United States v. Kaspereit ( 2021 )


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  •                                                                                 FILED
    United States Court of Appeals
    PUBLISH                               Tenth Circuit
    UNITED STATES COURT OF APPEALS                       April 20, 2021
    Christopher M. Wolpert
    FOR THE TENTH CIRCUIT                          Clerk of Court
    _________________________________
    UNITED STATES OF AMERICA,
    Plaintiff - Appellee,
    v.                                                         No. 19-6188
    CHAD WAYNE KASPEREIT,
    Defendant - Appellant.
    _________________________________
    Appeal from the United States District Court
    for the Western District of Oklahoma
    (D.C. No. 5:18-CR-00297-R-1)
    _________________________________
    John P. Cannon of Cannon & Associates, PLLC, Edmond, Oklahoma for Defendant-
    Appellant Chad Wayne Kaspereit.
    K. McKenzie Anderson, Assistant United States Attorney, Oklahoma City, Oklahoma
    (Timothy J. Downing, United States Attorney, with her on the brief), for Plaintiff-
    Appellee United States of America.
    _________________________________
    Before PHILLIPS, SEYMOUR, and CARSON, Circuit Judges.
    _________________________________
    CARSON, Circuit Judge.
    _________________________________
    After one of Defendant Chad Wayne Kaspereit’s many domestic violence
    incidents, a state court in Oklahoma instituted a protective order against him. While
    that order remained in effect, Defendant obtained two firearms from a sporting goods
    store. So a jury convicted Defendant of one count of lying in connection with the
    purchase of a firearm and one count of possessing a firearm as a prohibited person.
    The district court imposed concurrent 120-month sentences. Defendant now argues
    the Supreme Court’s holding in Rehaif v. United States, 
    139 S. Ct. 2191
     (2019),
    along with a lack of evidence against him, mandates a new trial on both counts. He
    also argues that his sentence is unreasonable. Exercising jurisdiction under 
    28 U.S.C. § 1291
    , we affirm the judgment of the district court.
    I.
    In early September 2015, Defendant’s then-wife, Brittany McCormick,
    petitioned an Oklahoma state court for an emergency protective order and initiated
    divorce proceedings. The court granted an emergency protective order and set a
    hearing. The parties appeared with counsel and agreed to continue the hearing for
    three days and consolidate it with a hearing on the divorce. The parties appeared
    again, and, after the hearing, the state court continued the protective order
    indefinitely, saying it would “be reviewed before resolution of this case.” The court
    docketed the temporary protective order in the divorce and in the separate protective
    order action. In fact, no review of the order occurred concurrent with the final
    divorce decree, and it remained in effect until dissolved by uncontested motion in
    February 2018.
    Meanwhile, in December 2017, Defendant bought two handguns from an
    Academy sporting goods store. As a part of that transaction, he filled out Bureau of
    Alcohol, Tobacco, Firearms, and Explosives (“ATF”) Form 4473 (Firearms
    2
    Transaction Record). On the form, Defendant certified he was “not subject to a court
    order restraining [him] from harassing, stalking, or threatening [his] child or an
    intimate partner or child of such partner.” Several months later, in March 2018, local
    law enforcement responded to an incident at Defendant’s home, which he shared with
    his new spouse, Stephanie Carson. Carson consented to a search of the home and
    vehicles, and officers discovered the handguns Defendant had purchased in
    December. She filed for her own protective order, which an Oklahoma court granted,
    but that order is not at issue in this appeal.
    A federal grand jury indicted Defendant on three counts: (1) making a false
    statement during the purchase of a firearm in violation of 
    18 U.S.C. § 922
    (a)(6),
    (2) possession of a firearm from December 2017 to February 2018 while subject to
    McCormick’s protective order in violation of 
    18 U.S.C. § 922
    (g)(8), and
    (3) possession of a firearm while subject to Carson’s protective order, in violation of
    the same. After trial in May 2019, the jury returned a guilty verdict on counts one
    and two but acquitted on count three. The district court sentenced Defendant to 120
    months’ imprisonment on each count to run concurrently, varying upward from the
    guidelines range.
