Gonpo v. Sonam's Stonewalls & Art, LLC ( 2022 )


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  •           United States Court of Appeals
    For the First Circuit
    No. 21-1352
    JAMPA GONPO, on behalf of himself and others similarly situated,
    Plaintiff, Appellee,
    v.
    SONAM'S STONEWALLS & ART, LLC, d/b/a Sonam's Stonewalls and Art;
    SONAM RINCHEN LAMA,
    Defendants, Appellants.
    APPEAL FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF MASSACHUSETTS
    [Hon. Mark G. Mastroianni, U.S. District Judge]
    Before
    Thompson, Howard, and Gelpí,
    Circuit Judges.
    Thomas T. Merrigan, with whom Sweeney Merrigan Law, LLP was
    on brief, for appellants.
    Tiffany Troy, with whom Aaron B. Schweitzer and Troy Law,
    PLLC were on brief, for appellee.
    July 15, 2022
    THOMPSON, Circuit Judge.          A Springfield, Massachusetts
    jury found defendants Sonam Rinchen Lama and Sonam's Stonewalls &
    Art, LLC (collectively, "Lama"1) liable for failing to pay all the
    wages      owed   to    their   former    employee,    plaintiff    Jampa    Gonpo.
    Appealing from the hefty tab the jury left him, Lama trains his
    focus on two of the district court's evidentiary decisions -- one
    to exclude, and one to admit evidence -- and asks us to remand for
    a new trial.         Discerning no reversible error, we affirm.
    BACKGROUND
    Gonpo originally hails from Nepal, where he first met
    Lama (a Tibetan immigrant) in 2004.2                While in Nepal on a trip,
    Lama       befriended    Gonpo,   and    three   years     later,   there   was   an
    arrangement between the two for Gonpo to move to the United States.
    There was some dispute at trial over who asked whom to come over,
    but suffice it to say that Lama fronted the cash for the $20,000
    bill of getting Gonpo here.             Soon after Gonpo's arrival stateside,
    he began working for Lama in Lama's stonemasonry business in 2008.
    The     stonemasonry      business     is   seasonal.        Workers
    generally don't start up until sometime around March or April
    1Throughout the trial, the parties did not make clear
    distinctions in testimony, questioning, or argument between Mr.
    Lama and the limited liability company, and they continue the same
    tack on appeal. So we will not distinguish between the two parties
    either.
    The parties interchange the use of "Tibet" and "Nepal," so
    2
    we do our best to distinguish between the two.
    - 2 -
    because, any earlier, the ground is still frozen from the New
    England winter, and things usually end sometime in November or
    December, when the first snowfall comes.
    Hotly in dispute in this case was how many hours per
    week workers toiled during those in-season months.       On the one
    hand, Gonpo testified that he and his associates worked six days
    per week (with only Sundays off), with weekly hours totaling about
    56 or 57 hours.    He lined up testimony from one of his former
    colleagues that his hours were similar.    Lama, though, claims that
    none of his employees worked more than 40 hours in a week, and he
    lined up testimony from three of his other employees to that
    effect.    Yet Lama has no timekeeping records to back up that
    assertion, instead casting blame on his bookkeeper, on whom he
    relied to handle that part of the business, but who according to
    Lama turned out to be incompetent and a thief.
    Gonpo held his position with Lama's business until the
    end of the season in 2015, after which he was fired in February
    2016.   His termination came in the wake of allegations from Lama's
    then-16-year-old daughter that Gonpo had raped her.    After police
    reports were generated and an investigation concluded, Gonpo was
    charged in Massachusetts state court.      Following a trial he was
    ultimately acquitted.
    Not long after the criminal proceedings were instituted
    in 2016, Gonpo filed this lawsuit.     He brought a host of claims
    - 3 -
    both on his own behalf and as a putative class action on behalf of
    other employees similarly situated.3              As relevant to our review,
    his allegations included claims that Lama failed to pay him a
    minimum wage for all hours worked and failed to appropriately pay
    overtime, in violation of both the federal Fair Labor Standards
    Act,       
    29 U.S.C. §§ 206
    (a)(1),        207(a)(1),      215(a)(2),      and
    Massachusetts law, 
    Mass. Gen. Laws ch. 149, § 148
     and ch. 151
    §§ 1A–1B.         Under the applicable statutes of limitations, the
    relevant time period for Gonpo's claims was from September 2013
    through November 2015.
    After pre-trial motion practice seeking some advance-
    of-trial        evidentiary   rulings    (some    of   which    we'll   get   into
    shortly), the case was put to a jury over the course of five days.
    Objections       and   sidebar   conferences     abounded      during   the   tense
    trial, as the parties scrapped over the admissibility of various
    testimonies and pieces of evidence throughout.                   Ultimately, the
    jury returned a verdict finding for Gonpo.              After some more post-
    trial motion-practice skirmishes, Lama timely appealed (though his
    notice of appeal has since become a subject of controversy, which
    we'll get to soon).
    No one opted into the class, so the case went to trial as
    3
    an action by only Gonpo.
    - 4 -
    DISCUSSION
    I.   The Impeachment Evidence
    We begin with the district court's exclusion of evidence
    that Lama's then-16-year-old daughter accused Gonpo of rape just
    months before Gonpo began to pursue the wage claims at issue here.
    Pre-trial,    Lama    moved   in     limine    for   permission    to   introduce
    evidence of these allegations to show that Gonpo brought this suit
    to manipulate the rape prosecution and pressure Lama's daughter to
    drop the case.       Gonpo, of course, opposed the introduction of this
    evidence, contending the evidence was immaterial and subject to
    exclusion under Rule 403 given its great possibility for prejudice.
