United States v. London ( 1995 )


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    UNITED STATES COURT OF APPEALS UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT FOR THE FIRST CIRCUIT
    ____________________

    No. 93-1898

    UNITED STATES,

    Appellee,

    v.

    MICHAEL B. LONDON,

    Defendant, Appellant.


    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Mark L. Wolf, U.S. District Judge] ___________________

    ____________________

    Before

    Cyr, Circuit Judge, _____________
    Coffin, Senior Circuit Judge, ____________________
    and Bownes, Senior Circuit Judge. ____________________

    ____________________

    Henry D. Katz for appellant. _____________
    Nina S. Goodman, Attorney, with whom, David S. Kris, Attorney, ________________ ______________
    Department of Justice, Criminal Division, Appellate Section, Donald K. _________
    Stern, United States Attorney, Dina M. Chaitowitz, Assistant United _____ __________________
    States Attorney, and Michael Kendall, Assistant United States ________________
    Attorney, were on brief for appellee.


    ____________________

    September 18, 1995
    ____________________
















    BOWNES, Senior Circuit Judge. After a trial that BOWNES, Senior Circuit Judge. _____________________

    spanned the better part of two months, a jury convicted

    defendant-appellant Michael B. London of conspiring to

    conduct and actually conducting the affairs of an enterprise

    through a pattern of racketeering activity ("RICO conspiracy"

    and "RICO substantive"), money laundering, failing to file

    currency transaction reports ("CTRs"), conspiring to commit

    extortion, and aiding and abetting extortion. Subsequent to

    the jury verdict, London also pleaded guilty to tax evasion.

    For his crimes, London was sentenced to 188 months'

    imprisonment and fined $500,000. In addition, he agreed to

    forfeit $865,000.

    In this appeal, London challenges his convictions,

    arguing that the district court erred: (1) in failing to

    suppress certain evidence relevant to his counts of

    conviction; (2) in instructing the jury on the law regarding

    failure to file CTRs; and (3) in failing to grant his motion

    for a judgment of acquittal on the money laundering and RICO

    counts. After carefully considering the parties' arguments,

    we affirm.

    I. I. __

    A. Factual Background A. Factual Background ______________________

    London operated Heller's Cafe ("Heller's), a bar in

    Chelsea, Massachusetts. He also ran a check-cashing service,

    known as M & L Associates ("M & L"), out of a small enclosed



    -2- 2













    area in the bar. M & L charged its customers a 1% or 1.5%

    commission on each check cashed. Both Heller's and M & L had

    at least one employee other than London.

    The evidence at trial demonstrated that bookmakers

    tended to frequent Heller's and to use M & L as a check-

    cashing service. Sometimes, M & L cashed bookmaker checks

    that banks would not accept. For example, some checks were

    neither made out by nor payable to the bookmakers (or

    bookmakers' agents) who were cashing them. Others were made

    out either to fictitious names or to real persons or entities

    who were not to receive the funds. London neither asked

    about the names on the checks he cashed nor required that the

    checks be endorsed. And before December 17, 1986 -- the day

    on which federal agents executed a search warrant at

    Heller's, see infra at 6 -- London never filed a CTR ___ _____

    notifying the Internal Revenue Service ("IRS") of his many

    currency transactions involving more than $10,000. See 31 ___

    U.S.C. 5313(a) (requiring financial institutions to report

    currency transactions in the manner prescribed by the

    Secretary of the Treasury) and 31 C.F.R. 103.11(i)(3) ___

    (check-casher is a financial institution) and 31 C.F.R. ___

    103.22(a)(1) (financial institutions must report all currency

    transactions involving more than $10,000 to the IRS).

    London's operating procedures were a boon to his

    bookmaker customers. Not only did London provide these



    -3- 3













    customers with an immediate and untraceable source of cash to

    pay their various expenses (including gamblers' winnings), he

    enabled them to accept checks from their own customers.

    This, in turn, increased business volume, for the ability to

    pay gambling debts by check encouraged gamblers to make

    larger and more frequent bets. It also made it easier for

    out-of-state gamblers to do business with local bookmakers,

    and possible for some gamblers to pay debts with company

    funds (and thereby gamble with money on which they paid no

    taxes).

    London's promotion of bookmaking often took a more

    active form. In 1986, London operated a bookmaking operation

    with one Kenny Miller. He also helped run one Dominic

    Isabella's bookmaking operation while Isabella was ill.

    Finally, London acted as a "pay and collect" man for many of

    his bookmaker customers, making payments to winning gamblers

    and collecting payments from losers.

    London also assisted Vincent Ferrara, the leader of

    an organized crime group, in collecting "rent" (i.e.,

    protection money) from bookmakers. London identified certain

    of his bookmaker customers to Ferrara, telling him "anybody I

    get you get." London then summoned the bookmakers to

    Heller's to meet with Ferrara, who demanded that they pay him

    anywhere from $500 to $1000 (or more) per month for

    "protection" and help in debt collection. London collected



    -4- 4













    rent payments and, at least once, passed along a request for

    debt collection assistance from a bookmaker who had been

    induced to accept Ferrara's protection.

    As stated above, London never filed a CTR with the

    IRS prior to the execution of the search warrant on

    December 17, 1986. From December 18, 1986, through

    December 31, 1988, however, he filed 211 CTR's on behalf of M

    & L. Although London had instructed his customers to make

    certain that each check was for less than $10,000, London did

    cash individual checks that were in amounts greater than

    $10,000. When he cashed a group of checks for the same

    customer, London would often deposit the checks on different

    days or in different bank accounts. There was testimonial

    evidence tending to indicate that London was aware of the

    statutory and regulatory reporting requirements during the

    period in which he failed to file any CTRs with the IRS.

    B. Procedural History B. Procedural History ______________________

    On October 28, 1986, in response to an application

    and affidavit made pursuant to an on-going investigation of

    London, his businesses, and his associates, the district

    court issued two orders authorizing the government to conduct

    electronic surveillance at Heller's. The first order

    authorized, for a thirty-day period, the interception of oral

    communications in and adjacent to the enclosed area in which

    M & L operated; the second authorized, also for a thirty-day



    -5- 5













    period, the recording of wire communications made from two

    telephones located behind the bar. In order to minimize the

    interception of otherwise non-interceptable communications,

    the court's orders limited surveillance to times when named

    targets of the investigation were on Heller's premises. On

    December 3, 1986, the court extended each of the orders for

    an additional thirty days. Evidence derived from these

    interceptions was introduced against London at trial.

    On December 17, 1986, federal agents applied to a

    magistrate judge for a warrant authorizing them to search

    Heller's for evidence of unlawful gambling, loansharking,

    distribution of narcotics, money laundering, and failure to

    file CTRs. The magistrate judge issued the warrant,

    authorizing the agents to search "Heller's Cafe, which

    occupies the first floor and basement of 110 Chestnut Street"

    and to seize "books and records, ledgers, correspondence,

    notes, slips, checks and any other documents, including bank

    records, which reflect unlawful gambling, loansharking,

    narcotics distribution, and failure to file currency

    transaction reports; and U.S. currency which constitutes

    proceeds of these offenses." The agents executed the warrant

    later that day, and seized, inter alia, almost all of the _____ ____

    records found in the enclosed area from which M & L operated.

    Evidence seized in the course of this search was introduced

    against London at trial.



    -6- 6













    On April 11, 1990, a federal grand jury returned a

    two-count indictment charging London with income tax evasion.

    On May 10, 1990, the grand jury returned a fifty-one count

    superseding indictment charging London with, inter alia, the _____ ____

    counts of conviction: one count of RICO conspiracy, 18

    U.S.C. 1962(d); one count of RICO substantive, 18 U.S.C.

    1962(c); twelve counts of money laundering, 18 U.S.C.

    1956(a)(1); twelve counts of failing to file CTRs, 31 U.S.C.

