____ ______

    States v. Anderson, 872 F.2d 1508, 1517 (11th Cir.) (rejecting
    ______ ________


    ____________________

    9Because appellant's subpoenas sought the production of
    evidence at trial, the district court's order in limine
    __ _____ __ ______
    effectively controlled, and therefore subsumed, the quashal
    order. By like token, the district court's denials of
    appellant's eve-of-trial motion for reconsideration and mid-trial
    motion for a mistrial lack independent significance; if the court
    committed no antecedent error in the exclusion of evidence under
    the aegis of the order in limine, then those motions were
    __ ______
    bootless. Thus, our analysis of this assignment of error may
    appropriately focus upon the order in limine alone.
    __ ______

    16














    apparent public authority defense, but acknowledging that

    defendant's mistaken belief that his acts were authorized might

    negate specific intent), cert. denied, 493 U.S. 1004 (1989).10
    _____ ______

    There is some disagreement over the extent to which appellant

    explicitly and clearly pursued the second of these two legal

    theories during the course of the litigation. The best that can

    be said is that passing reference to both theories is made in

    appellant's opposition to the government's motion to quash; and

    appellant's motion to reconsider and motion for mistrial each

    purported to incorporate the contents of this initial opposition.

    But at the pretrial hearings of May 18 and 21, 1992, which were

    specifically devoted to assessing the propriety of the

    government's motions to quash and motion in limine, appellant did
    __ ______

    not once bring the specific intent theory to the judge's

    attention. Similarly, appellant made no explicit reference to

    the theory when arguing his motion to reconsider.

    Based on the overall record, appellant might well be

    deemed to have abandoned the specific intent theory. As we have

    previously admonished, "[a] party has a duty to put its best foot

    forward . . . [and] to spell out its arguments squarely and

    distinctly." Paterson-Leitch Co. v. Massachusetts Mun. Wholesale
    ___________________ ____________________________

    Elec. Co., 840 F.2d 985, 990 (1st Cir. 1988); see also United
    _________ ___ ____ ______

    ____________________

    10There is also some suggestion that appellant considered
    raising a defense of estoppel by entrapment. See United States
    ___ _____________
    v. Smith, 940 F.2d 710, 714 (1st Cir. 1991) (discussing
    _____
    doctrine). On appeal, however, Holmquist offers no developed
    argumentation in connection with this defense. Consequently, we
    deem it waived. See United States v. Zannino, 895 F.2d 1, 17
    ___ _____________ _______
    (1st Cir.) cert. denied, 494 U.S. 1082 (1990).
    _____ ______

    17














    States v. Boylan, 898 F.2d 230, 249 (1st Cir.) ("Litigants cannot
    ______ ______

    expect a judge . . . to be clairvoyant."), cert. denied, 498 U.S.
    _____ ______

    849 (1990).

    Although the question of abandonment is close, we need

    not resolve it, for at the trial itself, appellant eschewed any

    attempt to offer evidence in camera in accordance with the
    __ ______

    district court's express invitation and the provisional nature of

    the court's in limine ruling.11 The government maintains that,
    __ ______

    given this omission, appellant no longer can contest the

    operation of the court's order in limine. We agree. Appellant's
    __ ______

    snubbing of the court's invitation to consider evidentiary

    offerings during the trial effectively insulated from appellate

    review any complaints he voiced in connection with the court's

    pretrial evidentiary rulings. In the pages that follow, we

    explain our rationale.

    It is a bedrock principle of our adjudicatory system

    that ostensible errors arising before and during trial must be

    properly raised and preserved in order to be reviewable on

    appeal. See United States v. Griffin, 818 F.2d 97, 104-06 (1st
    ___ _____________ _______

    Cir.), cert. denied, 484 U.S. 844 (1987). In terms of
    _____ ______

    evidentiary limitations, this principle is so important that we

    find it partially codified in the third of our Federal Rules of

    ____________________

    11The transcript reflects only one point in the trial at
    which appellant requested a sidebar for the purpose of attempting
    to introduce evidence related to the order in limine and on
    __ ______
    that lone occasion, the district court granted appellant's
    request. This demonstrates quite vividly an awareness on
    appellant's part that the court had left the door open to
    proffers of such evidence.