    After    a   hearing,    the     district   court    denied   Lama's
    motion, thus excluding any evidence of the rape allegations from
    trial.   The district court said that the allegations "appear
    irrelevant to the [wage] claims," but also recognized that "[i]t
    is possible that the allegations motivated [Gonpo] to bring this
    lawsuit" and that they could show that Gonpo had a motive to
    "fabricate[]" his claims, though calling them "tenuously relevant
    at best."      Nonetheless, the district court found the evidence
    "incendiary" and concluded it would be "improper, unfair, and
    unnecessary" to allow the evidence. "Moreover," the district court
    said, where a plaintiff is entitled to relief, his "motives for
    bringing suit are immaterial."          Lama now calls foul.
    - 5 -
    Federal      Rule        of     Evidence         404(b)    prohibits       the
    introduction of a person's prior crimes or bad acts when used "to
    prove a person's character in order to show that on a particular
    occasion the person acted in accordance with the character."                           This
    rule is not, however, "an absolute bar" to the admission of prior-
    bad-acts evidence.       United States v. Gentles, 
    619 F.3d 75
    , 86 (1st
    Cir. 2010).       Evidence of prior bad acts may be admitted if it
    passes a two-part test.          
    Id.
    First,      the     bad-act          evidence      must     have    "special
    relevance,"    meaning        that    it    is    not    admitted      solely   to     show
    propensity.       United States v. Doe, 
    741 F.3d 217
    , 229 (1st Cir.
    2013).    Included in that category of special relevance is evidence
    designed to "prov[e] motive, opportunity, intent, preparation,
    plan,    knowledge,     identity,          absence      of    mistake,    or    lack    of
    accident."     Fed. R. Evid. 404(b)(2).                 That list, however, "is not
    exhaustive."       Udemba v. Nicoli, 
    237 F.3d 8
    , 15 (1st Cir. 2001).
    Second, if the evidence has some special relevance, it still must
    clear the strictures of Rule 403, which provides that a "court may
    exclude relevant evidence if its probative value is substantially
    outweighed    by    a   danger       of,"    among       other    concerns,     "unfair
    prejudice."       Fed. R. Evid. 403; see Doe, 741 F.3d at 229.
    We review the district court's judgment calls on this
    two-part test for abuse of discretion.                    See Doe, 741 F.3d at 229.
    "Within    this    rubric,"      though,         "abstract     legal     questions     are
    - 6 -
    reviewed de novo with the understanding that a material error of
    law is always an abuse of discretion."       United States v. Pires,
    
    642 F.3d 1
    , 10 (1st Cir. 2011).     Moreover, on the second part of
    the test (the balancing act under Rule 403), we have made clear
    that the district court's discretion is especially broad.      "Only
    rarely -- and in extraordinarily compelling circumstances -- will
    we, from the vista of a cold appellate record, reverse a district
    court's on-the-spot judgment concerning the relative weighing of
    probative value and unfair effect."     Doe, 741 F.3d at 229 (cleaned
    up) (quoting United States v. Li, 
    206 F.3d 78
    , 84–85 (1st Cir.
    2000)).
    Lama first contends that the district court failed to
    employ our two-step analysis.     Rather than grapple with the non-
    propensity test under Rule 404(b), Lama claims, the district court
    erroneously concluded that Gonpo's improper motive in bringing
    this suit was "irrelevant."   He styles this error -- the supposed
    error in failing to apply the two-step test -- a legal one, and
    thus suggests de novo review applies.
    However, we do not read the district court as failing to
    employ the proper test. Indeed, the court did assess the relevance
    of the evidence here, but found it "irrelevant" or "immaterial."
    And although the district court made those comments about motive
    being immaterial, the court's ruling nonetheless makes clear that
    the primary basis for its ruling was Rule 403's balancing test.
    - 7 -
    On that point, the district court considered the relevance of the
    "possib[ility] that the [rape] allegations motivated [Gonpo] to
    bring    this   lawsuit,"   calling   them    "tenuously   relevant,"     and
    acknowledged Lama's argument that they provided motive for Gonpo
    to "fabricate[]" his claims.      But balancing that probative value,
    the court merely concluded that, "provided how incendiary this
    evidence is, . . . it would be improper, unfair, and unnecessary"
    to admit it.      The court continued, Gonpo "has the right to have a
    jury assess his claim without unfair prejudice, regardless of his
    reasons for asserting it."        We thus see the district court as
    acknowledging the potential probative value of the evidence, but
    nonetheless finding it excludable under Rule 403.               Given that
    principal basis for its ruling, we next proceed to reviewing the
    district court's Rule 403 analysis.       See United States v. Gilbert,
    
    229 F.3d 15
    , 22–23 (1st Cir. 2000) (taking the same route).
    On the Rule 403 balancing act, Lama does nothing to
    question the district court's on-the-spot judgment -- rather he
    attacks only the court's failure to recognize the relevance of the
    evidence.       Even though we are a bit skeptical of the district
    court's    discounted-probative-value        analysis   under   404(b),   we
    nonetheless find no abuse of discretion in the court's Rule 403
    evaluation.4      See Gilbert, 
    229 F.3d at 23
     ("Although the non-
    4  Our   skepticism   flows   from    the  district    court's
    characterization of Gonpo's motives for bringing suit here as being
    - 8 -
    comprehensive nature of the district court's written remarks on
    the matter leaves us less than entirely confident in its conclusion
    that the . . . evidence would be unlikely to have any probative
    value, we are not convinced that relevant matters deserving of
    significant weight have been overlooked in the course of the
    court's Rule 403 balancing." (emphases in original) (internal
    quotation marks, citation, and footnote omitted)).