    5313(a) and 5322(b); one count of conspiring to commit

    extortion, 18 U.S.C. 1951; two counts of aiding and

    abetting extortion, 18 U.S.C. 2 and 1951; and one count of

    tax evasion for tax year 1985, 26 U.S.C. 7201. On

    September 5, 1991, the grand jury returned a second

    superseding indictment which charged no new offenses but

    brought the indictment within the purview of the United

    States Sentencing Guidelines by extending the period of the

    alleged RICO conspiracy to after November 1987.

    On August 17, 1992, the district court orally

    denied London's previously-filed motion to suppress the

    evidence seized during the December 17, 1986, search of

    Heller's. On August 18, 1992, the court issued a written

    memorandum and order denying London's previously-filed motion

    to suppress the fruits of the electronic surveillance.

    Trial commenced on January 4, 1993, and concluded

    on February 19, 1993, when the jury returned guilty verdicts



    -7- 7













    on the counts of conviction listed above. The other counts

    contained in the second superseding indictment either had

    been dismissed by the government prior to trial or were

    dismissed by the district court at trial. In addition, the

    jury acquitted London on one money laundering count. On June

    30, 1993, the district court sentenced London. This appeal

    followed.

    II. II. ___

    As set forth above, London's appellate arguments

    fall into three main groups. First, London takes issue with

    the district court's denial of his suppression motions.

    Second, London challenges the jury instructions given in

    connection with the counts of the second superseding

    indictment charging him with failing to file CTRs. Third,

    London makes sundry arguments that there was insufficient

    evidence to support his money laundering and RICO

    convictions. We discuss each of London's arguments in turn.

    A. Denial of the Motion to Suppress the Fruits of the A. Denial of the Motion to Suppress the Fruits of the _____________________________________________________________
    Electronic Surveillance Electronic Surveillance _______________________

    London contends that the district court erred in

    denying his motion to suppress the fruits of the electronic

    surveillance conducted at Heller's in 1986. He claims that

    the aforementioned surveillance ran afoul of Title III of the

    Omnibus Crime Control and Safe Streets Act of 1968, 18 U.S.C.

    2510 et seq. ("Title III") -- the federal statute that __ ____

    governs electronic surveillance -- in five ways: (1) no


    -8- 8













    Department of Justice official designated in 18 U.S.C.

    2516(1) had authorized the local United States Attorney to

    apply for the initial interception orders; (2) the orders

    improperly allowed the government to monitor conversations

    relating to money laundering, which was not an offense for

    which interception could be ordered, see 18 U.S.C. ___

    2516(1)(a)-(o), on the date the interception orders issued;

    (3) the government intercepted and disclosed extortion-

    related conversations -- conversations pertaining to the

    paying of "rent" to Ferrara -- beyond the scope of the

    court's orders; (4) the court ordered and the government

    employed inadequate minimization procedures under 18 U.S.C.

    2518(5); and (5) the government's application misled the

    district court as to the necessity for conducting electronic

    surveillance, in violation of 18 U.S.C. 2518(1)(c).

    Because we are not persuaded by any of these arguments, we

    affirm the district court's denial of the suppression motion.



    1. Internal Authorization under 18 U.S.C. 1. Internal Authorization under 18 U.S.C. ___________________________________________________

    2516(1) 2516(1) _______

    Title III compels local prosecutors to obtain

    internal authorization from a statutorily-designated Justice

    Department official prior to applying for a judicial

    interception order. 18 U.S.C. 2516(1). Failure to comply

    with this "central" provision of Title III requires



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    suppression of the fruits of the unauthorized interception.

    United States v. Giordano, 416 U.S. 505, 524-29 (1974). As _____________ ________

    noted, London contends that the initial interception

    application was not authorized by a statutorily-designated

    Justice Department official. London is mistaken.

    The government attached to its initial interception

    application the first page of a two-page authorization

    memorandum prepared on October 24, 1986, by William F. Weld,

    then the Justice Department's Assistant Attorney General for

    the Criminal Division, and the second page of the cover

    letter which accompanied the Weld memorandum, which was

    signed for Weld by Frederick D. Hess, the Justice

    Department's Director of the Office of Enforcement Operations

    of the Criminal Division. It is undisputed that Weld was a

    statutorily-designated official and Hess was not. In

    rejecting London's suppression motion, the district court

    found that Weld had authorized the interception application

    (as the application had stated) and that "the government

    committed a collating error by providing page one of the Weld

    approval letter followed by page two of a separate letter

    written by Hess to Robert S. Mueller, III, Acting United

    States Attorney for the District of Massachusetts."

    London does not dispute the accuracy of the

    district court's "collating error" finding; nor does he

    disagree that the finding would validate the application if



    -10- 10













    the district court was empowered to look beyond the face of

    the application in deciding whether there had been proper

    authorization. Relying on United States v. Chavez, 416 U.S. ______________ ______

    562 (1974), and United States v. O'Malley, 764 F.2d 38 (1st ______________ ________

    Cir. 1985), he instead argues that the finding cannot save

    the government's application because the district court was

    limited to a "facial analysis" of the authorization in

    determining whether a statutorily-designated official had

    approved the interception application. Even if his

    construction of Chavez and O'Malley is correct (an issue on ______ ________

    which we express significant doubt but no formal opinion),

    the facial analysis London advocates reveals that Weld -- and

    not Hess -- authorized the interception application.

    London's argument hinges entirely on the fact that

    Hess signed on behalf of Weld the second page of the

    miscollated authorizing papers that were attached to the

    interception application. What it neglects to take into

    account, however, is that Weld signed the first page, which ____

    states at the top that it is a memorandum from "William F.

    Weld, Assistant Attorney General, Criminal Division."

    Furthermore, that same first page clearly indicates that the

    Assistant Attorney General in charge of the Criminal Division

    (i.e., Weld) authorized the application:

    By virtue of the authority vested in
    him by Section 2516 of Title 18, United
    States Code, the Attorney General of the
    United States has by Order Number 1088-


    -11- 11













    85, dated March 28, 1985, specially
    designated the Assistant Attorney General
    in charge of the Criminal Division to
    authorize applications for court orders
    authorizing the interception of wire or
    oral communication. As the duly
    appointed Assistant Attorney General in
    charge of the Criminal Division, this
    power is exercisable by me. WHEREFORE,
    acting under this delegated power, I
    hereby authorize the above-described
    [London] application to be made by any
    investigative or law enforcement officer
    of the United States as defined in
    Section 2510(7) of Title 18, United
    States Code.

    Finally, nothing in the text of either page of the papers

    presented to the district court even remotely suggests that

    Hess, and not Weld, authorized the application.

    We therefore reject London's argument that the

    initial interception application was not authorized by a

    statutorily-designated Justice Department official.

    2. Interception of Conversations Relating to 2. Interception of Conversations Relating to _____________________________________________
    Money Laundering Money Laundering ________________

    Title III specifies the offenses for which an

    interception order may issue. 18 U.S.C. 2516(1)(a)-(o).

    Money laundering in violation of 18 U.S.C. 1956 was so

    specified by legislation that became effective October 27,

    1986. Pub. L. 99-570, Title I, 1365(c), Oct. 27, 1986, 100

    Stat. 3207-35. As noted, London argues that the initial

    interception orders authorized the interception of

    conversations relating to money laundering prior to the date

    on which money laundering was added to 18 U.S.C. 2516(1)'s



    -12- 12













    list of offenses. Even if we assume arguendo that the ________

    initial interception orders did authorize the interception of

    conversations relating to money laundering in violation of 18

    U.S.C. 1956 (a position with which the government

    forcefully disagrees and on which we take no position),

    London's argument lacks a factual basis.

    London claims that the district court's initial

    interception orders issued on October 24, 1986, three days

    before money laundering became a predicate offense under 18

    U.S.C. 2516(1). The record reveals, however, that the

    initial interception orders issued on October 28, 1986, not

    October 24, 1986. Thus, money laundering in violation of 18

    U.S.C. 1956 was an offense for which an interception order ___

    could issue at the time of the initial interception orders

    issued in this case.

    We therefore reject London's argument that the

    initial interception orders authorized the interception of

    conversations relating to money laundering at a time when

    money laundering was not a predicate offense under 18 U.S.C.

    2516(1).

