United States v. Pelkey ( 1995 )


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  • USCA1 Opinion








    June 19, 1995
    [NOT FOR PUBLICATION]

    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT


    ____________________


    No. 95-1008

    UNITED STATES,

    Appellee,

    v.

    MAE LINH PELKEY, II,

    Defendant, Appellant.


    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF NEW HAMPSHIRE


    [Hon. Paul J. Barbadoro, U.S. District Judge] ___________________

    ____________________

    Before

    Cyr, Boudin and Lynch, Circuit Judges. ______________

    ____________________

    Marc Chretien on brief for appellant. _____________
    Paul M. Gagnon, United States Attorney, and Jean B. Weld, ________________ ______________
    Assistant United States Attorney, on brief for appellee.

    ____________________


    ____________________



















    Per Curiam. Following an earlier appeal in which this __________

    court remanded for resentencing, see United States v. Pelkey, ___ _____________ ______

    29 F.3d 11 (1st Cir. 1994), the district court sentenced

    defendant Mae Linh Pelkey to a 37-month term of imprisonment.

    Defendant again appeals, complaining (as she did earlier) of

    an upward departure undertaken by the court. This time

    around, we find no error and thus summarily affirm. See Loc. ___

    R. 27.1.

    Defendant, a real estate broker and financial adviser

    who "defrauded a number of her friends, business associates,

    and former customers out of more than $500,000," Pelkey, 29 ______

    F.3d at 12, pled guilty in 1993 to three counts of mail fraud

    and one count of wire fraud. See 18 U.S.C. 1341, 1343. ___

    At the original sentencing on October 18, 1993, the court

    imposed a prison term of 43 months. It first calculated a

    total offense level of 17,1 which (with a criminal history

    category of I) yielded a sentencing range of 24 to 30 months.

    The court then determined that an upward departure was

    warranted because the ten-level increase mandated by the

    applicable provision of the fraud loss table did not "fully





    ____________________

    1. The total offense level was comprised of the following
    elements: a base offense level of six for fraud, U.S.S.G.
    2F1.1(a) (1992); plus ten levels for losses exceeding
    $500,000, id. 2F1.1(b)(1); plus a two-level enhancement for ___
    more than one victim, id. 2F1.1(b)(2)(B); plus a two-level ___
    enhancement for vulnerable victim, id. 3A1.1; less three ___
    levels for acceptance of responsibility, id. 3E1.1. ___













    capture the harmfulness" of defendant's conduct. U.S.S.G.

    2F1.1, comment. (n.10) (1992).2

    In support of this conclusion, the court cited two

    factors (with primary emphasis placed on the former): (1) as

    defendant was or should have been aware, several of the

    victims were elderly individuals who lost most or all of

    their life savings, with little prospect of regaining

    financial security; and (2) several victims had suffered

    "extreme psychological injury." Suggesting that the real

    value of the losses to the victims was closer to $10 million


    ____________________

    2. The 1992 version of application note 10 read in pertinent
    part as follows:

    In cases in which the loss determined under
    subsection (b)(1) does not fully capture the
    harmfulness and seriousness of the conduct, an
    upward departure may be warranted. Examples may
    include the following:
    (a) the primary objective of the fraud was
    non-monetary;
    (b) false statements were made for the purpose
    of facilitating some other crime;
    (c) the offense caused physical or
    psychological harm;
    (d) the offense endangered national security
    or military readiness;
    (e) the offense caused a loss of confidence in
    an important institution.

    U.S.S.G. 2F1.1, comment. (n.10) (1992). Effective as of
    November 1, 1993, an amendment to note 10 added the following
    new subdivision:

    (f) the offense involved the knowing
    endangerment of the solvency of one or more
    victims.

    See U.S.S.G., App. C., Amend. 482 (1993). ___

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    than to $500,000, the court departed upward by five levels to

    a total offense level of 22. The resulting 43-month sentence

    was near the bottom of the revised sentencing range.

    On appeal, we agreed with defendant that the cited

    justifications for the five-level departure were inadequate.

    With respect to the court's first rationale, we noted that

    "[t]he failure to have a secure financial future does not,

    without more, rise to the level of seriousness" contemplated

    by the grounds for departure listed as examples in

    application note 10.3 Pelkey, 29 F.3d at 15. At the same ______

    time, we acknowledged that there was a distinction "between

    defrauding a 40-year-old of her life savings and defrauding a

    60-year-old of her savings." Id. That distinction, we ___

    observed, was at least partially reflected in the enhancement

    for vulnerable victim and would not, in any case, "warrant a

    five-level departure." Id. Yet we specifically left open ___

    the possibility that an upward departure might be appropriate

    if, on remand, "the court were to make specific findings that

    some of the victims were unable to provide for their welfare

    or that the facts present[ed] a situation equal to the

    serious caliber" of the examples listed in application note

    10. Id. We also referred to the intervening amendment to ___

    ____________________

    3. As to the court's secondary rationale, we held that the
    severity of the psychological injury suffered by defendant's
    victims was not "so far beyond" that experienced in "the
    heartland of fraud cases" as to justify a departure on such
    basis. Pelkey, 29 F.3d at 16. ______

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    note 10 which had added to that list of examples by

    encouraging a departure where "the offense involved the

    knowing endangerment of the solvency of one or more victims."