    Defendant filed this appeal making, essentially, two arguments. First, that the
    Supreme Court’s recent decision in Rehaif, 
    139 S. Ct. 2191
    , and the insufficiency of
    evidence against him demand an acquittal or a new trial. As to count one, he says the
    jury lacked evidence showing he knew he was subject to the protective order when he
    bought the firearms. As to count two, he says the jury lacked evidence of his
    3
    opportunity to participate in a hearing on the protective order and that the protective
    order remained in effect while he possessed the firearms. Second, he argues his
    sentence is substantively unreasonable.
    II.
    We review legal sufficiency of evidence de novo, viewing the evidence in the
    light most favorable to the government and drawing all reasonable inferences from
    the evidence in favor of the verdict. United States v. Wagner, 
    951 F.3d 1232
    , 1255
    (10th Cir. 2020) (citing United States v. Isabella, 
    918 F.3d 816
    , 830 (10th Cir.
    2019)). We consider all the evidence, both direct and circumstantial, but we will not
    weigh it or make credibility determinations. 
    Id.
     at 1256 (citing Isabella, 918 F.3d at
    830). We will reverse and acquit “only when no reasonable jury could find the
    defendant guilty beyond a reasonable doubt.” Id. (quoting Isabella, 918 F.3d at 830).
    We review the substantive reasonableness of a sentence for abuse of
    discretion. United States v. Sayad, 
    589 F.3d 1110
    , 1116 (10th Cir. 2009) (citing
    United States v. Friedman, 
    554 F.3d 1301
    , 1307 (10th Cir. 2009)). Thus, we will
    give substantial deference to the district court’s determination and overturn a
    sentence as substantively unreasonable only if it is arbitrary, capricious, whimsical,
    or manifestly unjust. 
    Id.
     (citing Friedman, 
    554 F.3d at 1307
    ).
    III.
    Before we can address the sufficiency of the evidence, we must resolve the
    parties’ competing arguments about Rehaif, 
    139 S. Ct. 2191
    . In that case, the
    Supreme Court held that in a prosecution under 
    18 U.S.C. §§ 922
    (g) and 924(a)(2)
    4
    (for a prohibited person’s possession of a firearm), the government must prove
    (1) the defendant knew he possessed a firearm and (2) the defendant knew he
    belonged to a category of prohibited persons. Rehaif, 
    139 S. Ct. at 2200
    . Until that
    decision, we (along with most other circuits) required only the first showing to
    establish a culpable state of mind. United States v. Games-Perez, 
    667 F.3d 1136
    ,
    1140–41 (10th Cir. 2012) (citations omitted), abrogation recognized in United States
    v. Benton, 
    988 F.3d 1231
     (10th Cir. 2021). Defendant argues Rehaif should also
    apply to his conviction under § 922(a)(6) and that it requires a new trial on both
    counts. We disagree.
    A.
    First, the Supreme Court explicitly limited the scope of its holding to
    prosecutions under 
    18 U.S.C. § 922
    (g), and thus Rehaif itself does not apply to
    prosecutions under § 922(a)(6). See 
    139 S. Ct. at 2200
    . Defendant acknowledges
    that fact but asks us to extend Rehaif’s analysis and reasoning to § 922(a)(6),
    suggesting we should require the government to prove a defendant knew he belonged
    to a category of prohibited persons. Rehaif, however, does not question the validity
    of our long standing mens rea rule for conviction under that statute.
    Section 922(a)(6) provides that
    it shall be unlawful . . . for any person in connection with the acquisition or
    attempted acquisition of any firearm or ammunition from a licensed
    importer, licensed manufacturer, licensed dealer, or licensed collector,
    knowingly to make any false or fictitious oral or written statement or to
    furnish or exhibit any false, fictitious, or misrepresented identification,
    intended or likely to deceive such importer, manufacturer, dealer, or
    collector with respect to any fact material to the lawfulness of the sale or
    5
    other disposition of such firearm or ammunition under the provisions of this
    chapter[.]
    The statute requires the defendant know “of the facts that constitute the offense,”
    Dixon v. United States, 
    548 U.S. 1
    , 5 (2006) (quoting Bryan v. United States, 
    524 U.S. 184
    , 193 (1998)), but it “does not establish a specific intent element,” United
    States v. Elias, 
    937 F.2d 1514
    , 1518 (10th Cir. 1991). In terms of mens rea, then, a
    conviction under § 922(a)(6) only requires knowledge that the statement is false.