    18














    Evidence. "Error may not be predicated upon a ruling . . .

    excluding evidence [unless] the substance of the evidence was

    made known to the court by offer or was apparent from the context

    within which questions were asked." Fed. R. Evid. 103(a).

    In entering the in limine order below, Judge Keeton
    __ ______

    made it clear that the only definite limitation on appellant's

    ability to introduce contacts evidence was that he must first

    present it out of the jurors' earshot, that is, to the judge,

    either in chambers or at sidebar. Federal district judges enjoy

    broad discretion in respect to the ordering and presentation of

    proof and the handling of evidentiary questions. See, e.g., Fed.
    ___ ____

    R. Evid. 104(c) (stating that hearings on preliminary matters

    other than the admissibility of confessions may be conducted out

    of the hearing of the jury "when the interests of justice

    require"); Fed. R. Evid. 611(a) (empowering district courts to

    exercise "reasonable control" over mode and presentation of

    evidence); see also Luce v. United States, 469 U.S. 38, 41 n.4
    ___ ____ ____ _____________

    (1984) (approving use of in limine rulings as an adjunct of "the
    __ ______

    district court's inherent authority to manage the course of

    trials"); Douglas L. Colbert, The Motion in Limine in Politically
    ___________________________________

    Sensitive Cases: Silencing the Defendant at Trial, 39 Stan. L.
    ___________________________________________________

    Rev. 1271 (1987) (discussing, though bemoaning, the increased use

    of motions in limine to preclude defendants from raising certain
    __ ______

    defenses altogether). In light of this discretion, we are unable

    to conclude that the in limine order itself lay beyond the
    __ ______

    district court's proper purview, or that it was untenable in any


    19














    particular.

    It follows inexorably that, since the in limine order
    __ ______

    represented a lawful exercise of judicial power, appellant's

    failure to abide by its terms bars him from complaining in this

    venue about evidence that could have been but was not

    proffered to the court within the framework of the order. After

    all, the trial judge's offer to consider proposed evidentiary

    offerings in camera, as the occasion arose, was not a mere
    __ ______

    formality and appellant treated it as such at his peril. See
    ___

    Conway v. Electro Switch Corp., 825 F.2d 593, 596 n.1 (1st Cir.
    ______ ____________________

    1987) ("Under the best of circumstances, counsel must exercise

    caution in relying exclusively upon rulings made in connection

    with pretrial motions in limine as the basis for preserving
    __ ______

    claims of error in the admission and exclusion of evidence.");

    Freeman v. Package Mach. Co., 865 F.2d 1331, 1337 (1st Cir. 1988)
    _______ _________________

    (offering similar admonition). In short, appellant's decision to

    ignore the procedural device fashioned by the trial court

    disabled him from mounting a subsequent challenge to what he now

    dysphemistically calls the "exclusion" of evidence.

    Our conclusion rests not only upon the fundamental

    principles of judicial economy and attorney cognizance, but also

    upon a well-defined corpus of federal appellate case law. The

    touchstone, of course, is the Court's decision in Luce. The Luce
    ____ ____

    Court held specifically that a defendant who chooses not to

    testify at trial loses his right to appeal the district court's

    ruling denying his in limine motion to forbid the impeachment use
    __ ______


    20














    of a prior conviction. See Luce, 469 U.S. at 43. More
    ___ ____

    generally, Luce teaches that there are concrete limits to a
    ____

    party's right to request appellate review of evidentiary rulings,

    and that these limits reflect two factors: (1) the legitimate

    needs of appellate courts in the review of alleged evidentiary

    errors stemming from trials, see id. at 41-42 (observing that
    ___ ___

    "[a] reviewing court is handicapped in any effort to rule on

    subtle evidentiary questions outside a factual context"); and (2)

    the possibility that a defendant might exploit adverse rulings by

    treating them essentially as legal jokers, to be pulled from his

    sleeve should a conviction ensue, see id. at 42 (warning against
    ___ ___

    setting the stage for a litigant, at no risk, to seed the record

    with error).