    Rule 403 provides a mechanism to guard against the
    possibility that "evidence could . . . cause the jury to condemn
    entirely "irrelevant" or "immaterial."     See Pittsley v. Warish,
    
    927 F.2d 3
    , 10 (1st Cir. 1991) (concluding that charges against
    the plaintiff were "probative in demonstrating motive and bias" in
    a civil suit against the police officer who arrested the plaintiff
    and testified against her at an earlier criminal trial leading to
    her conviction), overruled in part on other grounds as recognized
    by Martínez v. Cui, 
    608 F.3d 54
    , 63–65 (1st Cir. 2010); accord
    Heath v. Cast, 
    813 F.2d 254
    , 259 (9th Cir. 1987) ("Evidence of
    Heath's prior arrest, and of his brother's prior misdemeanor
    convictions, were probative of their bias against the Newport Beach
    police and of Heath's motive in bringing this action.").
    We also share Lama's concern with the district court's
    citation to Johnson v. King-Richardson Co., 
    36 F.2d 675
    , 677 (1st
    Cir. 1930), in this context.    Johnson is not only a case from
    before the enactment of the Federal Rules of Evidence, it also did
    not involve the admissibility of evidence.     See 
    id.
     at 676–77.
    Johnson was an appeal from a dismissal of a suit, and the suit was
    dismissed at least in part because the district court found that
    the plaintiff's "motive or purpose in instituting this suit was
    not in good faith to redress wrongs honestly believed to exist,
    but to drive the corporation out of business." 
    Id. at 676
    . We
    reversed, noting that "[t]he rule generally prevailing is that,
    where a suitor is entitled to relief in respect to the matter
    concerning which he sues, his motives are immaterial." 
    Id.
     As we
    just suggested, it would be rare that a party's motives for
    bringing suit would be wholly immaterial to the credibility of
    their testimony. See Pittsley, 
    927 F.2d at 10
    .
    - 9 -
    a [party] based on passion or bias, for example, which is a no-
    no."   United States v. Jones, 
    748 F.3d 64
    , 71 (1st Cir. 2014).   As
    we have explained in the criminal context, Rule 403 is concerned
    with "a jury that uses that evidence to convict because it is
    disgusted by the defendant's criminal past rather than convinced
    that he did the crime charged." 
    Id.
     Recognizing this possibility,
    "we have upheld the exclusion of prior bad act evidence in part
    because it was 'undeniably explosive,'" or "is a 'shocking or
    heinous crime likely to inflame the jury.'"        United States v.
    Varoudakis, 
    233 F.3d 113
    , 122 (1st Cir. 2000) (first quoting
    Gilbert, 
    229 F.3d at 26
    ; then quoting United States v. Moccia, 
    681 F.2d 61
    , 64 (1st Cir. 1982)).
    The proposed evidence here is of that cloth. Allegations
    that Gonpo raped Lama's then-16-year-old daughter would certainly
    be "explosive" evidence of a "shocking or heinous crime likely to
    inflame the jury."    
    Id.
       Those allegations raise the specter that
    even if the jurors believed that Gonpo had a legitimate wage claim
    uninfected with bad motive, they might nonetheless find against
    Gonpo out of disgust for his bad acts -- particularly where finding
    for Gonpo would foist a financial burden on the family of the
    alleged victim.      And that is precisely the concern that the
    district court here, aligning with Rule 403, sought to avoid. This
    - 10 -
    is far from the rare and extraordinarily compelling circumstance
    where we will reverse that judgment call.5
    Nor, we note, was Lama's defense entirely hamstringed as
    he now bemoans.     Contrary to Lama's assertion that he was "robbed"
    of his ability to draw Gonpo's credibility into question, Lama
    spent    time   aplenty   poking   holes    in   Gonpo's   story   on   cross-
    examination.6 For example, Lama tried to muddy Gonpo's credibility
    by pointing out that on multiple occasions Gonpo's trial testimony
    about what he was paid was inconsistent with his written discovery
    and deposition responses.          Lama also introduced evidence that
    called into question       other parts      of Gonpo's testimony.         For
    instance, Gonpo claimed he never took any vacation breaks, but
    5 Just FYI:    Regardless of whether the district court's
    relevancy ruling was under Rule 404(b) or Rule 401, the soundness
    of the Rule 403 determination means there was no reversible error.
    6  We acknowledge the important role attacking Gonpo's
    credibility played to Lama's defense. Because Lama's bookkeeper
    apparently failed to keep records, Gonpo was entitled to a burden-
    shifting instruction under Anderson v. Mt. Clemens Pottery Co.,
    
    328 U.S. 680
    , 687–88 (1946). Mt. Clemens provides that where an
    employer fails to keep adequate records, the employee can meet her
    FLSA burden by "prov[ing] that [s]he has in fact performed work
    for which [s]he was improperly compensated and . . . produc[ing]
    sufficient evidence to show the amount and extent of that work as
    a matter of just and reasonable inference." 
    Id. at 687
    . When the
    worker does so, "[t]he burden then shifts to the employer to come
    forward with evidence of the precise amount of work performed or
    with evidence to negative the reasonableness of the inference to
    be drawn from the employee's evidence." 
    Id.
     at 687–88. "If the
    employer fails to produce such evidence, the court may then award
    damages to the employee, even though the result [may] be only
    approximate." 
    Id. at 688
    .
    - 11 -
    Lama introduced contradictory testimony that Gonpo did in fact
    take time off for various religious events or holidays.   Further,
    Lama got Gonpo to concede during cross-examination that all of the
    workers followed the same schedule, and then during his defense
    brought in three other employees who said they didn't work the 57-
    hour schedule Gonpo claims to have done. And Lama further attacked
    Gonpo's credibility when during cross-examination, Lama questioned
    Gonpo about wiring money he made back to his family in Tibet, which
    according to Lama, totaled more than Gonpo claimed to have been
    paid by Lama in certain years.     Not to mention Gonpo conceding
    during cross that he was canned from his job for something that
    "had nothing to do with the work" -- a detail that suggested Gonpo
    had some motive to fabricate his claims.   In short, Lama had other
    opportunities, using less incendiary evidence, to marshal a robust
    defense.