    3. Interception and Disclosure of Extortion- 3. Interception and Disclosure of Extortion- ___________________________________________________

    Related Related _______
    Conversations Conversations _____________

    With certain exceptions, Title III prohibits the

    interception and disclosure of conversations other than those

    relating to the offenses specified in the district court's


    -13- 13













    interception order. See generally 18 U.S.C. 2511, 2517, ___ _________

    and 2518(4)(c). As noted, London argues that the government

    wrongfully intercepted and disclosed certain extortion-

    related conversations (i.e., conversations concerning the

    paying of "rent" to Ferrara) despite the fact that the

    district court's initial interception orders did not specify

    extortion in violation of 18 U.S.C. 1951 as a target

    offense. London's claim of governmental overreaching in this

    context is without merit.

    Unlike London's first two arguments, the instant

    one is not built upon a faulty factual basis; extortion in

    violation of 18 U.S.C. 1951 was not a target offense listed

    in the government's interception applications or the district

    court's interception orders. This fact alone, though, does

    not make the interception of the "rent" conversations

    unlawful. Title III clearly contemplates that law

    enforcement officials will, in the course of intercepting

    conversations related to specified target offenses, intercept

    conversations "relating to offenses other than those

    specified in the order of authorization or approval." See 18 ___

    U.S.C. 2517(5). For example, an intercepted conversation

    can relate to both a specified offense and to an unspecified ___

    offense. In such a situation, the interception is unlawful

    only when it is motivated by an illicit purpose -- e.g.,

    "subterfuge" interceptions where the government applies to



    -14- 14













    intercept conversations relating to offenses specified in 18

    U.S.C. 2516(a)-(o) while intending to intercept

    conversations relating to offenses for which interceptions

    are unauthorized or for which it has no probable cause to

    obtain an interception order. See United States v. Angiulo, ___ _____________ _______

    847 F.2d 956,980 (1st Cir.), cert.denied, 488 U.S. 852(1988). ___________

    Here, the intercepted "rent" conversations clearly

    related to at least one offense -- operating a gambling

    business in violation of 18 U.S.C. 1955 -- specified in the

    initial authorization orders. The victims of the

    rent/extortion scheme were bookmakers involved in illegal

    gambling, and the intercepted conversations provided a means

    of identifying them. Moreover, the district court

    supportably found that there was no subterfuge involved in

    the initial interception applications. See Angiulo, 847 F.2d ___ _______

    at 980 (clear-error reviewing standard applicable to finding

    that government's wiretap application was not subterfuge).

    Extortion, after all, is an enumerated offense under 18

    U.S.C. 2516, and there would have been no need for the

    government to engage in subterfuge unless it suspected that

    extortion was taking place but lacked the probable cause

    necessary to intercept conversations pertaining to extortion.

    London makes no argument along these lines, and the record

    does not suggest this sort of governmental deception. The





    -15- 15













    government's interception of the "rent" conversations was

    therefore not unlawful.

    We still must consider whether the government acted

    unlawfully in disclosing the rent conversations during the

    proceedings below. The government argues that the disclosure

    of such "other offense" evidence is permissible so long as

    the information is related to an offense listed in the

    initial authorization orders. Cf. United States v. Shields, ___ _____________ _______

    999 F.2d 1090, 1097 (7th Cir. 1993) ("Since the government

    was free to release this information to a grand jury anyway

    under the [authorization for the offenses listed in the Title

    III order], it is difficult to see how the defendants were

    harmed when the same facts were presented in the context of

    different offenses."), cert. denied, 115 S. Ct. 515 (1994). _____ ______

    We need not reach the merits of this argument, however,

    because we conclude that the district judge who issued the

    initial interception orders impliedly and permissibly

    authorized the disclosure of the conversations at issue.

    Under 18 U.S.C. 2517(5), the government may

    secure a court's blessing to disclose the contents of an

    "other offense" interception in connection with a federal

    prosecution. The relevant statutory provision permits

    disclosure when the interception has been "authorized or

    approved by a judge of competent jurisdiction where such

    judge finds on subsequent application that the contents were



    -16- 16













    otherwise intercepted in accordance with the provisions of

    [Title III]. Such application shall be made as soon as

    practicable." Id. It is settled that disclosure ___

    authorization "can be implicitly obtained when a judge grants

    a renewal of a wiretap after being advised of the essential

    facts of the unspecified violation." United States v. ______________

    McKinnon, 721 F.2d 19, 23-24 (1st Cir. 1983). In other ________

    words, "the disclosure in subsequent affidavits to the

    issuing judge of material facts constituting or clearly

    relating to other offenses satisfies the Government's

    obligation to seek judicial authorization for the disclosure

    and use of evidence inadvertently intercepted." Id. at 24 ___

    (citations and internal quotation marks omitted).

    As the district court found in denying London's

    suppression motion, there was implicit authorization in this

    case. When the government applied for extensions of the

    initial interception orders, its attached affidavit advised

    the court of interceptions containing the essential facts of

    the extortion violations:

    London acts as a bank and account keeper
    for other bookmaking and loansharking
    operations . . . . [Also] London's
    illegal businesses, and the illegal
    businesses for which London keeps the
    accounts, only operate with the consent
    and protection of certain other persons,
    to whom London and others pay a
    percentage of their income . . . .
    Further electronic surveillance is
    necessary, however, to identify the
    balance of the members of each


    -17- 17













    organization and the relationship between
    London, these organizations, and the
    persons to whom `rent' is paid, as
    discussed below.

    The attached affidavit then detailed London's relationship

    with Ferrara. Thus, the court's approval of the extension

    application constituted both an implicit finding that the

    extortion-related conversations were intercepted in

    accordance with the provisions of Title III and permission

    for the subsequent disclosure of the conversations. See ___

    McKinnon, 721 F.2d at 23-24. ________

    London complains that the affidavit not only failed

    to seek approval for subsequent interceptions of extortion-

    related conversations, but it also failed to alert the court

    that some of the intercepted conversations related to "other

    offense" evidence. While we certainly think it advisable

    that the government provide issuing courts with this type of

    notice, we note that it is not a sine qua non of implicit ____ ___ ___

    authorization. We presume that the court read the supporting

    affidavit with care, and took seriously its obligation to

    police the interceptions that were taking place. We require

    no more to infer implicit authorization. Cf. id. at 23 ___ ___

    (supporting affidavits describing communications related to

    other offenses sufficient to ground "reasonable . . .

    conclu[sion]" that issuing judge approved of their

    interception); see also United States v. Masciarelli, 558 ___ ____ _____________ ___________

    F.2d 1064, 1068 (2d Cir. 1977) ("[W]e presume . . . that in


    -18- 18













    renewing . . . the tap the judge carefully scrutinized th[e]

    supporting papers and determined that the statute's

    requirements had been satisfied.") (citation and internal

    quotation marks omitted).

    We therefore reject London's argument that the

    interception and disclosure of the extortion-related

    conversations violated Title III.







































    -19- 19













    4. Minimization under 18 U.S.C. 2518(5) 4. Minimization under 18 U.S.C. 2518(5) __________________________________________

    Title III requires the government to conduct

    electronic surveillance "in such a way as to minimize the

    interception of communications not otherwise subject to

    interception." 18 U.S.C. 2518(5). Without specifying any

    wrongfully intercepted conversations, London asserts that

    there was inadequate governmental minimization during the

    interceptions at Heller's. Although London's argument on

    this issue is a bit disjointed, two alleged inadequacies

    emerge from his brief: (1) the court's order permitting

    surveillance whenever a named target was on Heller's premises

    (instead of a more restrictive order); and (2) the

    government's policy of recording all conversations carried

    out in Spanish unless and until a bilingual agent was

    available to make minimization decisions. In the

    circumstances of this case, we see no error in either the

    court's order or the government's policy regarding

    communications in Spanish.