    In the instant case, both of these concerns are

    implicated. Regarding the reviewability concern, it is precisely

    because appellant comes before us not having attempted to offer

    evidence during the trial that we cannot rule intelligently on

    the underlying evidentiary questions; he presents us with an

    abstract intellectual exercise, rife with conjecture, rather than

    affording us an opportunity to inspect concrete evidence, offered

    and excluded in an actual trial context. Regarding the

    exploitation concern, we likewise have no reliable way of knowing

    whether appellant's decision to forgo the trial judge's

    invitation reflected a genuine sense of preclusion, a mere

    oversight, an ill-fated stratagem (such as an attempt to infect

    the trial with error), or simply a realization that the putative


    21














    contacts evidence was not likely to be helpful after all.

    Our conclusion that appellant did not sufficiently

    perfect a right to appeal in respect to contacts evidence draws

    further support from the myriad cases that have seen fit to

    extend the tenets of Luce into other contexts involving in limine
    ____ __ ______

    motions. See Griffin, 818 F.2d at 105 (citing wide range of
    ___ _______

    federal appellate cases extending principles articulated in

    Luce). Griffin itself is a good example. In that case, we
    ____ _______

    declined to review a conditional pretrial ruling under Fed. R.

    Evid. 403, which prohibited a government witness from testifying

    that a certain associate of the defendant had once threatened him

    for cooperating with the government a threat which, according

    to the witness, caused him to withhold information from the

    government for over a year. The one condition on this pretrial

    order, however, was that the prohibition would vanish if the

    defense attempted to impeach the witness by referring to

    cooperation. The defendant abided by the ruling, but then

    challenged it following his conviction. In holding that he could

    not test the evidentiary question on appeal, we observed:

    "Although the court telegraphed what its ruling was likely to be

    if defense counsel opened the door, the latter never knocked.

    And, we will not venture to pass upon issues such as this in a

    vacuum." Id. at 103. Based on this, and on related concerns,
    ___

    including the "danger of encouraging a defendant, as a trial

    tactic, to plant reversible error," id. at 104, we ruled that "to
    ___

    raise and preserve for review the claim of [evidentiary error], a


    22














    party must obtain the order admitting or excluding the

    controversial evidence in the actual setting of the trial," id.
    ____________________________________ ___

    at 105 (emphasis supplied). While there are factual differences

    between Griffin and the case at hand, Griffin's logic points
    _______ _______

    unerringly toward the conclusion that appellant in this case

    never perfected his right to appeal the putative exclusion of

    contacts evidence.

    Two years after Griffin, we had another opportunity to
    _______

    apply the principles of Luce, this time to a case involving an
    ____

    anticipatory motion to limit cross-examination of the defendant.

    See United States v. Nivica, 887 F.2d 1110, 1115 (1st Cir. 1989),
    ___ _____________ ______

    cert. denied, 494 U.S. 1005 (1990). After the district court
    _____ ______

    refused to grant the motion, the defendant chose not to testify.

    The jury found him guilty. He then appealed the court's denial

    of his liminary motion. We gave him short shrift. Beginning

    with the premise that "the concerns which undergird Luce and
    ____

    Griffin control here," id. at 1116, we determined that:
    _______ ___

    Because Nivica did not take the stand, or ask
    for voir dire, his exact testimony remains,
    in the Luce phrase, "unknowable." The
    ____
    alleged harm is "wholly speculative," both
    because (a) the judge, in the give-and-take
    of live testimony, might have changed his
    mind and confined cross-examination more
    closely, and (b) on this record, we have no
    way of knowing the extent to which the
    government would have sought to cross-
    question Nivica (if at all) about other
    matters. Moreover, in this case as in Luce,
    ____
    there is no reliable method for divining the
    genesis of defendant's decision not to
    testify. . . . Furthermore, were we to relax
    the rule, we would run the very risk ease
    in "`plant[ing]' reversible error" that the
    Luce Court aimed to avoid. Finally,
    ____

    23














    defendant's tactical choice in this case, as
    in Luce, has thwarted our ability to judge
    ____
    the harmfulness of the asserted error.

