United States v. Mazza , 594 F. App'x 705 ( 2014 )


Menu:
  • 13-2540; 13-2710
    United States v. Mazza
    UNITED STATES COURT OF APPEALS
    FOR THE SECOND CIRCUIT
    SUMMARY ORDER
    RULINGS BY SUMMARY ORDER DO NOT HAVE PRECEDENTIAL EFFECT. CITATION TO A
    SUMMARY ORDER FILED ON OR AFTER JANUARY 1, 2007, IS PERMITTED AND IS GOVERNED
    BY FEDERAL RULE OF APPELLATE PROCEDURE 32.1 AND THIS COURT’S LOCAL RULE 32.1.1.
    WHEN CITING A SUMMARY ORDER IN A DOCUMENT FILED WITH THIS COURT, A PARTY
    MUST CITE EITHER THE FEDERAL APPENDIX OR AN ELECTRONIC DATABASE (WITH THE
    NOTATION “SUMMARY ORDER”). A PARTY CITING A SUMMARY ORDER MUST SERVE A COPY
    OF IT ON ANY PARTY NOT REPRESENTED BY COUNSEL.
    At a stated term of the United States Court of Appeals for the Second Circuit, held at the
    Thurgood Marshall United States Courthouse, 40 Foley Square, in the City of New York, on the
    4th day of December, two thousand fourteen.
    Present:
    ROBERT A. KATZMANN,
    Chief Judge,
    PIERRE N. LEVAL,
    PETER W. HALL,
    Circuit Judges.
    ____________________________________________________
    UNITED STATES OF AMERICA,
    Appellee,
    v.                                                                    No. 13-2540
    No. 13-2710
    DOMINICK MAZZA, AKA SEALED DEFENDANT #4,
    MAZZA & SONS, INC., AKA SEALED DEFENDANT #5,
    Defendants–Appellants.
    ____________________________________________________
    For Defendants-Appellants: SUSAN C. WOLFE, Hoffman & Pollok LLP, New York, NY
    For Appellee:                     THEKLA HANSEN-YOUNG (Allen M. Brabender and Todd W.
    Gleason, on the brief), for Sam Hirsch, Acting Assistant Attorney
    General, Washington, DC
    
    These appeals were consolidated with United States v. Nicastro, No. 13-2566, with United States v. Mazza, No.13-
    2540 designated as the lead case. We resolve Defendant-Appellant Cross Nicastro’s appeal in a separate summary
    order filed concurrently.
    ____________________________________________________
    Appeal from a judgment of the United States District Court for the Northern District of
    New York (Hurd, J.).
    ON CONSIDERATION WHEREOF, it is hereby ORDERED, ADJUDGED, and
    DECREED that the judgments of the district court be and hereby are AFFIRMED in part, and
    VACATED and REMANDED in part.
    Dominick Mazza (“Mazza”) and Mazza & Sons, Inc. (collectively “Mazza defendants”)
    appeal from June 19, 2013 judgments of conviction entered by the United States District Court
    for the Northern District of New York (Hurd, J.) following an October 16, 2012 jury verdict. The
    jury found both Mazza defendants guilty of: (1) conspiracy to, inter alia, violate CERCLA in
    violation of 
    18 U.S.C. § 371
    ; (2) a substantive CERCLA violation under 
    42 U.S.C. § 9603
    (b);
    and (3) making false statements in violation of 
    18 U.S.C. § 1001
    . The jury also found Mazza &
    Sons guilty of obstruction of justice in violation of 
    18 U.S.C. § 1519
    . We assume the parties’
    familiarity with the underlying facts, procedural history, and issues on appeal.
    The Mazza defendants argue that their convictions should be vacated and a new trial
    ordered based on the following jury instruction:
    Dominick Mazza, as a defendant in this case, is considered an interested witness.
    Such an interest in the outcome creates a motive to testify falsely and may sway
    the witness to testify in a way that advances self-interests. Therefore, if you find
    that any witness whose testimony you are considering may have an interest in the
    outcome of this trial, then you should bear that factor in mind when evaluating the
    credibility of the testimony and accept it with great care.
    Supplemental App. 411. Because the Mazza defendants failed to object to this instruction
    below, we review for plain error pursuant to Rule 52(b) of the Federal Rules of Criminal
    Procedure. To succeed under that standard, the Mazza defendants must demonstrate that
    (1) there was an error; (2) the error was “clear and obvious, rather than subject to
    2
    reasonable dispute; (3) the error affected the appellant’s substantial rights, which in the
    ordinary case means it affected the outcome of the district court proceedings; and (4) the
    error seriously affects the fairness, integrity or public reputation of judicial proceedings.”
    United States v. Marcus, 
    560 U.S. 258
    , 262 (2010) (internal quotation marks and citation
    omitted).
    It is axiomatic that “a defendant does not always have a motive to testify falsely. An
    innocent defendant has a motive to testify truthfully.” United States v. Gaines, 
    457 F.3d 238
    , 246
    (2d Cir. 2006). Accordingly, “[t]he critical defect in a jury instruction that says the defendant has
    a motive to lie is its assumption that the defendant is guilty. That defect is not cured by a further
    charge that a defendant can still be truthful.” 
    Id. at 247
    . In 2007, we expressly held that “an
    instruction that the defendant’s interest in the outcome of the case creates a motive to testify
    falsely impermissibly undermines the presumption of innocence because it presupposes the
    defendant’s guilt.” United States v. Brutus, 
    505 F.3d 80
    , 87 (2d Cir. 2007) (citing Gaines, 457
    F.3d at 246–47). We had previously instructed “district courts in the circuit not to charge juries
    that a testifying defendant’s interest in the outcome of the case creates a motive to testify
    falsely.” Gaines, 457 F.3d at 247. Instead, “a witness’s interest in the outcome of the case ought
    to be addressed in the court’s general charge concerning witness credibility.” Id. at 249. We
    provided two examples of acceptable instructions in the event that “an additional free-standing
    charge on the defendant’s testimony [be] deemed appropriate.” Id.
    The government’s strenuous attempt to distinguish the instruction given in this case from
    those held constitutionally impermissible in Gaines and Brutus is unavailing and relies on
    ambiguities in Gaines that were resolved clearly and unequivocally one year later in Brutus.
    Specifically, in Brutus, we clarified that the impermissible instruction is not tempered when the
    3
    court “omits additional language specifically cautioning the jury to carefully scrutinize and
    weigh the defendant’s testimony,” nor when the court includes “other, more favorable language.”
    