    In assessing whether the government's minimization

    efforts pass muster under 18 U.S.C. 2518(5), we make an

    objective assessment in light of the facts and circumstances

    known to the government at the relevant points in time. See ___

    Scott v. United States, 436 U.S. 128, 136-37 (1978). When _____ _____________

    making this assessment, we tend to focus on (1) the nature

    and complexity of the suspected crimes; (2) the thoroughness



    -20- 20













    of the government's precautions to bring about minimization;

    and (3) the degree of judicial supervision over the

    surveillance process. United States v. Uribe, 890 F.2d 554, _____________ _____

    557 (1st Cir. 1989); Angiulo, 847 F.2d at 979. We also are _______

    mindful that Title III "does not forbid the interception of

    all nonrelevant conversations, but rather instructs the

    agents to conduct the surveillance in such a manner as to

    `minimize' the interception of such conversations." Scott, _____

    436 U.S. at 140. This means that "[t]he government is held

    to a standard of honest effort; perfection is usually not

    attainable, and is certainly not legally required." Uribe, _____

    890 F.2d at 557.

    London's minimization arguments do not call into

    question any specified acts of the intercepting agents;

    instead, they implicate the thoroughness of certain of the

    court's and government's minimization precautions. In other

    words, they amount to claims that an implicit requirement

    allegedly imposed on the government by Uribe and Angiulo -- _____ _______

    that the government's precautions to bring about minimization ___________

    be sufficiently "thorough" to pass muster under 18 U.S.C.

    2518(5) -- has not been met in this case, and that

    suppression of all intercepted conversations is the

    appropriate remedy. Even if we assume arguendo that London ________

    can win total suppression without challenging the propriety





    -21- 21













    of any particular interceptions, we see no merit in his

    arguments.

    London characterizes as insufficient the court's

    "targeted individual must be on the premises" limitation by













































    -22- 22













    stating:

    Perhaps, an undercover agent acting as a
    patron, could [have] signal[led] when a
    target was talking on a particular
    telephone or near one of the bugs and
    thereby minimize[d] the intrusion into
    the privacy of innocent persons
    conversing at other locations. Perhaps
    monitoring agents could have been
    directed to cease monitoring at any
    device when a target was not heard on
    that device.

    He has not, however, effectively rebutted the government's

    colorful assertion, made both to the district court and on

    appeal, that "had an undercover agent remained inside the

    small, intimate . . . Heller's Cafe to relay a signal every

    time a target spoke into a surveillance device, London would

    have identified him as quickly as Ali Baba in his cave would

    have spotted a spy among his chosen forty." Nor has he

    rebutted the government's sworn assertion that "agents were

    instructed to and did cease monitoring when they determined

    that none of the targets was a party to [a] conversation or

    that only personal, non-criminal activity was discussed." In

    our view, the former of these two assertions is sufficient to

    respond to London's argument that there should have been an

    undercover agent inside Heller's, and the latter effectively

    undermines any suggestion that the monitoring agents were

    free to listen in on the conversations of non-targeted

    individuals.





    -23- 23













    London's challenge to the government's policy

    regarding Spanish conversations is answered more easily:

    when an interpreter is not reasonably available, Title III

    explicitly allows full-scale recording and post hoc ____ ___

    minimization of conversations carried out in foreign

    languages. See 18 U.S.C. 2518(5) ("In the event the ___

    intercepted communication is in a code or foreign language,

    and an expert in that foreign language or code is not

    reasonably available during the interception period,

    minimization may be accomplished as soon as practicable after

    such interception."). Although the above-quoted statutory

    provision was not yet effective at the time of the

    interceptions here at issue (it was passed prior to the

    interceptions but went into effect thereafter), its existence

    as pending legislation renders objectively reasonable the

    government's policy -- which tracked the legislation --

    regarding intercepted conversations carried out in Spanish.

    This was a complex case involving a sophisticated

    defendant, complicated financial dealings, and links to

    organized crime. In view of this, we cannot say that either

    the complained-of minimization precautions or the other

    minimization precautions ordered by the court and taken by

    the government were so lacking in thoroughness that they

    violated Title III.





    -24- 24













    We therefore reject London's minimization

    arguments.

    5. Necessity under 18 U.S.C. 2518(1)(c) 5. Necessity under 18 U.S.C. 2518(1)(c) __________________________________________

    Title III dictates that the government's

    interception application include "a full and complete

    statement as to whether or not other investigative procedures

    have been tried and failed or why they reasonably appear to

    be unlikely to succeed if tried or to be too dangerous." 18

    U.S.C. 2518(1)(c). We have interpreted this "necessity"

    provision to mean that the statement should demonstrate that

    the government has made "a reasonable, good faith effort to

    run the gamut of normal investigative procedures before

    resorting to means so intrusive as electronic interception of

    telephone calls." United States v. Hoffman, 832 F.2d 1299, _____________ _______

    1306-07 (1st Cir. 1987). London argues that the government's

    application misled the court as to the need for electronic

    surveillance by failing to mention that the government had

    not engaged in the following investigative techniques: (1)

    subpoenaing London's bank records; (2) utilizing two

    confidential informants -- Francis McIntyre and John DeMarco

    -- allegedly available to it; and (3) placing undercover

    agents inside of Heller's. London's claims are not

    convincing.

    The first and third of London's claims are

    difficult to fathom, as the affidavit attached to the



    -25- 25













    interception application indicated both that the government

    did review London's bank records (during an unrelated ___

    investigation) prior to applying for the interception orders

    and that undercover infiltration was not available because

    "surveillance observations have disclosed a high degree of

    consciousness by London and others to the possibility of law

    enforcement scrutiny" and because London "requires two known

    references prior to engaging in illegal transactions with a

    person." Other than making the general and unpersuasive

    argument that "visual surveillance by undercover agents" was ___

    possible because Heller's "was fully accessible to the public

    eye" and had no "back rooms," London has not taken issue with

    the affidavit statements. See supra at 21 (noting, in a ___ _____

    different context, London's failure to rebut the government's

    explanation why undercover agents could not insinuate

    themselves into Heller's). And he certainly has not

    explained how the affidavit statements themselves may have

    been misleading. We consequently see no factual basis for

    London's first and third claims.

    As to the claim that the government misleadingly

    failed to disclose the availability of McIntyre and DeMarco

    as informants, London has not even attempted to rebut, by

    pointing to contrary evidence, the district court's findings

    that, at the time of the initial application, the government

    reasonably believed (1) that McIntyre would not testify



    -26- 26













    against London; and (2) that DeMarco's "investigatory

    potential . . . [was] immaterial to the investigation at

    Heller's." In light of this, we cannot say that these

    findings are clearly erroneous. See United States v. ___ ______________

    Schiavo, 29 F.3d 6, 8 (1st Cir. 1994) (findings of fact made _______

    after suppression hearing reviewed for clear error). And the

    findings plainly undermine London's contention that the

    failure to disclose McIntyre's and DeMarco's alleged

    investigatory potential violated 18 U.S.C. 2815(1)(c).

    We therefore reject London's argument that the

    government misled the district court as to necessity when

    applying for the initial interception orders.

    B. Denial of the Motion to Suppress the Evidence Seized B. Denial of the Motion to Suppress the Evidence Seized _____________________________________________________________

    During During ______
    the December 17, 1986, Search of Heller's the December 17, 1986, Search of Heller's _________________________________________

    London argues that the district court erred in

    denying his motion to suppress the evidence seized pursuant

    to the December 17, 1986, search of Heller's -- i.e., almost

    all of M&L's business records, some of Heller's business

    records, and a significant amount of cash on the premises of

    Heller's that day. He characterizes as unconstitutionally

    overbroad the warrant's description of items to be seized:

    "books and records, ledgers, correspondence, notes, slips,

    checks and any other documents, including bank records, which

    reflect unlawful gambling, loansharking, narcotics

    distribution, and failure to file currency transaction


    -27- 27













    reports; and U.S. currency which constitutes proceeds of

    these offenses." He also argues that the officials who

    executed the search could not have held an objectively

    reasonable belief that the overbroad language in the search

    warrant was constitutional. Because we disagree with the

    latter of London's two arguments, we repudiate his assignment

    of errorwithout assessingthe constitutionality ofthe warrant.