    II.   Colleague's Testimony and Related Evidence
    Lama next claims error in the district court's admission
    of testimony, along with documentary evidence, from one of Gonpo's
    former colleagues, Jamyang Gyatso.
    Before we dive into these issues, we begin with a brief
    procedural recap.    Gyatso testified (over objection) at trial
    concerning his own experience working for Lama from 2008 to 2013,
    the last year of which overlapped with Gonpo's work during the
    - 12 -
    relevant limitations period.         As part of that testimony, Gyatso
    testified, as relevant here, that:
    •       he worked with Gonpo on some projects;
    •       he usually worked approximately 57 hours per week;
    •       he kept a pocket calendar (the 2012 version of which
    was introduced into evidence) to record his hours
    and then submitted the calendar to Lama to be paid;
    and
    •       Lama did not pay him timely or at the overtime rate
    he earned, instead keeping a balance of overtime
    hours    worked   and   wages   owed   that   never   got
    compensated.
    Lama raised a score of objections to this testimony and
    evidence at different stages in the litigation.           Starting before
    trial, Lama moved         in limine to exclude Gonpo from admitting
    testimony concerning Lama's pay practices as to other employees.
    The district court reserved ruling on the objection until trial,
    at which point the parties again jockeyed over the evidence.
    Before Gyatso took the stand, Lama objected that testimony from
    Gyatso concerning his own work experience and the hours he worked
    would   present    inadmissible      404(b)   prior-bad-acts     evidence.
    Responding, Gonpo contended the evidence went to corroborate his
    own story of hours worked and amounts paid, and suggested it was
    admissible as evidence of Lama's business practice.             In retort,
    - 13 -
    Lama argued Gyatso's testimony was "not being offered" to establish
    the business practice and stressed that Lama's business practice
    was not at issue in the case.    The district court overruled the
    objection and allowed Gyatso to testify.
    But that was not the end of it.      Lama objected again
    when Gonpo sought admission of Gyatso's pocket calendar, which,
    according to Gyatso, reflected his recording of the hours he worked
    in the 2012 season. Again, Lama protested that Gyatso's statements
    of what he worked were "not relevant" to testify to Lama's business
    practices.   When the district court suggested the pocket calendar
    was admissible under Rule 406 as evidence of Lama's business
    practice, Lama again had two rejoinders.     First, he claimed the
    evidence could not demonstrate business practices in 2013 (during
    the limitations period) because Gyatso supposedly testified that
    the business practices changed that year.    And second, he argued
    that Gyatso's "own subjective recording of time in a period that
    precedes the statutory claim period is not relevant and i[s]
    prejudicial."   Sticking to its Rule 406 musing, the district court
    again overruled the objection.
    On appeal wielding a hatchet instead of a scalpel, Lama
    claims that the entirety of Gyatso's testimony, as well as his
    pocket calendar recording his 2012 work hours, are inadmissible
    under either Rule 406 or Rule 404(b).
    - 14 -
    A.   Appellate Jurisdiction
    Before we can get to the merits of these particular
    challenges, Gonpo interposes a procedural roadblock:             Unlike the
    claims already discussed, he says we lack jurisdiction to review
    these district-court evidentiary rulings because Lama's notice of
    appeal did not include them in the list of orders appealed.
    Under the Federal Rules of Appellate Procedure, a notice
    of appeal must "designate the judgment -- or the appealable order
    -- from which the appeal is taken."           Fed. R. App. P. 3(c)(1)(B)
    (effective Dec. 1, 2021).7 We can exercise jurisdiction over those
    orders "fairly raised within th[e] notices."            Constructora Andrade
    Gutiérrez, S.A. v. Am. Int'l Ins. Co., 
    467 F.3d 38
    , 44-45 (1st
    Cir. 2006).
    Under the rules in effect at the time that Lama filed
    his notice of appeal, there were two ways a notice of appeal could
    designate the appellate issues.          Denault v. Ahern, 
    857 F.3d 76
    ,
    81–82 (1st Cir. 2017).       First, the simple way:       identify the final
    judgment and that's it.       When a party did that, we said the notice
    "encompasses    not   only    that    judgment,   but    also   all   earlier
    interlocutory orders" since those earlier orders "merge in the
    judgment."    United States ex rel. Booker v. Pfizer, Inc., 
    847 F.3d 7
     The version in effect before December 1, 2021, provided that
    an appellant had to "designate the judgment, order, or part thereof
    being appealed." Fed. R. App. P. 3(c)(1) (2019).
    - 15 -
    52, 55 (1st Cir. 2017) (quoting John's Insulation, Inc. v. L.
    Addison & Assocs., Inc., 
    156 F.3d 101
    , 105 (1st Cir. 1998)).
    Second, the riskier option:          itemize the individual rulings you
    wanted to appeal from.      See Denault, 857 F.3d at 81.       But we warned
    litigants before:        That approach is "perilous."          Id.   If, on
    appeal, we found "it clear that the object of th[e] [appellate]
    challenge was not presciently included in the itemized list of
    rulings appealed, we will have no jurisdiction to consider the
    challenge."     Id.
    This case poses a slightly different conundrum.           Gonpo
    is correct that Lama itemized certain interlocutory rulings in his
    notice of appeal.      And Gonpo is correct that Lama did not specify
    the district court's decisions on Gyatso's testimony and pocket
    calendar in that list.     But that wasn't all the notice did.       Lama's
    notice of appeal also said that he was appealing from the final
    judgment, in which -- at least theoretically -- those decisions
    would have merged.