    If the false statement is “I am not subject to a protective order,” the
    government must prove the defendant knew he was, indeed, subject to a protective
    order. Although this may seem like a requirement that the defendant know of his
    membership in a prohibited class of persons (at least under these facts), § 922(a)(6)
    does not necessarily require that. We can imagine falsehoods unrelated to a person’s
    § 922(g) status that could lead to prosecution under § 922(a)(6). So we decline to
    impose Defendant’s proposed new requirement and narrow the scope of § 922(a)(6).
    Rehaif does not map to this provision and we will not apply it.
    B.
    Second, we agree with the government that Rehaif does not require that
    Defendant knew his status prohibited his possession of a firearm, just that he knew of
    his status—in this case that he was subject to a protective order such as the one
    described in § 922(g)(8). We recently expressed that opinion in a parallel case:
    United States v. Benton, 
    988 F.3d 1231
     (10th Cir. 2021). We based our conclusion
    on Rehaif’s specific language and on the meaning of the word “knowingly.” 
    Id.
     at
    6
    1236–39. On one hand, “the knowledge requisite” to a “knowing violation of a
    statute is factual knowledge as distinguished from knowledge of the law.” Bryan,
    
    524 U.S. at 192
     (quoting Boyce Motor Lines, Inc. v. United States, 
    342 U.S. 337
    , 345
    (1952) (Jackson, J., dissenting)). On the other hand, “to establish a ‘willful’
    violation of a statute, ‘the Government must prove that the defendant acted with
    knowledge that his conduct was unlawful.’” 
    Id.
     at 191–92 (quoting Ratzlaf v. United
    States, 
    510 U.S. 135
    , 137 (1994)).
    Neither statute nor caselaw shows that a violation of § 922(g) must be willful.
    We do not read Rehaif to impose that requirement, nor do our sister circuits that have
    reached the question. Benton, 988 F.3d at 1239–41.1 Rather, as Rehaif instructs, the
    statute requires that Defendant had factual knowledge that he (1) possessed a firearm
    and (2) was subject to a protective order. Defendant also argues that because the
    district court’s instructions and questions to the jury did not include the latter, we
    must overturn his conviction. But, as we explain below, the jury found that
    Defendant knew he was subject to the protective order.
    1
    Citing United States v. Maez, 
    960 F.3d 949
    , 954 (7th Cir. 2020) (“We do not
    read Rehaif as imposing a willfulness requirement on § 922(g) prosecutions.”);
    United States v. Singh, 
    979 F.3d 697
    , 727 (9th Cir. 2020) (“The [Supreme] Court did
    not hold that the Government must also prove the defendant knew his or her status
    prohibited firearm ownership or possession.”); United States v. Johnson, 
    981 F.3d 1171
    , 1189 (11th Cir. 2020) (agreeing with Maez); United States v. Robinson, 
    982 F.3d 1181
    , 1187 (8th Cir. 2020) (agreeing with Maez and Singh); United States v.
    Bowen, 
    938 F.3d 790
    , 797 (6th Cir. 2019) (reaching the same conclusion about a
    prosecution under § 922(g)(3)).
    7
    IV.
    We now address whether legally sufficient evidence supported the jury’s
    verdict for each count. “[T]he evidence supporting a jury verdict must be substantial,
    but ‘it need not conclusively exclude every other reasonable hypothesis and it need
    not negate all possibilities except guilt.’” United States v. Phillips, 
    583 F.3d 1261
    ,
    1264 (10th Cir. 2009) (quoting United States v. Burkley, 
    513 F.3d 1183
    , 1188 (10th
    Cir. 2008)). We reverse only if no reasonable jury could find the defendant guilty.
    Wagner, 951 F.3d at 1256.
    A.
    The district court set out the following elements for conviction under 
    18 U.S.C. § 922
    (a)(6):
    FIRST: the Defendant made a false statement while obtaining a firearm
    from a licensed dealer;
    SECOND: the Defendant knew the statement was false; and
    THIRD: the statement was intended to or was likely to deceive the dealer
    about a material fact, i.e., a fact that would affect the legality of the transfer
    of the firearm from the dealer to the Defendant.