    It is well settled that "suppression is appropriate

    only if the officers were dishonest or reckless in preparing

    [the warrant] affidavit or could not have harbored an

    objectively reasonable belief in the existence of probable

    cause." United States v. Leon, 468 U.S. 897, 926 (1984). ______________ ____

    Here, London has not challenged the preparation of the

    warrant affidavit, identified any documents which allegedly

    were seized without probable cause, or argued that the

    executing agents exceeded the warrant's scope. Nor has he

    asserted that there was an absence of probable cause for some ____

    sort of warrant to have issued. Assuming arguendo that ____ ________

    London might still be entitled to suppression without having

    made any of these arguments, our inquiry reduces to whether

    the description of items to be seized was so facially

    defective that an objectively reasonable officer would have

    known of the warrant's unconstitutionality. We hardly think

    so.





    -28- 28













    Even if the description of items to be seized might

    have been more particular, it was not patently overbroad when

    viewed in context. London operated a complex criminal

    enterprise where he mingled "innocent" documents with

    apparently-innocent documents which, in fact, memorialized

    illegal transactions. London also intermingled his

    legitimately-obtained and innocently-obtained currency. It

    therefore would have been difficult for the magistrate judge

    to be more limiting in phrasing the warrant's language, and

    for the executing officers to have been more discerning in

    determining what to seize. In similar circumstances, we have

    stated:

    We must . . . recognize that the inherent
    difficulty in segregating "good" from
    "bad" records, and consequently in
    drawing up an adequately limited warrant,
    makes it difficult for even a reasonably
    well-trained officer, who is not expected
    to be a legal technician and is entitled
    to rely on the greater sophistication of
    the magistrate -- to know precisely where
    to draw the line.

    United States v. Diaz, 841 F.2d 1, 6 (1st Cir. 1988) ______________ ____

    (overturning a suppression order based on an overbroad search

    warrant). Like Diaz, the question whether the description of ____

    items to be seized was unconstitutionally overbroad was, at

    best, close, and the executing officers were objectively

    reasonable in deferring to the magistrate judge's trained

    judgment.




    -29- 29













    We therefore reject London's argument that all the

    evidence seized during the December 17, 1986, search of

    Heller's should have been suppressed.

    C. Jury Instructions Regarding London's Failure to File CTRs C. Jury Instructions Regarding London's Failure to File CTRs _____________________________________________________________

    London argues that we should vacate his convictions

    for failing to file CTRs because the district court

    erroneously informed the jury that London could be convicted

    of the "willful" violation proscribed by 31 U.S.C. 5322(b)

    if he had merely a reckless disregard of his legal duties

    regarding the filing of CTRs. The government takes the

    position that the court's instructions were incorrect in

    light of Ratzlaf v. United States, 114 S. Ct. 655 (1994) _______ ______________

    (knowledge of the illegality of one's actions is necessary to

    sustain a conviction under 31 U.S.C. 5322) (illegal

    structuring case), an opinion issued after London's trial,

    but points to London's failure to object and contends that

    the instructions do not constitute plain error under Fed. R.

    Crim. P. 52(b) (defects not brought to the attention of the

    trial court reviewed for plain error). London counters that

    his failure to object cannot be considered a waiver because

    the instructions were in complete accord with an en banc __ ____

    decision of this court -- United States v. Aversa, 984 F.2d _____________ ______

    493 (1st Cir. 1993) (en banc) (illegal structuring case), __ ____

    vacated, 114 S. Ct. 873 (1994) -- that had been handed down a _______

    mere one month prior to the jury instructions in this case.



    -30- 30













    Before addressing the issue of waiver, we must

    inquire whether the present law of the circuit precludes a

    determination of error even if London has not waived

    objection to the instructions. In a recent decision, another

    panel of this court expressed doubt as to whether Ratzlaf _______

    overruled Aversa's alternative reckless disregard standard. ______

    See United States v. Saccoccia, Nos. 93-1511/1560-63/1616- ___ _____________ _________

    17/2206-07 and 94-1388/1507-08, slip op. at 27 (1st Cir. July

    24, 1995). But this comment was only dictum. It was not

    necessary to the Saccoccia panel's finding that the _________

    instruction challenged in that case was not plainly _______

    erroneous. Id. at 26-27 (noting the defendant's failure to ___

    object). Nor was it implicitly or explicitly relied upon

    when the panel held the evidence sufficient for the jury to

    have found that the defendants "knew that their own

    activities were unlawful." Id. at 32-33. The reckless ___

    disregard standard therefore played no role in the Saccoccia _________

    court's holding. We therefore feel that the question whether _______

    Ratzlaf has impliedly left untouched or overruled Aversa _______ ______

    remains to be decided--if the issue has not been waived.

    Addressing the waiver issue we conclude that

    London's failure to object was excusable under the

    circumstances of this case. The government argues that,

    despite the recency of the Aversa decision and the overall ______

    state of the law at the time of his trial, London has waived



    -31- 31













    any argument that the aforementioned instructions were

    erroneous. While acknowledging that waiver should not "be

    inferred, and no plain error requirement imposed, where [a]

    Supreme Court[] ruling comes out of the blue and could not

    have been anticipated," see United States v. Weiner, 3 F.3d ___ _____________ ______

    17, 24 n.5 (1st Cir. 1993), the government contends that the

    split between this and the other ten circuits as to the

    meaning of willfulness under 31 U.S.C. 5322 "made it likely

    that the issue would be resolved by the Supreme Court" and

    made it incumbent upon London to lodge an objection. In so

    doing, the government relies on our recent decision in United ______

    States v. Marder, 48 F.3d 564 (1st Cir.) (illegal structuring ______ ______

    case), cert. denied, 115 S. Ct. 1441 (1995), where we _____ ______

    indicated that defendant Marder's failure to object to a

    5322 willfulness instruction given prior to Ratzlaf was _______

    inexcusable. Id. at 572 n.5. Marder is not on-point, and ___ ______

    the government's argument is not persuasive.

    As an initial matter, Marder's trial occurred prior

    to our decision in Aversa. Thus, the compelling scenario ______

    presented here -- instructions mirroring exactly the holding

    of a recent en banc opinion of the controlling circuit court __ ____

    -- did not exist in that case. More importantly, however,

    Marder's trial judge, without objection, erroneously

    instructed the jury in accordance with the law in the other

    circuits (i.e., that knowledge of the reporting requirements



    -32- 32













    was all that was needed to establish willfulness under 31

    U.S.C. 5322) despite (1) the existence of authority in this ____

    circuit indicating that knowledge of illegality was necessary

    to establish willfulness under 5322, see Marder, 48 F.3d at ___ ______

    572 n.5 (citing Bank of New England, 821 F.2d 844, 854 (1st ____________________

    Cir.), cert. denied 484 U.S. 943 (1987))); and (2) our recent _____ ______

    withdrawal of an on-point panel opinion and decision to hear

    the Aversa case en banc, see id. In view of these ______ __ ____ ___ ___

    circumstances, which should have put Marder on notice that

    5322's willfulness criterion for illegal structuring might

    imply something more than knowledge of the reporting

    requirements, we deemed inexcusable Marder's failure to

    object to the defective instructions. Id. We therefore ___

    reviewed the instructions only for plain error. Id. ___

    The situation presented in this case is in stark

    contrast to that in Marder. As we have explained, the law of ______

    this circuit was settled by nothing less than a newly-minted

    en banc opinion at the time the trial judge instructed __ ____

    London's jury. This fact alone goes a long way, if not the

    whole way, towards excusing London's failure to object.

    Moreover, at this same time, all eleven circuits had at least

    implicitly indicated that a reckless disregard of legal

    duties regarding the filing of CTRs was sufficient to

    establish willfulness under 31 U.S.C. 5322. See Ratzlaf, ___ _______

    114 S. Ct. at 665 n.3 (Blackmun, J., dissenting) (pointing



    -33- 33













    out the near-uniformity in the circuits that mere knowledge

    of the reporting requirements is enough to establish

    willfulness under 5322, and stating "[t]he only Court of

    Appeals to adopt a contrary interpretation is the First

    Circuit, and even that court allows reckless disregard of

    one's legal duty to support a conviction for structuring")

    (citation and internal quotation marks omitted).