    We have treated this scenario a bit schizophrenically in
    the past.     Compare Booker, 847 F.3d at 55 (finding jurisdiction
    because "[w]hile the notice did specify certain other orders issued
    by the district court, it also specified the court's May 26, 2016
    final judgment disposing of the case"), with Denault, 857 F.3d at
    82   (finding   no    jurisdiction    because   the   order   challenged   in
    briefing was not among the itemized list, even though the notice
    - 16 -
    of appeal identified the "Amended Judgment" in that list)8, and
    Constructora Andrade Gutiérrez, 467 F.3d at 44–45 (finding no
    jurisdiction from an itemized list even though the notice of appeal
    specified the "final amended judgment")9.
    Rule 3 was, however, amended effective December 1, 2021.
    See Order Adopting Amendments to the Federal Rules of Appellate
    Procedure at 3 (2021), https://www.supremecourt.gov/orders/court
    orders/frap21_9p6b.pdf     [hereinafter         "Order        Adopting   2021
    Amendments"].   The amendments came to the fore as a result of the
    advisory   committee's   recognition   of   a    host    of    jurisdictional
    "traps" the Rule had littered about for all but the savviest
    litigants.    See Fed. R. Civ. P. 3, advisory committee's notes to
    the 2021 amendment [hereinafter "Rule 3 2021 Committee Notes"].
    As the committee put it, a "notice of appeal is supposed to be a
    simple document that provides notice that a party is appealing and
    invokes the jurisdiction of the court of appeals" -- "[i]t is the
    role of the briefs, not the notice of appeal, to focus the issues
    on appeal."   Id.
    8 See Notice of Appeal, Denault v. Ahern, Civil No. 14-13687
    (D. Mass. Nov. 20, 2015), ECF No. 147.
    9 See Notice of Appeal, Constructora Andrade Gutiérrez, S.A.
    v. Am. Int'l Ins. Co., Civil No. 99-1811 (D.P.R. Aug. 3, 2005),
    ECF No. 132; Am. Notice of Appeal, Constructora Andrade Gutiérrez,
    Civil No. 99-1811 (D.P.R. Aug. 11, 2005), ECF No. 134.
    - 17 -
    The amendments helped further that general principle in
    a few ways, two of which deserve a highlight here.       One part of
    the amendment alerts parties to the merger rule we just discussed
    above, telling them that "[t]he notice of appeal encompasses all
    orders that, for purposes of appeal, merge into the designated
    judgment or appealable order," and instructing them that "[i]t is
    not necessary to designate those orders in the notice of appeal."
    Fed. R. App. P. 3(c)(4); see also Rule 3 2021 Committee Notes
    (specifying that the amendment "does not attempt to codify the
    merger principle but instead leaves its details to case law").
    And, as most pertinent here, the Rule also now provides that "[a]n
    appellant may designate only part of a judgment or appealable order
    by expressly stating that the notice of appeal is so limited."
    Fed. R. App. P. 3(c)(6).    But, it makes clear, "[w]ithout such an
    express statement, specific designations do not limit the scope of
    the notice of appeal."     Id.
    As the committee notes to the amendment explain, the new
    express-statement requirement of subsection (c)(6) was designed
    specifically to counteract cases like Denault and Constructora
    Andrade Gutiérrez.   The committee recognized that some appellants,
    "due to misunderstanding or a misguided attempt at caution,"
    designate in their "notices of appeal . . . both the judgment and
    some particular order that [they] wish[] to challenge on appeal."
    Rule 3 2021 Committee Notes.     However, the committee also saw that
    - 18 -
    a number of courts (including us at times) have concluded that the
    designation of some orders (even in addition to the final judgment)
    in the notice of appeal meant that other interlocutory orders not
    specified were unreviewable -- even though the merger rule would
    ordinarily provide that the other interlocutory orders merged in
    the also-appealed-from final judgment.      See id.    The express-
    statement requirement of subsection (c)(6), the committee says,
    removes this "trap for the unwary," while also leaving the door
    open for those parties who still wish to deliberately limit their
    notices.   Id.; see also Fed. R. App. P. 3(c)(6).
    Now, the notice of appeal here was filed months before
    the amendments to Rule 3 went into effect on December 1, 2021.
    See Order Adopting 2021 Amendments at 3.    But the 2021 amendments
    to the Rules of Appellate Procedure provide that they operate not
    only in cases newly filed after their effective date -- they also
    "shall govern . . . , insofar as just and practicable, [in] all
    proceedings then pending."   Id.   We've added our own gloss on that
    requirement with similar rules amendments, noting that before
    applying a rule's amendment retroactively we must also consider
    whether doing so would "otherwise work a 'manifest injustice.'"
    Farmers Ins. Exch. v. RNK, Inc., 
    632 F.3d 777
    , 782 n.4 (1st Cir.
    2011) (quoting Silva v. Witschen, 
    19 F.3d 725
    , 728 (1st Cir.
    1994)).
    - 19 -
    There would be nothing unjust or impracticable about
    applying the amendments to Rule 3 retroactively here, nor would
    there be any manifest injustice.          For one thing, we see no
    prejudice that Gonpo could have suffered from having to defend the
    issues here on the merits notwithstanding Lama's inartful drafting
    of the notice of appeal.    Gonpo claims that, since the notice of
    appeal   delineated   certain   orders,   he    focused   on   the   issues
    specifically identified in preparing to defend the appeal.             But
    had Lama identified only the final judgment, Gonpo "would have
    learned exactly which orders [Lama] wished to challenge in [his]
    appeal no sooner than [he] did here."          See Comité Fiestas De La
    Calle San Sebastián, Inc. v. Soto, 
    925 F.3d 528
    , 532 (1st Cir.