    Id. at 1116-17 (citations omitted). In the bargain, we rejected
    ___

    defendant's claim that, because the trial judge ruled as a matter

    of law rather than expressly labelling his ruling as conditional,

    Luce should not have governed the analysis. We emphasized that
    ____

    the critical dimensions of a Luce scenario include timing and
    ____

    context, and that, "[u]ltimately, the trier's decision, whatever

    his initial inclination, had to depend upon particular questions

    and their relation to the content of the direct examination."

    Id. at 1117. In the same way, appellant in the case before us
    ___

    inexplicably declined the opportunity to probe the trial judge's

    provisional ruling by making a concrete proffer in a live

    context, thus depriving this court of the opportunity

    meaningfully to review his claim. Cf. Reilly v. United States,
    ___ ______ _____________

    863 F.2d 149, 168 (1st Cir. 1988) (holding, in respect to a

    discovery request, that "by ignoring the [judge's] clear

    invitation to specify, face-up and squarely, what information it

    continued to seek, appellant waived the right to protest the

    denial of its [discovery motion]").

    We also find instructive the experience of the Seventh

    Circuit, which recently confronted a situation quite similar to

    this one. In United States v. Addo, 989 F.2d 238 (7th Cir.
    ______________ ____

    1993), the district court, over defendant's opposition,

    provisionally granted the government's motion in limine barring
    __ ______

    the defendant from pursuing a particular line of argument at


    24














    trial. In so doing, the court made it clear that it would "allow

    the defense counsel . . . [to] renew her opposition to the

    government's motion before the conclusion of the trial." Id. at
    ___

    241. Defense counsel did not take advantage of this offer. On

    appeal, defendant challenged the district court's grant of the

    motion in limine. The Seventh Circuit began with the premise
    __ ______

    that a party "may not lull the judge into thinking that [a

    theory] has been abandoned and then, after he has lost, pull a

    rabbit out of his pocket in the form of the forgotten motion."

    Id. (quoting United States v. Taglia, 922 F.2d 413, 416 (7th
    ___ ______________ ______

    Cir.), cert. denied, 500 U.S. 927 (1991)). The court then
    _____ ______

    concluded that the defense had failed to perfect its right to

    contest the exclusion of the desired line of argument:

    [T]he ball was in the defendant's court to
    challenge the granting of the motion in
    __
    limine. For some reason, the defense failed
    ______
    to respond to the judge's ruling again during
    the trial. This may have been an oversight
    on the part of defense counsel in the midst
    of a busy trial or a well-calculated trial
    strategy. Whatever the reason, the record
    reflects that the defense was clearly given
    the opportunity to raise the matter again
    before the trial judge and failed to do so.
    Accordingly, the defense may not challenge
    the merits of this ruling on appeal.

    Id. at 242; see also Favala v. Cumberland Engin'g Co., 17 F.3d
    ___ ___ ____ ______ ______________________

    987, 991 (7th Cir. 1994) (explaining that a "court's invitation

    to renew [an] issue" should be treated "as an indication that the

    court's ruling on the motion in limine is not final and is open

    to reconsideration; consequently, the failure to follow up on the

    invitation constitutes a waiver"); United States v. Hoyos, 3 F.3d
    _____________ _____


    25














    232, 236 (7th Cir. 1993) (applying Addo to a situation in which
    ____

    the trial court granted the government's motion in limine,
    __ ______

    subject to reconsideration, and defendant neglected to raise the

    relevant issue during trial); United States v. Romano, 849 F.2d
    ______________ ______

    812, 815-16 (3d Cir. 1988) (declining to reverse defendant's

    conviction "based on mere speculation as to what the district

    court would have done" if defendant had proffered evidence at

    trial in an effort to surmount the district court's in limine
    __ ______

    ruling); cf. United States v. Bonneau, 970 F.2d 929, 932-33 (1st
    ___ _____________ _______

    Cir. 1992) (declining to review exclusion of testimony, alleged

    by defendant to establish lack of willfulness under 26 U.S.C.