    And the district court defined the following terms:
    The term “licensed dealer” means any firearms dealer who is licensed under
    federal law.
    A statement is “false” if it was untrue when made and was then known to
    be untrue by the person making it.
    A false statement is “likely to deceive” if the nature of the statement,
    considering all of the surrounding circumstances at the time it is made, is
    such that a reasonable person of ordinary prudence would have been
    actually deceived or misled.
    8
    Aside from the Rehaif argument we reject above, Defendant does not challenge these
    elements or definitions.
    The indictment, incorporated as instruction three, charged that Defendant
    made a false and fictitious written statement to the Academy store in question (a
    licensed dealer), in connection with the acquisition of firearms, which statement he
    intended and was likely to deceive the store as to a material fact. In particular, he
    falsely represented and certified, on an ATF Form 4473 (Firearms Transaction
    Record), that he was not subject to a court order restraining him from harassing,
    stalking, and threatening an intimate partner and child of such partner when he knew
    he was subject to such an order.
    Defendant contests only the second element: that he knew the statement was
    false (that is, he knew he was subject to a protective order). He relies on his own
    testimony that he thought, based on the advice of his attorney, David Hammond, he
    could legally possess a firearm. He argues Hammond corroborated that story. This
    argument has two flaws. First, the question is not whether Defendant knew the law
    prohibited him from possessing a firearm but whether he knew he was subject to a
    protective order. And second, Hammond did not corroborate his story. According to
    Hammond, he only confirmed Defendant had no felony convictions. They did not
    speak about the protective order and he never told Defendant the protective order was
    dissolved until after the February 2018 proceeding that dissolved it.2
    2
    Defendant also relies on the state court’s award of several firearms to him in
    the final divorce decree. He says this made him believe he could possess firearms.
    9
    On the other hand, the government offered ample evidence that Defendant
    knew the order remained in place. Brittany McCormick, Defendant’s ex-wife who
    had filed for the protective order, testified that Defendant repeatedly asked her to
    agree to dissolve the order. She testified that he asked her “maybe every two or three
    months,” including in “the fall of 2017.” Additionally, Stephanie Carson,
    Defendant’s partner throughout much of 2016 and 2017, testified to Defendant’s keen
    awareness of the protective order, of its impact on his ability to purchase and possess
    firearms, and that it had not been dissolved. During their relationship, including fall
    2017, Carson and Defendant had many conversations about the order, his desire to
    possess firearms, and his attempts to get the order dissolved by agreement or motion.
    We will not evaluate witness credibility or weigh evidence. Wagner, 951 F.3d at
    1256. But, viewing the evidence in the light most favorable to the government, we
    conclude substantial and sufficient evidence supported the jury’s finding that
    Defendant knew he made a false statement. In other words, the jury found, based on
    sufficient evidence, that Defendant knew he was subject to a protective order that
    “restrain[ed] him from harassing, stalking, and threatening an intimate partner and
    child of such partner.” For these reasons, we affirm the conviction for count one.
    Again, the question is simply whether he knew he was subject to the protective order.
    And, in any event, § 922(g) does not prohibit the ownership of firearms or the
    exercise of any of the rights of ownership save one: possession. Henderson v. United
    States, 
    135 S. Ct. 1780
    , 1784 (2015). So, although the divorce decree vested
    ownership of the firearms in Defendant, it could not restore his right to possess those
    firearms.
    10
    B.
    The district court set out the following elements for conviction under 
    18 U.S.C. § 922
    (g)(8):
    FIRST: the Defendant knowingly possessed a firearm;
    SECOND: the Defendant was subject to a protective order at the time of
    possession; and
    THIRD: before the Defendant possessed the firearm, the firearm had moved
    at some time from some state to another or from a foreign country to the
    United States.
    The court instructed the jury that the parties had stipulated to the third element. The
    district court defined the following terms:
    The term “protective order” refers to a court order that
    (A) was issued after a hearing of which the Defendant received actual
    notice, and at which the Defendant had an opportunity to participate;
    (B) restrained the Defendant from harassing, stalking, or threatening his
    intimate partner, his child, or his intimate partner’s child; or engaging in
    other conduct that would place an intimate partner in reasonable fear of
    bodily injury to herself or such child; and
    (C)(i) included a finding that the Defendant represented a credible threat to
    the physical safety of such intimate partner or child, or (ii) by its terms
    explicitly prohibited the use, attempted use, or threatened use of physical
    force against such intimate partner or child that would reasonably be
    expected to cause bodily injury.