    2019).   And Gonpo ultimately defended the merits of Lama's newly
    enumerated challenges in his first-filed appellate brief.              See
    Schroeder v. McDonald, 
    55 F.3d 454
    , 459–60 (9th Cir. 1995) (finding
    no prejudice in the retroactive application of Fed. R. App. P.
    4(a)(4) where the parties briefed the issues on the merits); cf.
    Caribbean Mgmt. Grp. v. Erikon LLC, 
    966 F.3d 35
    , 41 (1st Cir. 2020)
    (exercising jurisdiction over the merits of the underlying order
    where the party appealed only from the motion for reconsideration
    since the appellee was not prejudiced by the defect and the briefs
    defended the order on the merits).    For another, refusing to apply
    Rule 3 retroactively would prove especially unjust considering our
    circuit's inharmonious caselaw on this particular genre of notice
    - 20 -
    of appeal under the old version of Rule 3.             The drafters of Rule
    3's amendment recognized as troublesome this "trap for the unwary,"
    and our circuit's trap was a particularly perilous one.
    Applying the newly minted Rule 3(c)(6), we conclude that
    Lama's notice of appeal -- specifying both the final judgment and
    some interlocutory orders -- does not prohibit him from challenging
    other interlocutory orders not specifically enumerated in the
    notice of appeal.      See Fed. R. App. P. 3(c)(6).            Had he wished to
    "so limit" his notice, Lama would have been required to state
    expressly "that the notice of appeal was [so] limited."                     Id.;
    Rivera v. Kress Stores of P.R., Inc., 
    30 F.4th 98
    , 107 (1st Cir.
    2022).      Yet    nothing    in   Lama's   notice    reflects     an   "express
    statement"    limiting       the   notice   of   appeal   to    these    orders,
    particularly in light of his separate designation of the final
    judgment, in which the challenged evidentiary rulings on Gyatso's
    testimony    and   accompanying      documentary     evidence    merged.     See
    Booker, 847 F.3d at 55.            We thus have jurisdiction to consider
    Lama's challenges to these orders.
    B.     Merits
    Turning to the merits, Lama raises on appeal three qualms
    with the admission of Gyatso's testimony and the pocket-calendar
    evidence.    We take each contention in turn.
    - 21 -
    1.     Inadequate evidence of routine
    Lama first contends, as he did below, that this evidence
    was inadmissible as habit or routine-practice evidence under Rule
    406.   Rule 406 provides that "[e]vidence of a person's habit or an
    organization's routine practice may be admitted to prove that on
    a   particular     occasion    the     person     or     organization      acted   in
    accordance with the habit or routine practice."                   Fed. R. Evid.
    406.     The reasoning is that habits (as opposed to character
    evidence)    reflect    "the    person's        [or    organization's]       regular
    practice of responding to a particular kind of situation with a
    specific type of conduct."           McCormick on Evidence § 195 (8th ed.
    2020).      That   specificity    renders        habit    evidence    of   "greater
    probative     value    than    . . .    evidence       of   general     traits     of
    character."      Id.; see also 2 Weinstein's Federal Evidence § 406.02
    (2021) ("Habit evidence is more probative than character evidence
    because an individual's habitual behavior is more consistent than
    behavior based on character.").
    "Although     there      are    no     'precise     standards'         for
    determining whether a behavior pattern has matured into a habit,
    two factors are considered controlling as a rule:                     'adequacy of
    sampling and uniformity of response.'"                 United States v. Newman,
    
    982 F.2d 665
    , 668 (1st Cir. 1992) (quoting Fed. R. Evid. 406,
    advisory committee's notes).               We apply that standard because
    "[t]h[o]se factors focus on whether the behavior at issue 'occurred
    - 22 -
    with sufficient regularity making it more probable than not that
    it would be carried out in every instance or in most instances.'"
    
    Id.
     (quoting Weil v. Seltzer, 
    873 F.2d 1453
    , 1460 (D.C. Cir.
    1989)).   Thus, "[i]t is essential," we have said, "that the
    regularity of the conduct alleged to be habitual rest on an
    analysis of instances 'numerous enough to support an inference of
    systematic conduct and to establish one's regular response to a
    repeated specific situation.'" 
    Id.
     (cleaned up with new alteration
    added) (quoting Wilson v. Volkswagen of Am., Inc., 
    561 F.2d 494
    ,
    511 (4th Cir. 1977)). It is the party seeking to admit the routine-
    practice or habit evidence that bears the burden of demonstrating
    its sufficiency.   
    Id.
       And our appellate review is again only for
    abuse of discretion.     
    Id.
    Lama's objections under Rule 406 to Gyatso's testimony
    and the pocket calendar are twofold.     First, according to Lama,
    Gyatso did not testify about any of Lama's business practices or
    patterns since Gyatso testified only as to his own work experience
    with Lama. Thus, there was "no evidence" of sampling or uniformity
    to qualify as routine-practice evidence under Rule 406.     Second,
    Lama protests that the pocket calendar could not be evidence of a
    routine during the limitations period since Gyatso testified that
    his use of the calendar changed in 2013.
    We begin with his first contention.       At trial, Lama
    protested that Gyatso's testimony of his own experience was "not
    - 23 -
    relevant . . . to testify as to the payment practices of the
    employer."10      To the extent that objection raised an issue with the
    adequacy of the sampling or uniformity of response, we nonetheless
    still find Lama's appellate arguments without merit.11
    The    district     court    rejected    Lama's   inadmissibility
    argument,      telling   Lama     that    Gyatso's     testimony   "goes   to
    establishing the business practice."            And Lama had no response
    then, and again has none now, as to why Gyatso's testimony could
    not be at least a building block of Rule 406 evidence.               Indeed,
    though not entirely precise, Gyatso's testimony can be reasonably
    understood as describing Lama's business practice concerning the
    pocket-calendar recording and submission of time worked from his
    employees:     "[W]e record when we started and when we left."             And
    10 We note also that Lama was not clear on any distinctions
    he drew between the various aspects of Gyatso's testimony or the
    pocket calendar in lodging his objections at trial. Instead, Lama
    moved at trial to exclude the entirety of Gyatso's testimony, and
    he employs the same wholesale-exclusion tactic on appeal.