    7201, because defendant made no offer of proof in the trial court

    to establish the testimony's substance).

    These principles and precedents necessarily control our

    decision in this case. The district judge's ruling was patently

    provisional. The court gave appellant ample opportunity to

    reiterate his request to introduce evidence of purported

    government contacts in the context of the actual trial. For

    whatever reason, appellant chose not to take up the gauntlet.

    One consequence of appellant's inertia is that we, as an

    appellate tribunal, can only engage in rank speculation about

    whether the trial judge would have allowed appellant to introduce

    specific evidence (the exact nature of which is unknown to us,

    see supra note 8) for a specific purpose (the exact nature of
    ___ _____

    which is likewise unknown to us) had he attempted to do so during

    the trial. An appeal that asks a reviewing court to decide


    26














    delicate questions of evidentiary error based not on a tangible,

    well-defined record, but rather on conjecture and surmise, does

    not deserve a favorable answer.

    For these reasons, we conclude that, when a judge

    issues a provisional in limine pretrial order and clearly invites
    __ ______

    the adversely affected party to offer evidence at sidebar for the

    purpose of reassessing the scope or effect of the order in the

    setting of the actual trial, the exclusion of evidence pursuant

    to that order may be challenged on appeal only if the party

    unsuccessfully attempts to offer such evidence in accordance with

    the terms specified in the order.12 Because appellant failed

    to follow this well-marked path, we hold that he cannot now

    complain about the trial court's handling of the contacts

    ____________________

    12This rule is not without limits. For example, it will not
    apply when the in limine order is itself final. Finality may
    __ ______
    inhere either in the nature of the judge's words, or in the
    rationale of his ruling, or in both. See, e.g., Fusco v. General
    ___ ____ _____ _______
    Motors Corp., 11 F.3d 259, 262-63 (1st Cir. 1993) ("Where a court
    ____________
    rules in limine that certain evidence is excluded but the ruling
    __ ______
    is merely tentative or qualified, then the proponent might well
    have to offer the evidence at trial in order to preserve an
    appeal on the issue. But where the pretrial proffer is adequate
    and evidence is excluded unconditionally by a pretrial order,
    then we think that the proponent has preserved the issue for
    appeal and (other circumstances being unchanged) need not . . .
    proffer the evidence again at trial.") (citation omitted); Addo,
    ____
    989 F.2d at 242 (distinguishing situations in which the trial
    court stated that subsequent attempts to modify an in limine
    __ ______
    ruling would be useless or futile); see also Favala, 17 F.3d at
    ___ ____ ______
    991 (noting rule that "the failure to follow up on the invitation
    [to reconsider a motion in limine] constitutes a waiver" but
    __ ______
    finding no waiver in the particular case because the court
    "clearly indicated" that its ruling was definitive); cf. United
    ___ ______
    States v. Mejia-Alarcon, 995 F.2d 982, 986 (10th Cir.)
    ______ _____________
    (formulating three-part test to determine when the denial of a
    pretrial motion in limine to exclude evidence, in the absence of
    __ ______
    a further objection at trial, will nonetheless preserve a right
    of appellate review), cert. denied, 114 S. Ct. 334 (1993).
    _____ ______

    27














    evidence.