    The term “intimate partner” means, with respect to the Defendant, the
    spouse of the Defendant, a former spouse of the Defendant, an individual
    who is a parent of a child of the Defendant, and/or an individual who
    cohabitates or has cohabitated with the Defendant.
    The term “opportunity to participate” means that there was a proceeding
    during which the Defendant could have objected to the entry of the order or
    otherwise engaged with the court as to the merits of the restraining order. It
    is not required that the Defendant, or his counsel, attend such proceeding it
    11
    is only required that he had notice of the hearing and could have
    participated, if he attended it.
    Again, aside from the Rehaif arguments we address above, Defendant does not challenge
    these elements or definitions.
    The indictment alleged for count two that Defendant was subject to an order
    after a hearing of which he had received actual notice and at which he had an
    opportunity to participate, restraining him from harassing, stalking, and threatening
    his intimate partner, and from engaging in other conduct that would place such
    intimate partner in reasonable fear of bodily injury. It alleged that the order
    explicitly prohibited the use, attempted use, and threatened use of physical force
    against his intimate partner that would reasonably be expected to cause bodily injury.
    And finally, it alleged Defendant still knowingly possessed firearms in and affecting
    interstate commerce.
    Defendant argues the jury had insufficient evidence to find he had an
    opportunity to participate in a hearing on the protective order. He also says the order
    was not still in effect when he bought and possessed the firearms.3 The parties agree
    we should review both arguments for plain error because Defendant forfeited them.
    3
    Defendant does not explicitly couch either of these arguments as a collateral
    attack on the validity of the underlying order. Cf. United States v. Wescott, 
    576 F.3d 347
    , 351–52 (7th Cir. 2009) (where the defendant argued that, although the protective
    order met the requirements of § 922(g)(8), it was void ab initio on other grounds and
    thus the court should vacate his conviction). In Wescott, the court distinguished such
    an attack from an argument that the order did not fall within the scope of § 922(g)(8)
    and dismissed it as impermissible. Id. See also United States v. Reese, 
    627 F.3d 792
    , 804–05 (10th Cir. 2010) (adopting the Wescott rule and noting the Eleventh,
    Ninth, Sixth, and Fifth Circuits had as well).
    12
    See Richison v. Ernest Grp., Inc., 
    634 F.3d 1123
    , 1127–28 (10th Cir. 2011) (citations
    omitted) (explaining that forfeiture occurs when a party fails to raise a theory,
    argument, or issue before the district court). To satisfy the plain error standard, “a
    party must establish the presence of (1) error, (2) that is plain, which (3) affects
    substantial rights, and which (4) seriously affects the fairness, integrity, or public
    reputation of judicial proceedings.” 
    Id.
     at 1128 (citing United States v. Zubia-Torres,
    
    550 F.3d, 1202
    , 1208 (10th Cir. 2008)). Again, we conclude the jury had sufficient
    evidence to convict and the district court committed no error, let alone plain error.
    1.
    We have not divined exactly what Congress meant by “opportunity to
    participate” in § 922(g)(8). Today, we conclude that, at minimum, “opportunity to
    participate” means the defendant must have been present at a hearing on the
    protective order either in person or by counsel and have had an opportunity to object
    to the entry of, or otherwise engage with the court on the merits of, the order.4 See
    4
    In Wilson, the court concluded the defendant had an opportunity to
    participate, describing it this way:
    [T]he protective order was explained to Wilson and he was asked if he
    could live by those terms. While Wilson indicated that he could and the
    order was entered, he could also have told the judge that he disagreed with
    the order and given his reasons therefor. The record indicates that Wilson,
    although proceeding pro se at the time, had successfully persuaded another
    judge to vacate a default divorce that had been entered and then recuse
    himself from the case. Wilson was thus competent to lodge an objection to
    the protective order, and he was given the ability to do so. This is all that
    due process requires, and the district court correctly found that Wilson was
    not entitled to a judgment of acquittal.