    Consequently, if we conclude that Ratzlaf implicitly held _______

    that a reckless disregard of one's legal duties under the

    reporting requirements is not enough to establish willfulness

    under 5322, such a holding would be precisely the type of

    unanticipated, "out of the blue" Supreme Court ruling we

    alluded to in Weiner. We therefore must proceed to our ______

    interpretation of the scope of Ratzlaf. _______

    In Ratzlaf the trial court instructed the jury that _______

    it could convict even if it found the defendant had no

    knowledge of the anti-structuring statute but acted with the

    purpose of circumventing a bank's reporting obligation. The

    Court stated:

    We hold that the "willfulness"
    requirement mandates something more. To
    establish that a defendant "willfully
    violated" the antistructuring law, the
    Government must prove that the defendant
    acted with knowledge that his conduct was
    unlawful.

    114 S. Ct. at 656.





    -34- 34













    In Aversa, an en banc decision, we held that ______

    "reckless disregard" of the law satisfied the willfulness

    requirements of the structuring statute. 984 F.2d at 502.

    In light of Ratzlaf, Aversa remains law in this circuit only _______ ______

    if reckless disregard falls within Ratzlaf's concept of _______

    "knowledge."

    As we survey post-Ratzlaf law in the circuits, we _______

    find one circuit which has adopted the standard of "actual

    knowledge." United States v. Retos, 25 F.3d 1220, 1230 (3d _____________ _____

    Cir. 1994). Other circuits -- none of whom, pre-Ratzlaf, had _______

    required any knowledge of structuring laws -- have simply

    echoed Ratzlaf's requirement of "knowledge." We are not _______

    helped by these decisions, for we face a different problem:

    having previously articulated a standard which posed what we

    deemed essentially an equivalent to "knowledge," and which,

    while recognized in Ratzlaf, was neither embraced nor _______

    disavowed, shall we proclaim it now alive or dead?

    In short, when should we apply the literal meaning

    of a word used in a Supreme Court decision to a generic

    circumstance that was not in controversy before the Court?

    We begin with the general advice of Chief Justice Marshall in

    Cohens v. Virginia, 6 Wheaton (19 U.S.) 264, 399-400 (1821): ______ ________

    It is a maxim, not to be
    disregarded, that general expressions, in
    every opinion, are to be taken in
    connection with the case in which those
    expressions are used. If they go beyond
    the case, they may be respected, but


    -35- 35













    ought not to control the judgment in a
    subsequent suit when the very point is
    presented for decision.

    An application of this maxim, relevant to the

    instant case, occurred in Armour & Co. v. Wantock, 323 U.S. ____________ _______

    126, 132-34 (1944), where, notwithstanding a definition of

    "work" in a prior Fair Labor Standards Act case as "physical ________

    or mental exertion . . . controlled or required by the ___________________

    employer," the Court, through Justice Jackson, held that a

    company's private firefighters' idle or recreational time on

    duty constituted working time. Justice Jackson explained:

    [W]ords of our opinions are to be read in
    the light of the facts of the case under
    discussion. To keep opinions within
    reasonable bounds precludes writing into
    them every limitation or variation which
    might be suggested by the circumstances
    of cases not before the Court. General
    expressions transposed to other facts are
    often misleading.

    Id. at 133; see also Reiter v. Sonotone Corp., 442 U.S. 330, ___ ___ ____ ______ ______________

    341 (1979) (refusal to limit "business or property," as used

    in 4 of Clayton Act, to "commercial interests or

    enterprises," though so defined in prior Court opinion).

    These and other such cases reflect the Court's

    acknowledgement that "[p]rudence also dictates awaiting a

    case in which the issue was fully litigated below, so that we

    will have the benefit of developed arguments on both sides

    and lower court opinions squarely addressing the question."

    Yee v. Escondido, 503 U.S. 519, 538 (1992). Our position ___ _________



    -36- 36













    naturally follows: "[W]e do not normally take Supreme Court

    opinions to contain holdings on matters the Court did not

    discuss and which, presumably, the parties did not argue.

    Sweeney v. Westvaco Co., 926 F.2d 29, 40 (1st Cir. 1991) _______ _____________

    (Breyer, C.J.) (citing Cousins v. Secretary of the U.S. Dep't _______ ___________________________

    of Transp., 880 F.2d 603, 608 (1st Cir. 1989) (en banc)). __________

    We therefore adopt a restrained role. While we

    might, if writing on a clean slate, accept the narrowest

    interpretation of "knowledge," we will not easily conclude

    that the Court has rejected our prior decision by ambiguous

    inference or opaque implication. We would require a clear

    signal.

    We now look for signals. The case for "actual

    knowledge" is the word itself -- expressing direct

    acquaintance with a fact. This has the virtue of simplicity

    in formulating instructions to a jury. We note, too, the

    fact that the prosecution in our case conceded error, but

    this does not relieve us of our obligation to make a de novo

    decision. We do take cognizance that in Ratzlaf, the Court's _______

    references to Aversa were on points other than the equation ______

    of reckless disregard and knowledge-willfulness. And we also

    take note of the majority's failure to respond to the

    dissent's charge that the Court's decision repealed the

    "reckless disregard" standard of Aversa. ______





    -37- 37













    Looking for contrary indications, we note first,

    that the referent used most often by the Court was

    "knowledge." "Actual knowledge" was used by the majority

    only once, in a parenthetical reference to a 1980 Fifth

    Circuit case. 114 S. Ct. at 660 (citing United States v. ______________

    Warren, 612 F.2d 887 (5th Cir. 1980)). On the other hand, ______

    Ratzlaf cites to a number of other cases requiring less than _______

    actual knowledge. See, e.g., id. (citing cases demonstrating ___ ____ ___

    the use of reasonable inferences to find knowledge).

    Moreover, we find a generally favorable reference

    to Aversa as the only case opposed to a no-knowledge ______

    requirement -- and, while a footnote quoted our "reckless

    disregard" standard along with "knowledge," there was no

    adverse comment or caveat. See id. We do not ascribe to the ___ ___

    majority's failure to take up the gauntlet on the dissent's

    thrust on Aversa as deliberate decision making. ______

    But beyond comments in the Court's opinion, we are

    mindful of the wider scope given definitions of "knowledge"

    in cases and statutes. For example, the cases applying 18

    U.S.C. 656 (bank officer who "willfully misapplies" bank

    funds) have generally held reckless disregard to establish

    the requisite intent to defraud.1 These holdings come close

    ____________________

    1. We have so held in United States v. Cyr, 712 F.2d 729, ______________ ___
    732 (1st Cir. 1983), and in United States v. Fusaro, 708 F.2d _____________ ______
    17, 21 (1st Cir. 1983). Other circuits equate intent to
    injure the bank with reckless disregard of the bank's
    interest. See, e.g., United States v. Hoffman, 918 F.2d 44, _________ _____________ _______

    -38- 38













    to equating, if not precisely doing so, knowledge and

    reckless disregard. We can make the same comment about the

    Supreme Court precedents equating the two concepts in various

    federal statutes. See McLaughlin v. Richland Shoe Co., 486 ___ __________ _________________

    U.S. 128, 133 (1988) ("willfulness" under Fair Labor

    Standards Act means defendant "either knew or showed reckless

    disregard for the matter of whether its conduct was

    prohibited by the statute"); Transworld Airlines v. Thurston, ___________________ ________

    469 U.S. 111, 126 (1985) ("willfulness" under Age

    Discrimination in Employment Act; same definition applied);

    United States v. Murdock, 290 U.S. 389, 395 (1933) ______________ _______

    ("willfulness" under the Revenue Acts of 1926 and 1928, which

    prohibited a "willful" failure to pay a particular tax,

    included "careless disregard [for] whether or not one has a

    right so to act.")