    IV. OTHER EVIDENTIARY ISSUES
    IV. OTHER EVIDENTIARY ISSUES

    In his final assignment of error, appellant suggests

    that the district court erred in permitting the prosecution to

    introduce, over objection, certain items of evidence that,

    appellant says, were not satisfactorily authenticated. The

    challenged evidence comprises a photocopy provided by Andrew Wong

    (a purchaser of unlawfully exported firearms), and snapshots of

    weapons displaying serial numbers matching for the most part

    those listed on weapons in appellant's inventory. In addition to

    questioning authentication, appellant also claims that, in all

    events, the photocopy should have been excluded as hearsay. We

    believe that this fusillade misses the mark.

    A. The Photocopy.
    A. The Photocopy.
    _____________

    In respect to the photocopy, we treat appellant's

    authentication and hearsay challenges separately.

    1. Authentication. Exhibit 17A purported to be a
    1. Authentication.
    ______________

    photocopy of a bank check in the amount of $2500, drawn on the

    Bank of China at Hong Kong, bearing a date of December 20, 1988,

    and made payable to appellant. To authenticate the proffer,

    Dennis Kelly, a Customs agent, testified that Wong provided him,

    via air courier from Hong Kong, with both the photocopy and a

    three-page invoice in appellant's handwriting. This document,

    admitted into evidence at trial as Exhibit 17, described, among






    28














    other things, a $2500 credit in Wong's favor.13

    Appellant argues that the proof failed to eliminate a

    googol of possibilities concerning the photocopy, e.g., that it
    ____

    was a fake, or that the check was made at some time other than

    the stated date, or that it was never delivered to appellant, or,

    if delivered, that it was never negotiated. Additionally,

    appellant argues that a finding of authenticity could not readily

    be based on material emanating from Wong because Wong had soured

    on him and was, therefore, a biased source.

    It cannot be gainsaid that documentary evidence must be

    authentic. The test of authenticity is straightforward: "The

    requirement of authentication or identification as a condition

    precedent to admissibility is satisfied by evidence sufficient to

    support a finding that the matter in question is what its

    proponent claims." Fed. R. Evid. 901(a); see also United States
    ___ ____ _____________

    v. Paulino, 13 F.3d 20, 23 (1st Cir. 1994); United States v.
    _______ ______________

    Arboleda, 929 F.2d 858, 869 (1st Cir. 1991).
    ________

    There is no single way to authenticate evidence. In

    particular, the direct testimony of a custodian or a percipient

    witness is not a sine qua non to the authentication of a writing.
    ____ ___ ___

    See Paulino, 13 F.3d at 23. Thus, a document's "[a]ppearance,
    ___ _______

    contents, substance, internal patterns, or other distinctive

    characteristics, taken in conjunction with circumstances," can,

    in cumulation, even without direct testimony, provide sufficient


    ____________________

    13On appeal, Holmquist does not contest the admission of
    Exhibit 17 as a full exhibit.

    29














    indicia of reliability to permit a finding that it is authentic.

    Fed. R. Evid. 901(b)(4); see also Paulino, 13 F.3d at 23; United
    ___ ____ _______ ______

    States v. Newton, 891 F.2d 944, 947 (1st Cir. 1989).
    ______ ______

    Issues of authentication are almost always fact-

    sensitive. Consequently, when such issues arise, the trial court

    must act as a gatekeeper. See United States v. Ladd, 885 F.2d
    ___ _____________ ____

    954, 956 (1st Cir. 1989); see generally Fed. R. Evid. 104(a).
    ___ _________

    "If the court discerns enough support in the record to warrant a

    reasonable person in determining that the evidence is what it

    purports to be, then Rule 901(a) is satisfied and the weight to

    be given to the evidence is left to the jury." Paulino, 13 F.3d
    _______

    at 23. And since rulings of this nature often depend on the

    trial judge's intimate knowledge of the case and the

    protagonists, we review rulings accepting or rejecting claims of

    authenticity only for mistake of law or abuse of discretion. See
    ___

    Paulino, 13 F.3d at 23; United States v. McMahon, 938 F.2d 1501,
    _______ ______________ _______

    1508 (1st Cir. 1991).