    Wilson, 159 F.3d at 290.
    13
    United States v. Wilson, 
    159 F.3d 280
    , 289–90 (7th Cir. 1998) (tying the
    “opportunity to participate” to concepts of due process). Before a court deprives an
    individual of a property interest, he must have an opportunity to be heard “at a
    meaningful time and in a meaningful manner.” Mathews v. Eldridge, 
    424 U.S. 319
    ,
    333 (1976) (quoting Armstrong v. Manzo, 
    380 U.S. 545
    , 552 (1965)). A meaningful
    manner includes “the opportunity to present reasons, either in person or in writing,
    why proposed action should not be taken.”5 Cleveland Bd. of Educ. v. Loudermill,
    5
    Other circuits have followed and adopted Wilson. United States v. Spruill,
    
    292 F.3d 207
    , 210–11, 217, 220 (5th Cir. 2002) (adopting Wilson but concluding
    that, because the defendant agreed to the protective order out of court without a
    hearing, “no hearing was ever set,” “[defendant] received no notice of any hearing,”
    and “[defendant] never appeared before a judge,” so there was no opportunity to
    participate); United States v. Banks, 
    339 F.3d 267
    , 270–71 (5th Cir. 2003) (clarifying
    Spruill by rejecting the idea that an agreed order can never satisfy § 922(g)(8) and
    finding that “[defendant] had an opportunity to put on evidence, but he did not avail
    himself of that opportunity. . . . [T]he hearing in this case was set for a particular
    time and place and . . . [defendant] did appear before a judge and had an opportunity
    to contest the protective order.”); United States v. Calor, 
    340 F.3d 428
    , 431 (6th Cir.
    2003) (concluding the state-court proceeding satisfied the statute’s requirement
    because “[defendant] could have presented reasons why the court should not enter an
    order finding that he posed a credible threat to the safety of his wife or child . . . .
    That [defendant] elected to waive his opportunity to participate does not alter his
    status under § 922(g)(8).”); United States v. Lippman, 
    369 F.3d 1039
    , 1042 (8th Cir.
    2004) (noting “[a] hearing requires actual notice and an opportunity to be heard, but
    the statute does not require that evidence actually have been offered or witnesses
    called. As the Seventh Circuit explained in [Wilson], ‘hearing’ and ‘opportunity to
    participate’ are not arcane legal terms incomprehensible to the general public, and no
    further definition is needed for the jury.” And finding the case met the requirement
    because “[defendant] received notice of the hearing and appeared before a judge who
    was prepared to hear evidence.”); United States v. Young, 
    458 F.3d 998
    , 1009 (9th
    Cir. 2006) (agreeing that “the plain text of the statute indicates that the ‘opportunity
    to participate’ requirement is a minimal one. The prosecution must only show an
    opportunity to participate; that is, a proceeding during which the defendant could
    have objected to the entry of the order or otherwise engaged with the court as to the
    merits of the restraining order.”).
    14
    
    470 U.S. 532
    , 546 (1985). The government satisfies its burden if it presents legally
    sufficient evidence to show that a reasonable person would have understood the
    hearing as a chance to raise an objection, even if the defendant agrees to the order or
    does not otherwise object.6 United States v. Brammer, 
    956 F.3d 91
    , 98–99 (2d Cir.
    2020). This standard satisfies, but does not expand, the statute’s plain meaning.
    Here, the state court imposed an ex parte order on September 3, 2015. The
    parties and their counsel, including Defendant, appeared on September 14 and agreed
    to continue the existing order to September 17 when they would reconvene for a
    hearing on the divorce. On September 17, the parties again appeared with counsel,
    made arguments, presented witnesses, and advised the court on the merits of the
    6
    The Second Circuit agreed with Wilson and the cases cited in note 5, supra,
    saying “the statute does not require representation or participation by counsel, and
    that the requirement may be ‘a minimal one.’” Brammer, 956 F.3d at 98 (quoting
    Young, 
    458 F.3d at 1009
    ). But the government put on insufficient evidence in that
    case. 