    11 We caution counsel that objections to evidence in the
    district courts must be specific in order to preserve them, as we
    have made it clear that a general objection to testimony is
    insufficient to preserve more specific ones. See United States v.
    Young, 
    105 F.3d 1
    , 9 & n.3 (1st Cir. 1997); United States v. Piva,
    
    870 F.2d 753
    , 759–60 (1st Cir. 1989) ("Although he contended that
    the evidence was hearsay and that it was being improperly used to
    rehabilitate Pacheco's testimony, counsel did not argue at trial
    that the evidence was inadmissible because it was made after the
    declarant had acquired a motive to fabricate.        This lack of
    specificity, after the judge believed she had resolved the
    objection, precludes appellant from raising this issue for the
    first time before us.").
    - 24 -
    the   method   of   keeping    track   of   work   hours   in   this   way   was
    corroborated by both Gonpo as well as another employee called to
    the stand by Lama -- meaning there was testimony from 3 employees
    in a company of less than 15 employees.            Similarly, both Gonpo and
    Gyatso testified to working approximately 57-hour weeks -- meaning
    again that 2 out of less than 15 employees testified to their
    repeated work schedule. And the same goes for Gonpo's and Gyatso's
    testimonies that Lama routinely did not pay employees the full
    amount they worked or at an overtime rate, but instead "carried
    forward" a balance of excess hours and wages from week to week
    which were never compensated.
    Lama makes no effort on appeal to explain why testimony
    from those proportions of a small company's employees as to their
    weekly schedule, their practice for recording and submitting their
    time, and Lama's pay practices -- practices conducted week after
    week for at least two years -- is insufficient under Rule 406.
    Instead, focusing only on Gyatso, he simply ignores the entirety
    of the evidence admitted to establish the business practice and
    contends there was "no evidence" of other employees' experiences
    or practices.       And he cites to dissimilar cases involving either
    the experiences of one or two individuals in relation to thousands
    of other potential experiences, see G.M. Brod & Co. v. U.S. Home
    Corp.,   
    759 F.2d 1526
    ,   1533    (11th   Cir.   1985)     (one   person's
    experience insufficient "when considered in the light of Home's
    - 25 -
    contractual dealings with thousands of small subcontractors"), or
    in two isolated events occurring three years apart, see Becker v.
    ARCO Chem. Co., 
    207 F.3d 176
    , 197, 204 (3d Cir. 2000).12
    Finally, although Lama may believe that other employees'
    testimonies showed that Gonpo's and Gyatso's sizings up of the
    business routines were not accurate, which testimony to believe
    was a credibility call left to either the judge or the jury to
    determine.   See 23 Charles Alan Wright & Arthur B. Miller, Federal
    Practice & Procedure § 5277 (2d ed. 2022) (noting the unsettled
    question of when an issue as to the sufficiency of the habitual or
    routine   conduct   is   raised,   whether   the   judge   should   make   a
    preliminary determination of admissibility, or if it should be
    left for the jury to weigh).
    In all, Lama fails to offer a developed or coherent
    argument why -- based on the facts actually revealed at trial --
    the district court abused its discretion in finding Rule 406's
    sampling-and-uniformity test satisfied here to establish Lama's
    routine practices.       See Rodríguez v. Mun. of San Juan, 
    659 F.3d 168
    , 175 (1st Cir. 2011).
    His second argument merits little ink.             Though Lama
    claims (as he did below) that Gyatso testified that the business
    12To make crystal clear, our conclusion is limited to deciding
    that, on the facts of this case (considering especially the small
    size of the business at issue), Lama has shown no abuse of
    discretion.
    - 26 -
    routine changed in 2013, the only change Gyatso testified to was
    that Lama kept the pocket calendar instead of returning it.    The
    district court rejected this as being a salient difference below,
    and Lama had no responsive argument then, nor has he come up with
    a cohesive one now, as to why the district court's analysis on
    that piece was off-base.13
    2.   Irrelevance
    Next, Lama appears to contend that the district court
    erroneously admitted the pocket calendar because the calendar did
    not cover any time period within the limitations period here
    (September 2013–November 2015) and thus was not "relevant."     He
    raised this issue below, preserving abuse-of-discretion review,
    but to the extent Lama injected only a relevancy objection under
    Rule 401, we spy no error.14
    13Lama also slips an argument deep into his brief that Gonpo's
    counsel maintained in his closing argument that other employees
    were paid off the books in cash, which Lama says was "not based on
    any evidence." Yet a complaint that a closing argument was not
    supported by the evidence raises a wholly different error than a
    complaint that certain evidence was improperly admitted. Lama did
    not object to this closing-statement remark, leaving it forfeited
    and thus reviewed, at most, for plain error. See Smith v. Kmart
    Corp., 
    177 F.3d 19
    , 25 (1st Cir. 1999). And Lama also makes no
    argument on appeal under that demanding standard, leaving the
    argument ultimately waived. See Covidien LP v. Esch, 
    993 F.3d 45
    ,
    56 (1st Cir. 2021).
    14Lama tries to loop this in as an objection under Rule 406,
    but we struggle to see how this fits there.