    Id. at 15 n.5 (quoting U.S.S.G. 2F1.1, comment. (n.10(f)) ___

    (1993)). We observed that a departure on this ground--one

    which required a finding that a defendant knowingly pushed a _________

    victim into extreme financial hardship--"seem[ed] to address

    the type of harm the court was attempting to quantify." Id. ___

    On remand, after receiving supplemental evidence from

    the parties, the court found that defendant had knowingly

    endangered the solvency of several of her victims. It

    therefore again departed upward, this time by two levels, to

    reach a total offense level of 19. The resulting 37-month

    sentence was within the revised sentencing range. As she did

    below, defendant now argues that (1) reliance on the 1993

    amendment to application note 10 violated the ex post facto _____________

    clause; (2) consideration of the government's supplemental

    affidavits was improper, and the evidence was otherwise

    insufficient to support the upward departure; and (3)

    departing upward due to the financial strain on the victims,

    in conjunction with the adjustment for vulnerable victims,

    resulted in impermissible double-counting. Each of these

    contentions, we conclude, misses the mark.

    Ex Post Facto Concerns ______________________





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    "To avoid ex post facto difficulties, courts should ______________

    'normally apply [guideline] amendments retroactively only if

    they clarify a guideline, but not if they substantively

    change a guideline.'" United States v. Rostoff, ___ F.3d _____________ _______

    ___, No. 93-1376, slip op. at 12 (1st Cir. 1995) (quoting

    United States v. Prezioso, 989 F.2d 52, 53 (1st Cir. 1993)). ______________ ________

    Defendant argues that the 1993 amendment to application note

    10 effected such a substantive change. This conclusion, she

    suggests, is apparent from the language employed by the

    Commission, which described this aspect of the amendment as

    one that "revises the Commentary to 2F1.1 by expanding _______ _________

    Application Note 10 to provide guidance in cases in which the

    monetary loss does not adequately reflect the seriousness of

    the offense." U.S.S.G., App. C., Amend. 482 (1993) (emphasis

    added). The fact that other changes implemented by Amendment

    482 were characterized as "clarifying," she adds, only

    reinforces this interpretation.

    We disagree. The distinction between a clarification

    and a substantive revision of the guidelines is not always

    "clear-cut," Isabel v. United States, 980 F.2d 60, 62 (1st ______ ______________

    Cir. 1992), and the Commission's language can be read to

    support either view.4 Of greater relevance, we think, is

    ____________________

    4. At one point, the district court appeared to suggest that
    the amendment could be deemed clarifying simply because it
    involved an application note rather than a guideline proper.
    Any such suggestion was incidental to the court's reasoning,
    and we have no occasion to address it here--other than to

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    the fact that the examples listed in application note 10 were

    (and are) meant to be "nonexclusive." Pelkey, 29 F.3d at 14. ______

    As we indicated in our earlier decision, an upward departure

    based on unusual financial strain incurred by a victim was

    permissible even before the 1993 amendment. See id. at 15. ___ ___

    Indeed, other courts have upheld departures on this ground

    based on the pre-1993 version of application note 10. See, ___

    e.g., United States v. Kaye, 23 F.3d 50, 53-54 (2d Cir. 1994) ____ _____________ ____

    (affirming upward departure based on finding that defendant's

    fraud--depriving his great-aunt of her life savings--involved

    a degree of harm not adequately considered by Commission);

    United States v. Stouffer, 986 F.2d 916, 927-28 (5th Cir.) _____________ ________

    (affirming departure based on finding that fraud scheme

    caused thousands of investors to lose their life savings),

    cert. denied, 114 S. Ct. 115 (1993). To a large extent, _____________

    therefore, the 1993 amendment simply codified pre-existing

    practice. Under these circumstances, retroactive application

    of the amendment raises no ex post facto concerns.5 See, _____________ ___

    e.g., United States v. Fadayini, 28 F.3d 1236, 1242 (D.C. ____ _____________ ________

    ____________________

    observe that, after the Supreme Court's ruling that guideline
    commentary is generally binding, see Stinson v. United ___ _______ ______
    States, 113 S. Ct. 1913, 1919 (1993), other courts have held ______
    that "subsequent amendments to the commentary ... may, just
    like the guidelines themselves, present ex post facto _______________
    problems when applied retrospectively." United States v. ______________
    Bertoli, 40 F.3d 1384, 1405 (3d Cir. 1994) (listing cases). _______

    5. As the district court suggested in the alternative, this
    also means that the upward departure could have been
    undertaken without reliance on the intervening amendment.