    Here, the district court noted that the purported bank

    check was dated "Dec. 20, 1988"; that it was payable to "Steve

    Holmquist"; and that it was for $2500. The court also determined

    that Exhibit 17 (the three-page invoice in appellant's

    handwriting) strongly corroborated Exhibit 17A; after all, agent

    Kelly received the invoice in the very same package as the

    photocopy of the check, and the invoice mentioned a $2500 credit

    to Wong, thereby lending considerable credence to the proposition

    that Holmquist received a payment (the bank check), acknowledged


    30














    its receipt, and credited Wong's account in the amount of the

    payment.14 Given the totality of the circumstances, especially

    the ties binding Wong to Holmquist, we agree with the lower court

    that a jury could draw reasonable inferences connecting the

    photocopy of the bank check to the invoice.

    To be sure, appellant's objections are not entirely

    without force. It is possible that the photocopy had been
    ________

    doctored, or constituted an instrument through which Wong, for

    whatever reason, aspired to carry out an elaborately staged hoax.

    But the burden of authentication does not require the proponent

    of the evidence to rule out all possibilities inconsistent with

    authenticity, or to prove beyond any doubt that the evidence is

    what it purports to be. Rather, the standard for authentication,

    and hence for admissibility, is one of reasonable likelihood.

    See United States v. McGlory, 968 F.2d 309, 328-29 (3d Cir.
    ___ ______________ _______

    1992), cert. denied, 113 S. Ct. 1388 (1993); United States v.
    _____ ______ _____________

    Collado, 957 F.2d 38, 39 (1st Cir. 1992); see also 5 J. Weinstein
    _______ ___ ____

    & M. Berger, Weinstein's Evidence 901(a)[01], at 901-19 (1994)
    ____________________

    (explaining that the trial court should admit evidence as

    authentic "if sufficient proof has been introduced so that a

    reasonable juror could find in favor of authenticity").

    Here, mindful of the deference accorded to the trial

    court's exercise of its discretion, we cannot say that the court

    erred in declaring the photocopy of the bank check to be


    ____________________

    14The handwritten invoice used the words "minus $2500,
    12/29/88."

    31














    sufficiently authenticated, or in admitting it into evidence.

    2. Hearsay. Appellant also suggests that, because the
    2. Hearsay.
    _______

    photocopy was introduced to prove the truth of the matter

    asserted, it was hearsay and, therefore, inadmissible unless it

    fell within one of the exceptions to the hearsay rule. We need

    not probe this point too deeply, for close perlustration of the

    record makes it plain that appellant never advanced this

    objection below.

    During the trial, appellant made a cluster of

    objections with regard to the photocopy of the bank check.

    However, these objections focused on authentication, and

    contained no developed argumentation in regard to hearsay

    principles. To be sure, defense counsel at one point called the

    photographs "totem pole hearsay," and, in a later colloquy,

    applied the same epithet to the photocopy. But we think that

    this elliptical reference carries little weight. Under

    prevailing federal practice, objections to evidentiary proffers

    must be reasonably specific in order to preserve a right to

    appellate review. See, e.g., United States v. Walters, 904 F.2d
    ___ ____ _____________ _______

    765, 769 (1st Cir. 1990); see also Fed. R. Evid. 103(a)(1). In
    ___ ____

    other words, a litigant is obliged to "call [his specific

    objection] to the attention of the trial judge, so as to alert

    [the judge] to the proper course of action." United States v.
    _____________

    Piva, 870 F.2d 753, 759 (1st Cir. 1989) (quoting Notes of the
    ____

    Advisory Committee on Evidence Rule 103(a)). A lack of

    specificity bars the party aggrieved by the admission of the


    32














    evidence from raising more particularized points for the first

    time on appeal. See Walters, 904 F.2d at 769; Piva, 870 F.2d at
    ___ _______ ____

    759.