    In the context of the False Statements Act, 18

    U.S.C. 1001, a false statement is made knowingly if

    defendant demonstrated a reckless disregard of the truth,

    with a conscious purpose to avoid learning the truth. United ______

    States v. White, 765 F.2d 1469, 1482 (11th Cir. 1985); United ______ _____ ______

    States v. Evans, 559 F.2d 244, 246 (5th Cir. 1977). A ______ _____

    statutory equating of knowledge and reckless disregard is

    found in the definitions contained in the False Claims Act,

    ____________________

    46 (6th Cir. 1990); United States v. Hansen, 701 F.2d 1215, _____________ ______
    1218 (7th Cir. 1983); United States v. Thomas, 610 F.2d 1166, _____________ ______
    1174 (3d Cir. 1979).

    -39- 39













    31 U.S.C. 3729, which prohibits "knowingly" presenting a

    false or fraudulent claim to the United States Government.

    The definitions of "knowing" and "knowingly" apply to a

    person who, with respect to information, "acts in reckless

    disregard of the truth or falsity of the information, and no

    proof of specific intent to defraud is required." 31 U.S.C.

    3729(b)(3).

    There are also state cases involving fraud actions

    where knowledge of falsity is equated with "utter disregard

    and recklessness." Singh v. Singh, 611 N.E.2d 347, 350 (Ohio _____ _____

    App. 1992); see also James v. Goldberg, 261 A.2d 753, 758 ___ ____ _____ ________

    (Md. 1970)("reckless indifference" can impute knowledge).

    Beyond these instances of the elastic boundaries of

    "knowledge," we are sensible of the practical problems of

    drawing too fine a line. We have accepted the fact that a

    jury "could infer knowledge if a defendant consciously

    avoided learning about the reporting requirements." United ______

    States v. Bank of New England, N.A., 821 F.2d 844, 855 (1st ______ __________________________

    Cir. 1987) also cited with approval in Ratzlaf, 114 S.Ct. at ____ _____ ____ ________ __ _______

    663 n.19. But reckless disregard also, as the instructions

    in this case stated, "involves the conscious disregard of a

    substantial risk." To this the court below added that the

    jury "may consider the frequency with which the defendant was

    involved in transactions which might be reportable . . . ."

    When we carefully scrutinize these instructions and note that



    -40- 40













    not merely the concept of recklessness is involved, but

    reckless disregard, we must acknowledge that the instructions

    require some kind of an awareness of law which is not

    casually or negligently but recklessly disregarded.

    So, while we sympathize with those who would

    interpret Ratzlaf as requiring actual knowledge, we do not _______

    see such a clear signal as would cause us to pronounce the

    demise of Aversa. We hold that the district court's ______

    instruction was a correct application of Aversa, and not ______

    error under Ratzlaf. _______

    We, therefore, affirm London's convictions for failing to

    file CTRs.

    D. Sufficiency of the Evidence as to the Money Laundering D. Sufficiency of the Evidence as to the Money Laundering _____________________________________________________________

    and and ___
    RICO Counts RICO Counts ___________

    London asserts that there was insufficient evidence

    to support his money laundering and RICO convictions. His

    sufficiency arguments are threefold: (1) there was

    insufficient evidence that he laundered money with the intent

    to promote illegal gambling; (2) there was insufficient

    evidence that the enterprise alleged in the indictment was

    cognizable under RICO; and (3) there was insufficient

    evidence of a nexus between the RICO enterprise and the

    racketeering acts involving extortion and the collection of

    illegal debts. Our review of the record persuades us that a

    rational jury drawing reasonable inferences could have made


    -41- 41













    the challenged findings beyond a reasonable doubt. See, ___

    e.g., United States v. Tuesta-Toro, 29 F.3d 771, 776 (1st ____ _____________ ___________

    Cir. 1994) (setting forth standard of review for sufficiency

    challenges), cert. denied, 115 S. Ct. 947 (1995). _____ ______

    1. Money Laundering 1. Money Laundering ____________________

    The money laundering statute under which London was

    convicted subjects to criminal sanctions "[w]ho[m]ever,

    knowing that the property involved in a financial transaction

    represents the proceeds of some form of unlawful activity,

    conducts or attempts to conduct such a financial transaction

    which in fact involves the proceeds of specified unlawful

    activity . . . with the intent to promote the carrying on of ____ ___ ______ __ _______ ___ ________ __ __

    [the] specified unlawful activity." 18 U.S.C. 1956(a) ___ _________ ________ ________

    (1)(A)(i) (emphasis added). Seizing upon the highlighted

    language, London contends that there was insufficient

    evidence that he conducted his check-cashing business with an

    intent to promote the unspecified unlawful activity at issue

    -- i.e., illegal gambling. We disagree.

    There was overwhelming evidence that London failed

    to file CTRs prior to the December 17, 1986, execution of the

    search warrant at Heller's, and that London was aware of the

    reporting requirements during the period in which he failed

    to file CTRs. There also was evidence that London's

    unorthodox operating procedures benefitted his bookmaker

    customers. Finally, there was evidence that London made



    -42- 42













    money with every check he cashed. Thus, there was evidence

    that London knowingly operated his business in an unorthodox

    manner that benefitted both his bookmaker customers and

    (derivatively) himself. In our view, this evidence of mutual

    interest is more than sufficient to sustain an inference that

    London operated his check-cashing business with the intent to

    promote the illegal gambling businesses operated by certain

    of his customers.

    We therefore reject London's argument that there

    was insufficient evidence to support his money laundering

    convictions.

    2. The Enterprise 2. The Enterprise __________________

    The RICO statute prohibits one "employed by or

    associated with" a statutorily-defined "enterprise" from

    conducting the enterprise's affairs "through a pattern of

    racketeering activity or collection of unlawful debt." 18

    U.S.C. 1962(c). The enterprise alleged in the indictment

    was an association between London's Cafe, Inc., d/b/a/

    Heller's -- a corporation -- and M & L -- a sole

    proprietorship. London questions whether there was

    sufficient evidence to sustain a finding that the alleged

    enterprise was cognizable under RICO, arguing that (1) a RICO

    enterprise cannot be an association of legal entities; (2)

    the enterprise did not have a "common or shared purpose which

    animates those associated with it" and did not "function as a



    -43- 43













    continuing unit" with an "ascertainable structure distinct

    from that inherent in the conduct of a pattern of

    racketeering activity," see United States v. Bledsoe, 674 ___ ______________ _______

    F.2d 647, 665 (8th Cir.) (internal quotation marks omitted),

    cert. denied, 459 U.S. 1040 (1982); and (3) the enterprise _____ ______

    was not distinct from London himself. We do not find these

    arguments convincing.

    London's first argument is legal. The RICO statute

    states that the term "`enterprise' includes any individual,

    partnership, corporation, association, or other legal entity,

    and any union or group of individuals associated in fact

    although not a legal entity." 18 U.S.C. 1961(4). London

    contends that, under a plain reading of this provision, an

    association-in-fact RICO enterprise such as the one alleged

    here must be an association of individuals, and cannot ___________

    include legal entities.