    - 27 -
    Rule 401 "set[s] a very low bar for relevance."     United
    States v. Rodríguez-Soler, 
    773 F.3d 289
    , 293 (1st Cir. 2014).
    Under that rule, "if the evidence has 'any tendency' to make a
    material fact more or less likely, it is relevant."    
    Id.
     (emphasis
    in original); see Fed. R. Evid. 401.     That low threshold makes "a
    relevancy-based argument . . . a rather tough sell."    Franchina v.
    City of Providence, 
    881 F.3d 32
    , 49 (1st Cir. 2018).
    Color us unsold.15     The evidence Lama protests easily
    vaults the low relevancy bar.    Gyatso testified that his schedule
    in 2013, the period he worked with Gonpo covered by the limitations
    period here, was the same as his schedule in 2012, the period that
    the calendar covered.16   The calendar thus served to corroborate
    Gyatso's testimony that he worked about 57 hours per week in 2013
    by pointing to documentary evidence supporting that he had in fact
    worked those same hours in the past.     See United States v. Pérez-
    González, 
    445 F.3d 39
    , 47 (1st Cir. 2006) (documentary evidence
    corroborating witnesses' testimony passes Rule 401's loose test).
    15 We note that Lama's arguments on this point, citing no
    caselaw and not even a rule of evidence, are so underdeveloped
    that they may even be waived.        See Conduragis v. Prospect
    Chartercare, LLC, 
    909 F.3d 516
    , 518 (1st Cir. 2018); United States
    v. Freitas, 
    904 F.3d 11
    , 21 (1st Cir. 2018).
    16Lama contends in his brief that there is no evidence that
    Gyatso worked for Lama in 2013, since Gyatso testified that he
    "left somewhere like 2013 in December, 2012."    But Gyatso also
    later testified that he returned to work for Lama in May 2013 at
    Lama's request and, as Lama recognizes, also testified about how
    he kept track of and submitted his time in 2013.
    - 28 -
    3.   Prior bad acts
    Finally, Lama claims that Gyatso's testimony, even if it
    was admissible under Rule 406, "implicate[d]" Rule 404(b) (which
    we discussed above) as prior-bad-acts evidence and thus faults the
    district court for failing to employ the two-step 404(b) analysis.
    As best we can tell, the prior bad acts involved here are Gyatso's
    testimony that Lama did not timely pay him for all of his hours,
    or for the overtime pay he earned.17          But, since (as we just
    discussed)   that   evidence   was   admissible    under   Rule   406,   the
    district court committed no error in failing to conduct a Rule
    404(b) analysis.    That is so because "Rule 404(b) does not prevent
    admission of evidence of other acts under Rule 406, if the other
    acts establish that the person made a habit of such conduct."              2
    Weinstein's Federal Evidence § 404.12 (2021).
    Contending otherwise, Lama cites to caselaw noting that
    "[t]he admissibility of Rule 406 evidence is . . . controlled by
    the overriding provisions of Rule 403."           Maynard v. Sayles, 
    817 F.2d 50
    , 53 (8th Cir.), vacated, 
    831 F.2d 173
     (8th Cir. 1987) (en
    banc).    But although Rule 403 may be step two of the two-step test
    under Rule 404(b), that does not mean that Rule 406 evidence must
    17To the extent Lama contends that other parts of Gyatso's
    testimony constituted prior-bad-acts evidence, we cannot identify
    how that is so from the record or his briefs, and thus deem any
    argument on those points waived.
    - 29 -
    also meet Rule 404(b)'s first-step requirements.18      Indeed, Rule
    403 applies in all different evidentiary contexts.       See, e.g.,
    United States v. Tetioukhine, 
    725 F.3d 1
    , 6 (1st Cir. 2013) ("This
    evidence, even if it passes the requirements of Rule 702, remains
    subject to Rule 403's balancing test."); Martínez, 
    608 F.3d at 59
    (same for Rule 415, even though that rule "supersede[s] Rule
    404(b)'s prohibition on . . . propensity [evidence] in sexual
    assault cases").    And Lama identifies no authority to otherwise
    support his contention that because Rule 403 applies, so, too,
    does Rule 404(b).
    To be sure, we remain mindful that because Rule 406
    evidence "necessarily engenders the very real possibility that
    such evidence will be used to establish a party's propensity to
    act in conformity with its general character," it could "thereby
    thwart[] Rule 404's prohibition."       Simplex, Inc. v. Diversified
    Energy Sys., Inc., 
    847 F.2d 1290
    , 1293 (7th Cir. 1988).     But that
    is why we apply a high standard for evidence to be admissible under
    Rule 406.   See id.; see also Newman, 982 F.2d at 668; McCormick on
    Evidence § 195 (8th ed. 2022) (discussing the general distinctions
    between inadmissible evidence of character and admissible evidence
    18 As a reminder, that two-step process involves:         (1)
    identifying, under Rule 404(b), any "special relevance" of the
    bad-acts evidence; and then (2) assessing, under Rule 403, whether
    the probative value of the evidence "is substantially outweighed
    by a danger of," among other concerns, "unfair prejudice." Doe,
    741 F.3d at 229. For more details, see our earlier discussion.
    - 30 -
    of habit or routine); 2 Weinstein's Federal Evidence § 406.02
    (2021).19
    CONCLUSION
    All told, we affirm.   The parties shall bear their own
    costs.
    19 Because we find no error, we need not address Lama's
    argument (citing our caselaw in the criminal habeas context) that
    the evidentiary errors here (in a federal civil trial) violated
    his right to due process.    See Coningford v. Rhode Island, 
    640 F.3d 478
    , 484 (1st Cir. 2011) (noting that "a misbegotten
    evidentiary ruling [in a state criminal trial] that results in a
    fundamentally unfair trial may violate due process").
    - 31 -