    The rule is not a mere technicality, but is solidly

    grounded in considerations of fairness and judicial economy. As

    we said in Walters, 904 F.2d at 769: "The reason for such a
    _______

    requirement is to alert the trial court and the other party to

    the grounds of the objection so that it may be addressed or

    cured." Applying these precepts, appellant's hearsay argument is

    by the boards.15

    B. The Photographs.
    B. The Photographs.
    _______________

    The district court also permitted the prosecution to

    introduce nine photographs purporting to depict firearms that

    appellant illegally exported to China. Each photograph showed

    the serial number on the weapon portrayed therein. In the main,

    these serial numbers matched two other sets of serial numbers:

    the serial numbers of firearms that were transferred from ARMCO's

    inventory to appellant, and the serial numbers listed in wire

    transmissions from appellant to Wong. Agent Kelly testified that

    he received these photographs during a meeting with Wong in Hong

    Kong early in 1992.

    ____________________

    15Of course, even without a sufficient objection, appellant
    can obtain relief on appeal if the admission of the so-called
    "hearsay evidence" sinks to the level of plain error. See
    ___
    Griffin, 818 F.2d at 99-100. There was no plain error here. See
    _______ ___
    id. at 100 (describing plain errors as "those errors so shocking
    ___
    that they seriously affect the fundamental fairness and basic
    integrity of the proceedings conducted below," or, put another
    way, those errors which must be noticed in order to prevent a
    "clear miscarriage of justice").

    33














    In admitting the photographs, the district court

    stated:

    [B]ecause serial numbers appear on the
    photographs and can be compared with the
    serial numbers on other documents in evidence
    in this case, it would be an extraordinary
    inference that the guns that contained those
    serial numbers could have been assembled at a
    time before the documents were prepared that
    are in evidence here.

    * * *

    [A] fact finder may reasonably draw the
    inference that it's most unlikely that those
    guns came into the hands of somebody who
    could assemble them together, take those
    photographs and those photographs then came
    into the hands of the Government agent from
    some source that would undercut the inference
    that they were taken over by Steve Holmquist.

    Appellant inveighs against this assessment, asserting

    that the prosecution presented no evidence to show when, where,

    why, and under what circumstances the photographs were taken.

    This assertion is true but it is beside any pertinent point. A

    photograph's contents, buttressed by indirect or circumstantial

    evidence, can form a sufficient basis for authentication even

    without the testimony of the photographer or some other person

    who was present at the time it was taken. See, e.g., United
    ___ ____ ______

    States v. Stearns, 550 F.2d 1167, 1171 (9th Cir. 1977); see also
    ______ _______ ___ ____

    United States v. Clayton, 643 F.2d 1071, 1074 (5th Cir. 1981) ("A
    _____________ _______

    witness qualifying a photograph need not be the photographer or

    see the picture taken; it is sufficient if he recognizes and

    identifies the object depicted and testifies that the photograph

    fairly and correctly represents it."). So here. At any rate,


    34














    the defense had a fair opportunity to cross-examine Kelly

    concerning both the delivery of the photographs and his lack of

    personal knowledge regarding their preparation. In the

    circumstances at hand, no more was exigible.

    We will not prattle. The lower court's assessment of

    the situation is plausible; indeed, it makes abundant sense.

    Based on it, the court concluded that the photographs were most

    likely authentic, and permitted their introduction into evidence.

    We think that this finding falls well within the realm of the

    court's discretion.

    V. CONCLUSION
    V. CONCLUSION

    We summarize succinctly. As for the importation

    statute, 18 U.S.C. 542, appellant's proposed interpretation of

    the materiality requirement is simply too restrictive; the better

    definition is one that accounts for the possible effects of false

    statements on the importation process as a whole. As for the in
    __

    limine order, which affects only the export charges, appellant
    ______

    failed to perfect the exclusion-of-evidence challenge he now

    seeks to advance. Finally, we find no merit in appellant's

    complaints about the admission of other evidence.

    We need go no further. Appellant's arguments are

    legally impuissant and, therefore, his convictions must be



    Affirmed.
    Affirmed.
    ________






    35







Document Info

Docket Number: 93-1529

Filed Date: 9/28/1994

Precedential Status: Precedential

Modified Date: 3/3/2016

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