    505 F.3d at 87
    . The court’s instruction violated our mandate issued five years prior and was
    clearly erroneous.
    We next determine whether the Mazza defendants have met their burden to demonstrate
    “a reasonable probability that the error affected the outcome of the trial,” thereby rendering the
    instruction prejudicial and detrimental to their substantial rights. Marcus, 
    560 U.S. at 262
    . We
    generally look to the evidence proffered to determine if it is a “close case,” that “boiled down to
    the credibility of [the defendant’s] testimony.” Gaines, 457 F.3d at 250; see also Brutus, 
    505 F.3d at 89
     (“This was not a close case.”). We address each count of conviction in turn.
    The false statement count was based on Mazza’s denial to federal agents that a Delaware
    facility (“DRPI”) rejected any of his company’s loads after September 2006, when in fact DRPI
    had rejected loads in November 2006. Mazza testified at trial that, at the time of his 2008
    interview with those agents, he did not know of the November 2006 rejections. Knowledge is an
    element of the offense charged, and the only such element at issue here. Mazza asserts that the
    government presented no evidence supporting its allegation that he knew of the November 2006
    rejections. The government fails to address this contention and points to no evidence—and we
    find none—indicating or implying that Mazza had actual or constructive knowledge.
    Accordingly, the false statement count hinges heavily on Mazza’s credibility, creating a
    reasonable probability that the erroneous instruction affected the outcome of the trial on that
    count.
    The government faces a similar problem with respect to the conspiracy count. While this
    is a multi-object conspiracy, the objective of committing acts that violate CERCLA is the only
    4
    one that can reasonably be attributed to these particular defendants in light of the record
    evidence. The government makes no argument to the contrary. As reflected in the parties’
    arguments addressing the sufficiency of the evidence, the central issue is therefore whether the
    Mazza defendants agreed to join the conspiracy to violate CERCLA. While the government did
    produce evidence suggesting tacit agreement, the jury was required to draw several fairly
    tenuous inferences in order to return a conviction. Because this count presents a very “close
    case,” Brutus, 
    505 F.3d at 89
    , and because Mazza testified about issues relevant to the
    conspiracy’s objective of violating CERCLA, including that Deck’s inspector reported that
    Mazza’s waste was “the greatest stuff he has ever seen,” Supplemental App. 364, we conclude
    that it is reasonably probable that the erroneous instruction affected the jury’s verdict on the
    conspiracy count.
    By contrast, the government presented considerable evidence supporting a conviction for
    the substantive CERCLA count. For example, Williams testified that shortly before Mazza
    entered the agreement with Deck to dispose of waste, DRPI had constantly rejected Mazza’s
    loads, and that Williams communicated to Mazza that they were rejected because they contained
    asbestos. Shortly thereafter, Mazza arranged to dispose of waste materials at the illegal dump,
    and those materials were later determined to contain asbestos. Although Mazza testified that the
    loads that tested positive for asbestos did not come from Mazza & Sons, thus placing his
    credibility at issue, we cannot conclude, in light of the considerable evidence supporting the
    government’s case, that it is reasonably probable that the erroneous instruction affected the
    outcome of the CERCLA count.
    Likewise, the government presented sufficient evidence on the obstruction of justice