    Id.
     at 98–99. The court described it this way:
    [T]he evidence in the record about the proceeding only allows us to
    conclude that Bramer attended it, that Bramer was not physically prevented
    from speaking, and that the judge explained to Bramer the charges against
    him and what an order of protection was. . . . [T]he record demonstrates no
    more than the judge simply issued the protection order as a matter of course
    on arraignment day in a “fairly busy” court—a far cry from the set of
    exchanges found sufficient in Young, 
    458 F.3d 998
    , to indicate an
    opportunity to participate in the proceedings. The court scheduled a second
    appearance within the next month—one that would presumably be more
    extensive and would involve considering the merits of continuing the
    temporary injunction. Where, as here, the government has presented no
    evidence of anything more than a state proceeding at which Bramer was
    present and where an order of protection was issued, no rational jury could
    conclude that Bramer had an “opportunity to participate” in that
    proceeding.
    
    Id.
    15
    protective order. The jurors heard testimony to this effect, and the government
    showed them the state court’s orders memorializing both hearings. This substantial
    and sufficient evidence supported the jury’s finding that Defendant had an
    opportunity to participate in the hearings on September 14 and 17.
    2.
    Lastly, Defendant argues the protective order was not in effect when he
    purchased and possessed the firearms. We will not consider this argument to the
    extent Defendant collaterally attacks the order’s validity under Oklahoma law. See
    supra note 3. Thus, we confine our review strictly to whether the government put on
    sufficient evidence for the jury to find the order was in effect.
    After the September 17 hearing, the court entered the protective order on both
    the divorce docket and the separate protective order docket, and the order bore both
    case numbers. The order said, “The Protective Order in PO 15-185 [protective order
    case] shall remain in full force and effect as a Temporary Order, except as modified
    for visitation and for purposes of resolution of any Child Welfare case by Oklahoma
    DHS. The Protective Order shall be reviewed before resolution of this case.” The
    parties agree that, whether intentionally or not, the state court did not review the
    protective order at the resolution of the divorce case.7 But the docket sheet for the
    protective order case shows no activity between the entry of the order and the
    7
    Any alleged legal error arising from the state court’s failure to review the
    protective order at the resolution of the divorce case constitutes a collateral attack on
    the protective order. As does any allegation the state court erred under Oklahoma
    law by permitting the temporary order to remain in effect.
    16
    proceeding to dissolve the order in early 2018. And no evidence shows that any
    order entered in the divorce case dissolved the protective order. As Defendant points
    out, the final divorce decree did not explicitly continue the protective order—but it
    also did not dissolve the protective order.
    Contrary to Defendant’s assertion, it remains unclear that the court or the
    parties tied the life of the protective order to the life of the divorce case. Although
    the parties’ and the court’s intent may have been to review the order at the resolution
    of the divorce, the order says no more on the subject. The evidence does not show
    that the parties or the court intended the order to expire upon the resolution of the
    divorce. Furthermore, Brittany McCormick testified she believed the protective
    order to be in full effect after the divorce. And, as discussed above, the government
    offered ample evidence showing Defendant believed the same.
    Setting aside Defendant’s collateral attacks, nothing suggests that the state
    court dissolved the protective order before February 2018. The jury had substantial
    and sufficient evidence to find the order remained in effect during the time described
    in count two. Thus, we affirm as to that count. The district court did not err in
    denying a judgment of acquittal or a new trial.
    V.
    Finally, we conclude Defendant’s sentence is substantively reasonable. The
    district court did not, as Defendant believes, depart from the guidelines range. A
    departure is a deviation from the calculated guidelines range based on the enumerated
    departure provisions in the Guidelines Manual. United States v. Sells, 
    541 F.3d 17
    1227, 1237 n.2 (10th Cir. 2008) (citing United States v. Atencio, 
    476 F.3d 1099
    ,
    1101 n.1 (10th Cir. 2007)). On the other hand, a variance occurs when the district
    court deviates from the guidelines range based on the sentencing factors in 
    18 U.S.C. § 3553
    (a) and his responsibility to impose a sentence that is “sufficient” but “not
    greater than necessary” to meet the sentencing objectives in that provision. 
    Id.
    (citing Atencio, 
    476 F.3d at
    1101 n.1). Here, the district court’s statement of reasons
    shows a variance.