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    Cir. 1994) (applying application note 10(f) on retroactive

    basis, without mentioning ex post facto issue); United States _____________ _____________

    v. Strouse, ___ F. Supp. ___, 1995 WL 235568, at *5 (M.D. Pa. _______

    1995) (same).



    Evidentiary Issues __________________

    In the earlier appeal, we vacated the sentence and

    remanded "for resentencing consistent with this opinion."

    Pelkey, 29 F.3d at 16. On remand, over defendant's ______

    objection, the district court permitted the government to

    supplement the record with additional affidavits from three

    of the victims.6 Defendant now insists that the district

    court exceeded the scope of our mandate by permitting the

    evidentiary record to be reopened. Yet our earlier opinion

    specifically contemplated that the court might make new

    findings of fact to support the upward departure. See id. at ___ ___

    15. It was well within the court's discretion to permit both

    sides to supplement the record in connection with this issue

    prior to its doing so.7 See, e.g., United States v. Bell, 5 ___ ____ _____________ ____

    F.3d 64, 66-67 (4th Cir. 1993). The court on remand did not

    engage in a fully de novo hearing in which previously _______

    ____________________

    6. These victims, among others, had earlier provided victim
    impact statements to the Probation Office, which were
    recounted at length in the presentence report.

    7. The defendant declined to present any new evidence
    regarding the financial solvency issue, but did take the
    opportunity to buttress earlier evidence of rehabilitation.

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    forfeited issues were resuscitated, see generally United ______________ ______

    States v. Bell, 988 F.2d 247 (1st Cir. 1993);8 indeed, it ______ ____

    declined to entertain a proposed new sentencing enhancement

    (for abuse of position of trust) not earlier advanced by the

    government. And defendant's reliance on United States v. ______________

    Parker, 30 F.3d 542, 553-54 (4th Cir.), cert. denied, 115 S. ______ ____________

    Ct. 605 (1994), is misplaced, inasmuch as the government here

    was not afforded a second opportunity to prove an element of

    the offense. We thus see no error.9

    Defendant's secondary contention in this regard--that

    the evidence was insufficient to support a finding that she

    knowingly endangered the solvency of one or more of her

    victims--is advanced only in peremptory fashion and can be

    summarily rejected. It suffices to note the following: (1)

    the Meuse/Laskey affidavit stated that defendant "handled all

    of our financial matters" and "knew what we had right down to

    the last penny and she took that also"; and (2) the

    presentence report indicated that LeClair had provided


    ____________________

    8. Whether a de novo hearing would have been proper in this _______
    situation, of course, is a question not before us. See, ___
    e.g., United States v. Ortiz, 25 F.3d 934, 935 (10th Cir. ____ _____________ _____
    1994).

    9. Any error in this regard would be harmless in any event.
    As the district court observed, the finding that defendant
    knowingly endangered the solvency of one or more victims was
    reasonably inferable from the evidence contained in the
    presentence report. Indeed, defendant acknowledged below
    that the new affidavits "paraphrase[d]" the victims' earlier
    statements "almost completely."

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    defendant with a copy of his assets and liabilities; he

    elaborated in his affidavit that defendant "always knew about

    my financial situation and knew that if she didn't give me

    back the money, I would become insolvent." Based on this and

    substantial other evidence, the district court's finding that

    "the departure-justifying circumstance actually existed"

    cannot be deemed clearly erroneous. United States v. ______________

    Rostoff, ___ F.3d at ___, slip op. at 13. _______

    Double-Counting _______________

    Finally, we reject defendant's contention that

    undertaking an upward departure for financial impact on the

    victims, while simultaneously imposing a two-level

    enhancement for vulnerable victims, constituted impermissible

    double-counting. We implicitly rejected this argument in our

    earlier decision, see Pelkey, 29 F.3d at 14-15, as did the ___ ______

    Commission in its 1993 amendment to application note 10.

    While the two matters do overlap, there remains a core

    distinction: the vulnerable victim adjustment focuses on an

    individual's susceptibility to becoming a victim of crime per

    se, whereas the note 10(f) departure focuses on the extent to

    which a victim has suffered an unusual degree of harm from a

    crime. See, e.g., United States v. Kaye, 23 F.3d at 54. As ___ ____ _____________ ____

    such, "the vulnerable victim enhancement does not fully

    capture [the] concern with the actual impact of the fraud on





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    the victim." Id. We thus agree with the district court that ___

    no double-counting occurred.

    Affirmed. _________















































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