    count for us to conclude that the conviction on that count did not hinge on Mazza’s credibility.
    5
    The evidence showed that Mazza & Sons produced extensive documentation in response to a
    grand jury subpoena but did not include the manifests expressly requested in the subpoena for
    the two October 11, 2006 loads that had tested positive for asbestos. More importantly, nothing
    in the record indicates that the substance of Mazza’s testimony had any bearing on this count,
    and the Mazza defendants do not argue otherwise. Finally, any significance that Mazza’s
    testimony may have had is diluted by the fact that Mazza & Sons is a corporate entity,
    presumably with multiple agents whose actions, omissions, and knowledge may be imputed to it.
    Accordingly, it is improbable that the erroneous instruction affected the outcome of the trial on
    the obstruction count because the veracity of Mazza’s testimony had little if any bearing on that
    count.
    The district court’s instruction was clearly erroneous in light of our holdings in Gaines
    and Brutus, and prejudiced the Mazza defendants on the false statement and conspiracy counts.
    We will vacate those convictions, however, only if the error, “seriously affect[ed] the fairness,
    integrity or public reputation of judicial proceedings.” Marcus, 
    560 U.S. at 262
     (internal
    quotation marks and citation omitted). The fact that the district court gave this clearly erroneous
    instruction five years after our decision in Brutus is highly troubling. Perhaps most significant
    are the nature of the instruction itself and the reasoning underlying our decision in Brutus. This
    instruction undermines the presumption of innocence, which is not only one of the most
    fundamental principles of our criminal justice system but also one the principles most widely
    known and understood by the public at large. Given these specific circumstances, we conclude
    that the erroneous instruction seriously affected the integrity and public reputation of federal
    criminal trials.
    6
    On a final note, while we ultimately conclude that there was no prosecutorial misconduct
    that warrants reversal, see United States v. Elias, 
    285 F.3d 183
    , 190 (2d Cir. 2002), the panel
    made clear at oral argument, and we reiterate here, that we are disturbed by some of the
    prosecutor’s behavior in this case, such as the prosecutor’s comment during his cross-
    examination of Mazza that “hopefully you will remember me after today.” App. 104. Federal
    prosecutors are held to the highest standard of professionalism, befitting both the venerated role
    they play in our judicial system and the sacrosanct nature of the tasks entrusted to them. This
    type of braggadocio simply has no place in the courtroom and falls below the level of respect and
    decorum that this Court—and the public at large—reasonably demands from attorneys
    representing the United States.
    We have considered and decline to reach the Mazza defendants’ remaining arguments.
    For the reasons articulated herein, Mazza’s and Mazza & Sons’ convictions for conspiracy
    (Count 1) and false statements (Count 7) are VACATED. Mazza’s and Mazza & Sons’
    convictions for the CERCLA violation (Count 2), and Mazza & Sons’ conviction for obstruction
    of justice (Count 5) are AFFIRMED.
    The sentences imposed upon Mazza and Mazza & Sons are VACATED, and this case is
    REMANDED to the district court for re-sentencing and further proceedings consistent with this
    order.
    FOR THE COURT:
    CATHERINE O’HAGAN WOLFE, CLERK
    7
    

Document Info

Docket Number: 13-2540 13-2710

Citation Numbers: 594 F. App'x 705

Filed Date: 12/4/2014

Precedential Status: Non-Precedential

Modified Date: 1/13/2023