    London's argument has been addressed to a number of

    circuit courts, and each has rejected it. See, e.g., United ___ ____ ______

    States v. Console, 13 F.3d 641, 652 (3d Cir. 1993), cert. ______ _______ _____

    denied, 114 S. Ct. 1660 (1994); United States v. Blinder, 10 ______ _____________ _______

    F.3d 1468, 1473 (9th Cir. 1993); Atlas Pile Driving Co. v. _______________________

    DiCon Fin. Co., 886 F.2d 986, 995 n.7 (8th Cir. 1989); United ______________ ______

    States v. Perholtz, 842 F.2d 343, 352-53 (D.C. Cir.), cert. ______ ________ _____

    denied, 488 U.S. 821 (1988). And we recently indicated, ______

    without explicitly considering the issue, that an association



    -44- 44













    between two legal entities and two individuals can constitute

    a RICO enterprise. See Libertad v. Welch, 53 F.3d 428, 444 ___ ________ _____

    (1st Cir. 1995). Today we make explicit what we implied in

    Libertad: two or more legal entities can form or be part of ________ ___

    an association-in-fact RICO enterprise. We think the

    Perholtz panel explained why rather well: ________

    [RICO] defines "enterprise" as including _________
    the various entities specified; the list
    of entities is not meant to be
    exhaustive. "There is no restriction
    upon the associations embraced by the
    definition . . . ." United States v. _____________
    Turkette, 452 U.S. 576, 580 (1981). On ________
    the contrary, Congress has instructed us
    to construe RICO "liberally . . . to
    effectuate its remedial purposes." Pub.
    L. 91-452, 904(a), 84 Stat. 922, 947
    (1970) (reprinted in note following 18 _________ __ ____ _________
    U.S.C. 1961), quoted in Turkette, 452 ______ __ ________
    U.S. at 587; accord Sedima, S.P.R.L. v. ______ _________________
    Imrex Co., 473 U.S. 479, 497-98 (1985). __________
    [The] restrictive interpretation of the
    definition of enterprise would contravene
    this principle of statutory construction.
    [The restrictive] reading of section
    1961(4) [also] would lead to the bizarre
    result that only criminals who failed to
    form corporate shells to aid their
    illicit schemes could be reached by RICO.
    The interpretation hardly accords with
    Congress' remedial purposes: to design
    RICO as a weapon against the
    sophisticated racketeer as well as (and
    perhaps more than) the artless.

    842 F.2d at 343.

    We therefore reject London's argument that an

    association-in-fact RICO enterprise cannot be comprised of

    legal entities.




    -45- 45













    London's second argument presumes that this circuit

    has adopted the test established in Bledsoe, 674 F.2d at 665, _______

    and set forth above. See supra at 40-41. We have not and do ___ _____

    not do so today, because even if we assume arguendo the ________

    test's applicability, there was ample evidence for the jury

    to have found that its requirements were met.

    The jury could have found that there was a common

    or shared purpose animating both the enterprise and London:

    doing commerce with (and thereby profiting from) bookmakers

    engaged in illegal gambling. The evidence that London as an

    individual pursued such a scheme is overwhelming and does not

    need repeating. Moreover, M & L and Heller's were the

    principal means by which London effectuated his plan. The

    jury reasonably found that London used M & L to launder (for

    a profit) the proceeds of illegal gambling for his bookmaker

    customers, and could have found that he used the privacy

    afforded by Heller's to shield M & L from close scrutiny, to

    arrange meetings between Ferrara and his bookmaker customers,

    and to collect "rent" for Ferrara.

    The jury also could have found that the enterprise

    functioned as a continuing unit and had an ascertainable

    structure distinct from that inherent in the conduct of a

    pattern of racketeering activity. As to the latter of these

    two requirements, M & L and Heller's were legitimate entities

    that did a significant amount of business completely separate



    -46- 46













    from the pattern of racketeering activity at issue in this

    case. Heller's was a bar where drinks and food were sold.

    M & L was a check-cashing business -- located inside of

    Heller's and operated by the same individual who ran Heller's



    -- that cashed checks for customers willing to pay it a

    commission. As to the former requirement, the jury could

    reasonably have surmised that M & L and Heller's operated as

    a symbiotic unit (M & L providing a ready source of cash for

    Heller's customers; Heller's customers taking advantage of

    M & L's convenience), and that they existed for a common

    purpose: the economic gain of London.

    We therefore reject London's argument that the

    Bledsoe standard has not been met in this case. _______

    London's third argument derives from the fact that

    "[w]e have consistently interpreted [RICO's] requirement that

    a culpable person be `employed by or associated with' the

    RICO enterprise as meaning that the same entity cannot do

    double duty as both the RICO defendant and the RICO

    enterprise." Miranda v. Ponce Fed. Bank, 948 F.2d 41, 44 _______ ________________

    (1st Cir. 1991) (quoting 18 U.S.C. 1962(c)). He contends

    that he, the defendant named in the indictment, is legally

    indistinguishable from M & L and Heller's.

    His argument overlooks the fact that M & L, though

    a sole proprietorship, had at least one employee other than



    -47- 47













    himself, and the fact that Heller's was incorporated and had

    several employees other than himself. No more is required to

    establish the separateness required by RICO. As Judge Posner

    explained in responding to a similar argument:

    If the one-man band incorporates, it gets
    some legal protections from the corporate
    form, such as limited liability; and it
    is just this sort of legal shield for
    illegal activity that RICO tries to
    pierce. A one-man band that does not
    incorporate, that merely operates as a
    proprietorship, gains no legal
    protections from the form in which it has
    chosen to do business; the man and the
    proprietorship really are the same entity
    in law and fact. But if the man has
    employees or associates, the enterprise
    is distinct from him, and it then makes
    no difference, so far as we can see, what
    legal form the enterprise takes. The
    only important thing is that it be either
    formally (as when there is incorporation)
    or practically (as when there are people
    besides the proprietor working in the
    organization) separable from the
    individual.

    McCullough v. Suter, 757 F.2d 142, 144 (7th Cir. 1985). __________ _____

    We therefore reject London's argument that he and

    the RICO enterprise alleged in the indictment are legally

    indistinguishable.














    -48- 48













    3. Nexus between Enterprise and Racketeering Acts 3. Nexus between Enterprise and Racketeering Acts __________________________________________________
    Involving Extortion and the Collection of Illegal Involving Extortion and the Collection of Illegal ___________________________________________________
    Debt Debt ____

    London's final argument is that there was no nexus

    between the enterprise and the racketeering acts involving

    extortion and the collection of illegal debt, and that we

    therefore must set his RICO convictions aside. We need not

    and do not reach this argument. As we have pointed out,

    London's RICO convictions are sustainable so long as we can

    tell with certainty that the jury found that he committed two

    sufficient predicate acts. See supra at 39 (quoting Angiulo, ___ _____ _______

    897 F.2d at 1198). Here, the jury sustainably found that

    London committed numerous predicate acts of money laundering.

    Thus, even if there were no nexus between the enterprise and

    the racketeering acts involving extortion and the collection

    of illegal debt (an issue on which we express no opinion), we

    would sustain London's RICO convictions.

    III. III. ____

    For the reasons stated, the judgment of the

    district court is affirmed. affirmed ________















    -49- 49






Document Info

Docket Number: 93-1898

Filed Date: 9/18/1995

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (35)

United States v. Schiavo , 29 F.3d 6 ( 1994 )

Clarissa Miranda A/K/A Clarissa Miranda Rodriguez v. Ponce ... , 948 F.2d 41 ( 1991 )

United States v. Tuesta Toro , 29 F.3d 771 ( 1994 )

United States v. Paul O'Malley , 764 F.2d 38 ( 1985 )

Dolores Sweeney v. Westvaco Company, Dolores Sweeney v. ... , 926 F.2d 29 ( 1991 )

Lydia Libertad v. Father Patrick Welch , 53 F.3d 428 ( 1995 )

United States v. Bank of New England, N.A. , 821 F.2d 844 ( 1987 )

United States v. Nestor Uribe, United States of America v. ... , 890 F.2d 554 ( 1989 )

Michael Cousins v. Secretary of the United States ... , 880 F.2d 603 ( 1989 )

United States v. Barry Hoffman , 832 F.2d 1299 ( 1987 )

United States v. Leoncio L. Diaz, A/K/A Leonel Diaz , 841 F.2d 1 ( 1988 )

United States v. John S. McKinnon , 721 F.2d 19 ( 1983 )

United States v. Marie v. Cyr , 712 F.2d 729 ( 1983 )

United States v. Marder , 48 F.3d 564 ( 1995 )

United States v. James T. White, Jr., Arthur L. Boschen, ... , 765 F.2d 1469 ( 1985 )

United States v. Donald Thomas , 610 F.2d 1166 ( 1979 )

United States v. John L. Warren, Jr., David Defina, Des E. ... , 612 F.2d 887 ( 1980 )

United States v. Richard P. Console, United States of ... , 13 F.3d 641 ( 1993 )

United States v. William Byron Evans, A/K/A Wesley Evans, ... , 559 F.2d 244 ( 1977 )

United States v. George Retos, Jr. , 25 F.3d 1220 ( 1994 )

View All Authorities »