    While a case involving a departure (and thus a question of guidelines
    application) opens the door to a procedural reasonableness challenge, we review a
    variance for substantive reasonableness. See Sayad, 
    589 F.3d at 1116
    ; United States
    v. Smart, 
    518 F.3d 800
    , 804 (10th Cir. 2008). To preserve a substantive
    reasonableness challenge, we only require that a defendant advocate for a shorter
    sentence than the one imposed. Holguin-Hernandez v. United States, 
    140 S. Ct. 762
    ,
    766–67 (2020). Here, Defendant thoroughly litigated for a sentence less than he
    received. And therefore we apply the ordinary standard of review—abuse of
    discretion—rather than the plain error standard Defendant invokes.
    We must determine “whether the length of the sentence is reasonable given all
    the circumstances of the case in light of” the § 3553(a) factors. United States v.
    Durham, 
    902 F.3d 1180
    , 1238 (10th Cir. 2018) (quoting United States v. Verdin-
    Garcia, 
    516 F.3d 884
    , 895 (10th Cir. 2008)). We reverse only if “the district court
    abused its discretion in weighing permissible § 3553(a) factors in light of the ‘totality
    of the circumstances.’” Sayad, 
    589 F.3d at 1118
     (quoting Gall v. United States, 552
    
    18 U.S. 38
    , 51 (2007)). Because the district court has “an unquestionable institutional
    advantage over an appellate court to consider whether the facts of an individual case
    justify a variance,” we “give due deference to the district court’s decision that the
    § 3553(a) factors, on a whole, justify the extent of the variance.” Id. at 1116
    (citations omitted). “The fact that [we] might reasonably have concluded that a
    different sentence was appropriate is insufficient to justify reversal of the district
    court.” Id. (quoting Gall, 552 U.S. at 51). So we will affirm so long as the district
    court’s decision “falls within the realm of [the] rationally available choices.” United
    States v. McComb, 
    519 F.3d 1049
    , 1053 (10th Cir. 2007).
    Defendant’s arguments and authorities apply to the departure context, rather
    than the variance context. But, still, he makes two key concessions. First, the
    district court did not rely on impermissible factors. And second, the record supports
    the district court’s factual basis. So he focuses exclusively on reasonableness. He
    says the district court ignored the guidelines range and did not consider a downward
    departure, the sentence given “cannot be supported,” and the court’s decision “was
    based upon other factors not inclusive of the crime that was actually charged.”
    First, while we “take the degree of variance into account,” we will not “use the
    percentage of [the variance] as the standard for determining the strength of the
    justifications required.” Gall, 552 U.S. at 47. So, although this sentence fell
    significantly above the guidelines range, that does not set our course. Second, the
    district court considered the presentence report and the guidelines range, as well as
    Defendant’s sentencing memorandum, which argued for a sentence below that range.
    19
    The district court also considered the § 3553(a) factors, including the nature and
    circumstances of the offense and Defendant’s history and characteristics, and found
    that public safety and the safety of Defendant’s former partners warranted the
    variance.
    We have said that “possession of a firearm while subject to a domestic
    protection order . . . involve[s] a substantial risk, resulting from the nature of the
    offense, that physical force may be used against the person or property of another.”
    United States v. Rogers, 
    371 F.3d 1225
    , 1228 (10th Cir. 2004). And that “[a]
    defendant whose background includes domestic violence which advances to . . . the
    imposition of a protection order has a demonstrated propensity for the use of physical
    violence against others.” 
    Id.
     at 1228–29. Defendant’s criminal history category did
    not reflect his pattern of domestic violence, of which the record contained ample
    evidence and which the presentence report detailed. And the record shows that
    Defendant severely assaulted at least one domestic partner with a firearm at issue in
    the case and consistently abused her and others in many ways. The district court’s
    determination that Defendant posed a significant risk to the safety of others comports
    with our cases and instructions.
    Defendant does not offer arguments (beyond mere conclusions) to suggest the
    district court abused its discretion in weighing the factors given the totality of
    circumstances. Nor are we persuaded that any abuse occurred.
    20
    The district court’s chosen sentence falls within the realm of rationally
    available choices and not within the realm of the arbitrary, capricious, or whimsical.
    AFFIRMED.
    21